Senator Jacob L. Anderegg proposes the following substitute bill:


1     
ADMINISTRATIVE RULES AMENDMENTS

2     
2022 GENERAL SESSION

3     
STATE OF UTAH

4     
Chief Sponsor: Jacob L. Anderegg

5     
House Sponsor: Brady Brammer

6     

7     LONG TITLE
8     General Description:
9          This bill makes changes to the Administrative Rules Review Committee's duties.
10     Highlighted Provisions:
11          This bill:
12          ▸     renames the Administrative Rules Review Committee, the Administrative Rules
13     Review and General Oversight Committee (committee);
14          ▸     permits the committee to:
15               •     review certain agency policies, procedures, and practices;
16               •     recommend action by an interim or standing committee; and
17               •     prepare legislation for consideration by the Legislature; and
18          ▸     makes technical and conforming changes.
19     Money Appropriated in this Bill:
20          None
21     Other Special Clauses:
22          None
23     Utah Code Sections Affected:
24     AMENDS:
25          19-1-206, as last amended by Laws of Utah 2020, Chapters 32 and 152

26          19-1-207, as enacted by Laws of Utah 2020, Sixth Special Session, Chapter 14
27          19-5-104.5, as last amended by Laws of Utah 2020, Chapter 256
28          26-18-20, as enacted by Laws of Utah 2015, Chapter 135
29          40-6-22, as enacted by Laws of Utah 2020, Sixth Special Session, Chapter 14
30          53B-27-303, as last amended by Laws of Utah 2020, Chapter 365
31          54-17-701, as last amended by Laws of Utah 2016, Chapter 13
32          63A-5b-607, as last amended by Laws of Utah 2020, Chapter 32 and renumbered and
33     amended by Laws of Utah 2020, Chapter 152 and last amended by Coordination
34     Clause, Laws of Utah 2020, Chapter 152
35          63A-13-202, as last amended by Laws of Utah 2013, Chapter 359 and renumbered and
36     amended by Laws of Utah 2013, Chapter 12
37          63A-13-305, as enacted by Laws of Utah 2013, Chapter 12
38          63C-9-403, as last amended by Laws of Utah 2020, Chapters 32 and 152
39          63G-3-301, as last amended by Laws of Utah 2021, Chapter 382
40          63G-3-304, as last amended by Laws of Utah 2021, Chapter 437
41          63G-3-402, as last amended by Laws of Utah 2020, Chapter 408
42          63G-3-403, as last amended by Laws of Utah 2020, Chapter 408
43          63G-3-501, as last amended by Laws of Utah 2021, Chapter 437
44          63G-3-502, as last amended by Laws of Utah 2021, Chapter 437
45          63N-6-203, as last amended by Laws of Utah 2019, Chapter 214
46          72-6-107.5, as last amended by Laws of Utah 2020, Chapters 32 and 152
47          79-2-404, as last amended by Laws of Utah 2020, Chapters 32 and 152
48     

49     Be it enacted by the Legislature of the state of Utah:
50          Section 1. Section 19-1-206 is amended to read:
51          19-1-206. Contracting powers of department -- Health insurance coverage.
52          (1) As used in this section:
53          (a) "Aggregate" means the sum of all contracts, change orders, and modifications
54     related to a single project.
55          (b) "Change order" means the same as that term is defined in Section 63G-6a-103.
56          (c) "Employee" means, as defined in Section 34A-2-104, an "employee," "worker," or

57     "operative" who:
58          (i) works at least 30 hours per calendar week; and
59          (ii) meets employer eligibility waiting requirements for health care insurance, which
60     may not exceed the first day of the calendar month following 60 days after the day on which
61     the individual is hired.
62          (d) "Health benefit plan" means:
63          (i) the same as that term is defined in Section 31A-1-301; or
64          (ii) an employee welfare benefit plan:
65          (A) established under the Employee Retirement Income Security Act of 1974, 29
66     U.S.C. Sec. 1001 et seq.;
67          (B) for an employer with 100 or more employees; and
68          (C) in which the employer establishes a self-funded or partially self-funded group
69     health plan to provide medical care for the employer's employees and dependents of the
70     employees.
71          (e) "Qualified health coverage" means the same as that term is defined in Section
72     26-40-115.
73          (f) "Subcontractor" means the same as that term is defined in Section 63A-5b-605.
74          (g) "Third party administrator" or "administrator" means the same as that term is
75     defined in Section 31A-1-301.
76          (2) Except as provided in Subsection (3), the requirements of this section apply to:
77          (a) a contractor of a design or construction contract entered into by, or delegated to, the
78     department, or a division or board of the department, on or after July 1, 2009, if the prime
79     contract is in an aggregate amount equal to or greater than $2,000,000; and
80          (b) a subcontractor of a contractor of a design or construction contract entered into by,
81     or delegated to, the department, or a division or board of the department, on or after July 1,
82     2009, if the subcontract is in an aggregate amount equal to or greater than $1,000,000.
83          (3) This section does not apply to contracts entered into by the department or a division
84     or board of the department if:
85          (a) the application of this section jeopardizes the receipt of federal funds;
86          (b) the contract or agreement is between:
87          (i) the department or a division or board of the department; and

88          (ii) (A) another agency of the state;
89          (B) the federal government;
90          (C) another state;
91          (D) an interstate agency;
92          (E) a political subdivision of this state; or
93          (F) a political subdivision of another state;
94          (c) the executive director determines that applying the requirements of this section to a
95     particular contract interferes with the effective response to an immediate health and safety
96     threat from the environment; or
97          (d) the contract is:
98          (i) a sole source contract; or
99          (ii) an emergency procurement.
100          (4) A person that intentionally uses change orders, contract modifications, or multiple
101     contracts to circumvent the requirements of this section is guilty of an infraction.
102          (5) (a) A contractor subject to the requirements of this section shall demonstrate to the
103     executive director that the contractor has and will maintain an offer of qualified health
104     coverage for the contractor's employees and the employees' dependents during the duration of
105     the contract by submitting to the executive director a written statement that:
106          (i) the contractor offers qualified health coverage that complies with Section
107     26-40-115;
108          (ii) is from:
109          (A) an actuary selected by the contractor or the contractor's insurer;
110          (B) an underwriter who is responsible for developing the employer group's premium
111     rates; or
112          (C) if the contractor provides a health benefit plan described in Subsection (1)(d)(ii),
113     an actuary or underwriter selected by a third party administrator; and
114          (iii) was created within one year before the day on which the statement is submitted.
115          (b) (i) A contractor that provides a health benefit plan described in Subsection (1)(d)(ii)
116     shall provide the actuary or underwriter selected by an administrator, as described in
117     Subsection (5)(a)(ii)(C), sufficient information to determine whether the contractor's
118     contribution to the health benefit plan and the actuarial value of the health benefit plan meet the

119     requirements of qualified health coverage.
120          (ii) A contractor may not make a change to the contractor's contribution to the health
121     benefit plan, unless the contractor provides notice to:
122          (A) the actuary or underwriter selected by an administrator, as described in Subsection
123     (5)(a)(ii)(C), for the actuary or underwriter to update the written statement described in
124     Subsection (5)(a) in compliance with this section; and
125          (B) the department.
126          (c) A contractor that is subject to the requirements of this section shall:
127          (i) place a requirement in each of the contractor's subcontracts that a subcontractor that
128     is subject to the requirements of this section shall obtain and maintain an offer of qualified
129     health coverage for the subcontractor's employees and the employees' dependents during the
130     duration of the subcontract; and
131          (ii) obtain from a subcontractor that is subject to the requirements of this section a
132     written statement that:
133          (A) the subcontractor offers qualified health coverage that complies with Section
134     26-40-115;
135          (B) is from an actuary selected by the subcontractor or the subcontractor's insurer, an
136     underwriter who is responsible for developing the employer group's premium rates, or if the
137     subcontractor provides a health benefit plan described in Subsection (1)(d)(ii), an actuary or
138     underwriter selected by an administrator; and
139          (C) was created within one year before the day on which the contractor obtains the
140     statement.
141          (d) (i) (A) A contractor that fails to maintain an offer of qualified health coverage
142     described in Subsection (5)(a) during the duration of the contract is subject to penalties in
143     accordance with administrative rules adopted by the department under Subsection (6).
144          (B) A contractor is not subject to penalties for the failure of a subcontractor to obtain
145     and maintain an offer of qualified health coverage described in Subsection (5)(c)(i).
146          (ii) (A) A subcontractor that fails to obtain and maintain an offer of qualified health
147     coverage described in Subsection (5)(c) during the duration of the subcontract is subject to
148     penalties in accordance with administrative rules adopted by the department under Subsection
149     (6).

150          (B) A subcontractor is not subject to penalties for the failure of a contractor to maintain
151     an offer of qualified health coverage described in Subsection (5)(a).
152          (6) The department shall adopt administrative rules:
153          (a) in accordance with Title 63G, Chapter 3, Utah Administrative Rulemaking Act;
154          (b) in coordination with:
155          (i) a public transit district in accordance with Section 17B-2a-818.5;
156          (ii) the Department of Natural Resources in accordance with Section 79-2-404;
157          (iii) the State Building Board in accordance with Section 63A-5b-607;
158          (iv) the State Capitol Preservation Board in accordance with Section 63C-9-403;
159          (v) the Department of Transportation in accordance with Section 72-6-107.5; and
160          (vi) the Legislature's Administrative Rules Review and General Oversight Committee;
161     and
162          (c) that establish:
163          (i) the requirements and procedures a contractor and a subcontractor shall follow to
164     demonstrate compliance with this section, including:
165          (A) that a contractor or subcontractor's compliance with this section is subject to an
166     audit by the department or the Office of the Legislative Auditor General;
167          (B) that a contractor that is subject to the requirements of this section shall obtain a
168     written statement described in Subsection (5)(a); and
169          (C) that a subcontractor that is subject to the requirements of this section shall obtain a
170     written statement described in Subsection (5)(c)(ii);
171          (ii) the penalties that may be imposed if a contractor or subcontractor intentionally
172     violates the provisions of this section, which may include:
173          (A) a three-month suspension of the contractor or subcontractor from entering into
174     future contracts with the state upon the first violation;
175          (B) a six-month suspension of the contractor or subcontractor from entering into future
176     contracts with the state upon the second violation;
177          (C) an action for debarment of the contractor or subcontractor in accordance with
178     Section 63G-6a-904 upon the third or subsequent violation; and
179          (D) notwithstanding Section 19-1-303, monetary penalties which may not exceed 50%
180     of the amount necessary to purchase qualified health coverage for an employee and the

181     dependents of an employee of the contractor or subcontractor who was not offered qualified
182     health coverage during the duration of the contract; and
183          (iii) a website on which the department shall post the commercially equivalent
184     benchmark, for the qualified health coverage identified in Subsection (1)(e), that is provided by
185     the Department of Health, in accordance with Subsection 26-40-115(2).
186          (7) (a) (i) In addition to the penalties imposed under Subsection (6)(c)(ii), a contractor
187     or subcontractor who intentionally violates the provisions of this section is liable to the
188     employee for health care costs that would have been covered by qualified health coverage.
189          (ii) An employer has an affirmative defense to a cause of action under Subsection
190     (7)(a)(i) if:
191          (A) the employer relied in good faith on a written statement described in Subsection
192     (5)(a) or (5)(c)(ii); or
193          (B) the department determines that compliance with this section is not required under
194     the provisions of Subsection (3).
195          (b) An employee has a private right of action only against the employee's employer to
196     enforce the provisions of this Subsection (7).
197          (8) Any penalties imposed and collected under this section shall be deposited into the
198     Medicaid Restricted Account created in Section 26-18-402.
199          (9) The failure of a contractor or subcontractor to provide qualified health coverage as
200     required by this section:
201          (a) may not be the basis for a protest or other action from a prospective bidder, offeror,
202     or contractor under:
203          (i) Section 63G-6a-1602; or
204          (ii) any other provision in Title 63G, Chapter 6a, Utah Procurement Code; and
205          (b) may not be used by the procurement entity or a prospective bidder, offeror, or
206     contractor as a basis for any action or suit that would suspend, disrupt, or terminate the design
207     or construction.
208          (10) An administrator, including an administrator's actuary or underwriter, who
209     provides a written statement under Subsection (5)(a) or (c) regarding the qualified health
210     coverage of a contractor or subcontractor who provides a health benefit plan described in
211     Subsection (1)(d)(ii):

212          (a) subject to Subsection (10)(b), is not liable for an error in the written statement,
213     unless the administrator commits gross negligence in preparing the written statement;
214          (b) is not liable for any error in the written statement if the administrator relied in good
215     faith on information from the contractor or subcontractor; and
216          (c) may require as a condition of providing the written statement that a contractor or
217     subcontractor hold the administrator harmless for an action arising under this section.
218          Section 2. Section 19-1-207 is amended to read:
219          19-1-207. Regulatory certainty to support economic recovery.
220          (1) On or before June 30, 2021, the Air Quality Board or the Water Quality Board may
221     not make, amend, or repeal a rule related to air or water quality pursuant to this title, if formal
222     rulemaking was not initiated on or before July 1, 2020, unless the rule constitutes:
223          (a) a state rule related to a federally-delegated program;
224          (b) a rule mandated by statute to be made, amended, or repealed on or before July 1,
225     2020; or
226          (c) subject to Subsection (2), a rule that is necessary because failure to make, amend, or
227     repeal the rule will:
228          (i) cause an imminent peril to the public health, safety, or welfare;
229          (ii) cause an imminent budget reduction because of budget restraints or federal
230     requirements;
231          (iii) place the agency in violation of federal or state law; or
232          (iv) fail to provide regulatory relief.
233          (2) In addition to complying with Title 63G, Chapter 3, Utah Administrative
234     Rulemaking Act, the department shall report to the Administrative Rules Review and General
235     Oversight Committee as to whether the need to act meets the requirements of Subsection
236     (1)(c).
237          (3) On or after August 31, 2020, but on or before June 30, 2021, the Air Quality Board,
238     Division of Air Quality, Water Quality Board, or Division of Water Quality may not impose a
239     new fee or increase a fee related to air or water quality pursuant to this title or rules made under
240     this title.
241          (4) Only the Legislature may extend the time limitations of this section.
242          (5) Notwithstanding the other provisions of this section, this section does not apply to a

243     rule, fee, or fee increase to the extent that the rule, fee, or fee increase applies to an activity in a
244     county of the first or second class.
245          (6) Notwithstanding the other provisions of this section, the agencies may engage with
246     stakeholders in the process of discussing, developing, and drafting a rule, fee, or fee increase
247     on or after July 1, 2020, but on or before June 30, 2021.
248          Section 3. Section 19-5-104.5 is amended to read:
249          19-5-104.5. Legislative review and approval.
250          (1) Before sending a total maximum daily load and implementation strategy to the EPA
251     for review and approval, the Water Quality Board shall submit the total maximum daily load:
252          (a) for review to the Natural Resources, Agriculture, and Environment Interim
253     Committee if the total maximum daily load will require a public or private expenditure in
254     excess of $10,000,000 but less than $100,000,000 for compliance; or
255          (b) for approval to the Legislature if the total maximum daily load will require a public
256     or private expenditure of $100,000,000 or more.
257          (2) (a) As used in this Subsection (2):
258          (i) "Expenditure" means the act of expending funds:
259          (A) by an individual public facility with a Utah Pollutant Discharge Elimination
260     System permit, or by a group of private agricultural facilities; and
261          (B) through an initial capital investment, or through operational costs over a three-year
262     period.
263          (ii) "Utah Pollutant Discharge Elimination System" means the state permit system
264     created in accordance with 33 U.S.C. Sec. 1342.
265          (b) Before the board adopts a nitrogen or phosphorus rule or standard, the board shall
266     submit the rule or standard as directed in Subsections (2)(c) and (d).
267          (c) (i) If compliance with the rule or standard requires an expenditure in excess of
268     $250,000, but less than $10,000,000, the board shall submit the rule or standard for review to
269     the Natural Resources, Agriculture, and Environment Interim Committee.
270          (ii) (A) Except as provided in Subsection (2)(c)(ii)(B), the Natural Resources,
271     Agriculture, and Environment Interim Committee shall review a rule or standard the board
272     submits under Subsection (2)(c)(i) during the Natural Resources, Agriculture, and Environment
273     Interim Committee's committee meeting immediately following the day on which the board

274     submits the rule or standard.
275          (B) If the committee meeting described in Subsection (2)(c)(ii)(A) is within five days
276     after the day on which the board submits the rule or standard for review, the Natural Resources,
277     Agriculture, and Environment Interim Committee shall review the rule or standard during the
278     committee meeting described in Subsection (2)(c)(ii)(A) or during the committee meeting
279     immediately following the committee meeting described in Subsection (2)(c)(ii)(A).
280          (d) If compliance with the rule or standard requires an expenditure of $10,000,000 or
281     more, the board shall submit the rule or standard for approval to the Legislature.
282          (e) (i) A facility shall estimate the cost of compliance with a board-proposed rule or
283     standard described in Subsection (2)(b) using:
284          (A) an independent, licensed engineer; and
285          (B) industry-accepted project cost estimate methods.
286          (ii) The board may evaluate and report on a compliance estimate described in
287     Subsection (2)(e)(i).
288          (f) If there is a discrepancy in the estimated cost to comply with a rule or standard, the
289     Office of the Legislative Fiscal Analyst shall determine the estimated cost to comply with the
290     rule or standard.
291          (3) In reviewing a rule or standard, the Natural Resources, Agriculture, and
292     Environment Interim Committee may:
293          (a) consider the impact of the rule or standard on:
294          (i) economic costs and benefit;
295          (ii) public health; and
296          (iii) the environment;
297          (b) suggest additional areas of consideration; or
298          (c) recommend the rule or standard to the board for:
299          (i) adoption; or
300          (ii) re-evaluation followed by further review by the Natural Resources, Agriculture,
301     and Environment Interim Committee.
302          (4) When the Natural Resources, Agriculture, and Environment Interim Committee
303     sets the review of a rule or standard submitted under Subsection (2)(c)(i) as an agenda item, the
304     committee shall:

305          (a) before the review, directly inform the chairs of the Administrative Rules Review
306     and General Oversight Committee of the coming review, including the date, time, and place of
307     the review; and
308          (b) after the review, directly inform the chairs of the Administrative Rules Review and
309     General Oversight Committee of the outcome of the review, including any recommendation.
310          Section 4. Section 26-18-20 is amended to read:
311          26-18-20. Review of claims -- Audit and investigation procedures.
312          (1) (a) The department shall adopt administrative rules in accordance with Title 63G,
313     Chapter 3, Utah Administrative Rulemaking Act, and in consultation with providers and health
314     care professionals subject to audit and investigation under the state Medicaid program, to
315     establish procedures for audits and investigations that are fair and consistent with the duties of
316     the department as the single state agency responsible for the administration of the Medicaid
317     program under Section 26-18-3 and Title XIX of the Social Security Act.
318          (b) If the providers and health care professionals do not agree with the rules proposed
319     or adopted by the department under Subsection (1)(a), the providers or health care
320     professionals may:
321          (i) request a hearing for the proposed administrative rule or seek any other remedies
322     under the provisions of Title 63G, Chapter 3, Utah Administrative Rulemaking Act; and
323          (ii) request a review of the rule by the Legislature's Administrative Rules Review and
324     General Oversight Committee created in Section 63G-3-501.
325          (2) The department shall:
326          (a) notify and educate providers and health care professionals subject to audit and
327     investigation under the Medicaid program of the providers' and health care professionals'
328     responsibilities and rights under the administrative rules adopted by the department under the
329     provisions of this section;
330          (b) ensure that the department, or any entity that contracts with the department to
331     conduct audits:
332          (i) has on staff or contracts with a medical or dental professional who is experienced in
333     the treatment, billing, and coding procedures used by the type of provider being audited; and
334          (ii) uses the services of the appropriate professional described in Subsection (3)(b)(i) if
335     the provider who is the subject of the audit disputes the findings of the audit;

336          (c) ensure that a finding of overpayment or underpayment to a provider is not based on
337     extrapolation, as defined in Section 63A-13-102, unless:
338          (i) there is a determination that the level of payment error involving the provider
339     exceeds a 10% error rate:
340          (A) for a sample of claims for a particular service code; and
341          (B) over a three year period of time;
342          (ii) documented education intervention has failed to correct the level of payment error;
343     and
344          (iii) the value of the claims for the provider, in aggregate, exceeds $200,000 in
345     reimbursement for a particular service code on an annual basis; and
346          (d) require that any entity with which the office contracts, for the purpose of
347     conducting an audit of a service provider, shall be paid on a flat fee basis for identifying both
348     overpayments and underpayments.
349          (3) (a) If the department, or a contractor on behalf of the department:
350          (i) intends to implement the use of extrapolation as a method of auditing claims, the
351     department shall, prior to adopting the extrapolation method of auditing, report its intent to use
352     extrapolation to the Social Services Appropriations Subcommittee; and
353          (ii) determines Subsections (2)(c)(i) through (iii) are applicable to a provider, the
354     department or the contractor may use extrapolation only for the service code associated with
355     the findings under Subsections (2)(c)(i) through (iii).
356          (b) (i) If extrapolation is used under this section, a provider may, at the provider's
357     option, appeal the results of the audit based on:
358          (A) each individual claim; or
359          (B) the extrapolation sample.
360          (ii) Nothing in this section limits a provider's right to appeal the audit under Title 63G,
361     General Government, Title 63G, Chapter 4, Administrative Procedures Act, the Medicaid
362     program and its manual or rules, or other laws or rules that may provide remedies to providers.
363          Section 5. Section 40-6-22 is amended to read:
364          40-6-22. Regulatory certainty to support economic recovery.
365          (1) On or before June 30, 2021, the board or division may not make, amend, or repeal a
366     rule pursuant to this title, if formal rulemaking was not initiated on or before July 1, 2020,

367     unless the rule constitutes:
368          (a) a state rule related to a federally-delegated program;
369          (b) a rule mandated by statute to be made, amended, or repealed on or before July 1,
370     2020; or
371          (c) subject to Subsection (2), a rule that is necessary because failure to make, amend, or
372     repeal the rule will:
373          (i) cause an imminent peril to the public health, safety, or welfare;
374          (ii) cause an imminent budget reduction because of budget restraints or federal
375     requirements;
376          (iii) place the agency in violation of federal or state law; or
377          (iv) fail to provide regulatory relief.
378          (2) In addition to complying with Title 63G, Chapter 3, Utah Administrative
379     Rulemaking Act, the board or division shall report to the Administrative Rules Review and
380     General Oversight Committee as to whether the need to act meets the requirements of
381     Subsection (1)(c).
382          (3) On or after August 31, 2020, but on or before June 30, 2021, the board or division
383     may not impose a new fee or increase a fee pursuant to this title or rules made under this title.
384          (4) Only the Legislature may extend the time limitations of this section.
385          (5) Notwithstanding the other provisions of this section, this section does not apply to a
386     rule, fee, or fee increase to the extent that the rule, fee, or fee increase applies to an activity in a
387     county of the first or second class.
388          (6) Notwithstanding the other provisions of this section, the agencies may engage with
389     stakeholders in the process of discussing, developing, and drafting a rule, fee, or fee increase
390     on or after July 1, 2020, but on or before June 30, 2021.
391          Section 6. Section 53B-27-303 is amended to read:
392          53B-27-303. Complaint process -- Reporting.
393          (1) Before August 1, 2019, the board shall make rules in accordance with Title 63G,
394     Chapter 3, Utah Administrative Rulemaking Act, establishing a procedure whereby a student
395     enrolled in an institution may submit a complaint to the board alleging a policy of the
396     institution directly affects one or more of the student's civil liberties.
397          (2) (a) When a student submits a complaint in accordance with the rules adopted under

398     Subsection (1), the board shall:
399          (i) examine the complaint and, within 30 days after the day on which the board
400     receives the complaint, determine whether the complaint is made in good faith; and
401          (ii) (A) if the board determines that the complaint is made in good faith, direct the
402     institution against which the complaint is made to initiate rulemaking proceedings for the
403     challenged policy; or
404          (B) if the board determines that the complaint is made in bad faith, dismiss the
405     complaint.
406          (b) Before November 30 of each year, the board shall submit a report to the
407     Administrative Rules Review and General Oversight Committee detailing:
408          (i) the number of complaints the board received during the preceding year;
409          (ii) the number of complaints the board found to be made in good faith during the
410     preceding year; and
411          (iii) each policy that is the subject of a good-faith complaint that the board received
412     during the preceding year.
413          (3) If the board directs an institution to initiate rulemaking proceedings for a
414     challenged policy in accordance with this section, the institution shall initiate rulemaking
415     proceedings for the policy within 60 days after the day on which the board directs the
416     institution.
417          Section 7. Section 54-17-701 is amended to read:
418          54-17-701. Rules for carbon capture and geological storage.
419          (1) By January 1, 2011, the Division of Water Quality and the Division of Air Quality,
420     on behalf of the Board of Water Quality and the Board of Air Quality, respectively, in
421     collaboration with the commission and the Division of Oil, Gas, and Mining and the Utah
422     Geological Survey, shall present recommended rules to the Legislature's Administrative Rules
423     Review and General Oversight Committee for the following in connection with carbon capture
424     and accompanying geological sequestration of captured carbon:
425          (a) site characterization approval;
426          (b) geomechanical, geochemical, and hydrogeological simulation;
427          (c) risk assessment;
428          (d) mitigation and remediation protocols;

429          (e) issuance of permits for test, injection, and monitoring wells;
430          (f) specifications for the drilling, construction, and maintenance of wells;
431          (g) issues concerning ownership of subsurface rights and pore space;
432          (h) allowed composition of injected matter;
433          (i) testing, monitoring, measurement, and verification for the entirety of the carbon
434     capture and geologic sequestration chain of operations, from the point of capture of the carbon
435     dioxide to the sequestration site;
436          (j) closure and decommissioning procedure;
437          (k) short- and long-term liability and indemnification for sequestration sites;
438          (l) conversion of enhanced oil recovery operations to carbon dioxide geological
439     sequestration sites; and
440          (m) other issues as identified.
441          (2) The entities listed in Subsection (1) shall report to the Legislature's Administrative
442     Rules Review and General Oversight Committee any proposals for additional statutory changes
443     needed to implement rules contemplated under Subsection (1).
444          (3) On or before July 1, 2009, the entities listed in Subsection (1) shall submit to the
445     Legislature's Public Utilities, Energy, and Technology and Natural Resources, Agriculture, and
446     Environment Interim Committees a progress report on the development of the recommended
447     rules required by this part.
448          (4) The recommended rules developed under this section apply to the injection of
449     carbon dioxide and other associated injectants in allowable types of geological formations for
450     the purpose of reducing emissions to the atmosphere through long-term geological
451     sequestration as required by law or undertaken voluntarily or for subsequent beneficial reuse.
452          (5) The recommended rules developed under this section do not apply to the injection
453     of fluids through the use of Class II injection wells as defined in 40 C.F.R. 144.6(b) for the
454     purpose of enhanced hydrocarbon recovery.
455          (6) Rules recommended under this section shall:
456          (a) ensure that adequate health and safety standards are met;
457          (b) minimize the risk of unacceptable leakage from the injection well and injection
458     zone for carbon capture and geologic sequestration; and
459          (c) provide adequate regulatory oversight and public information concerning carbon

460     capture and geologic sequestration.
461          Section 8. Section 63A-5b-607 is amended to read:
462          63A-5b-607. Health insurance requirements -- Penalties.
463          (1) As used in this section:
464          (a) "Aggregate amount" means the dollar sum of all contracts, change orders, and
465     modifications for a single project.
466          (b) "Change order" means the same as that term is defined in Section 63G-6a-103.
467          (c) "Eligible employee" means an employee, as defined in Section 34A-2-104, who:
468          (i) works at least 30 hours per calendar week; and
469          (ii) meets the employer eligibility waiting period for qualified health insurance
470     coverage provided by the employer.
471          (d) "Health benefit plan" means:
472          (i) the same as that term is defined in Section 31A-1-301; or
473          (ii) an employee welfare benefit plan:
474          (A) established under the Employee Retirement Income Security Act of 1974, 29
475     U.S.C. Sec. 1001 et seq.;
476          (B) for an employer with 100 or more employees; and
477          (C) in which the employer establishes a self-funded or partially self-funded group
478     health plan to provide medical care for the employer's employees and dependents of the
479     employees.
480          (e) "Qualified health insurance coverage" means the same as that term is defined in
481     Section 26-40-115.
482          (f) "Subcontractor" means the same as that term is defined in Section 63A-5b-605.
483          (g) "Third party administrator" or "administrator" means the same as that term is
484     defined in Section 31A-1-301.
485          (2) Except as provided in Subsection (3), the requirements of this section apply to:
486          (a) a contractor of a design or construction contract with the division if the prime
487     contract is in an aggregate amount of $2,000,000 or more; and
488          (b) a subcontractor of a contractor of a design or construction contract with the division
489     if the subcontract is in an aggregate amount of $1,000,000 or more.
490          (3) The requirements of this section do not apply to a contractor or subcontractor if:

491          (a) the application of this section jeopardizes the division's receipt of federal funds;
492          (b) the contract is a sole source contract, as defined in Section 63G-6a-103; or
493          (c) the contract is the result of an emergency procurement.
494          (4) A person who intentionally uses a change order, contract modification, or multiple
495     contracts to circumvent the requirements of this section is guilty of an infraction.
496          (5) (a) A contractor that is subject to the requirements of this section shall:
497          (i) make and maintain an offer of qualified health coverage for the contractor's eligible
498     employees and the eligible employees' dependents; and
499          (ii) submit to the director a written statement demonstrating that the contractor is in
500     compliance with Subsection (5)(a)(i).
501          (b) A statement under Subsection (5)(a)(ii):
502          (i) shall be from:
503          (A) an actuary selected by the contractor or the contractor's insurer;
504          (B) an underwriter who is responsible for developing the employer group's premium
505     rates; or
506          (C) if the contractor provides a health benefit plan described in Subsection (1)(d)(ii),
507     an actuary or underwriter selected by a third party administrator; and
508          (ii) may not be created more than one year before the day on which the contractor
509     submits the statement to the director.
510          (c) (i) A contractor that provides a health benefit plan described in Subsection (1)(d)(ii)
511     shall provide the actuary or underwriter selected by an administrator, as described in
512     Subsection (5)(b)(i)(C), sufficient information to determine whether the contractor's
513     contribution to the health benefit plan and the actuarial value of the health benefit plan meet the
514     requirements of qualified health coverage.
515          (ii) A contractor may not make a change to the contractor's contribution to the health
516     benefit plan, unless the contractor provides notice to:
517          (A) the actuary or underwriter selected by an administrator, as described in Subsection
518     (5)(b)(i)(C), for the actuary or underwriter to update the written statement described in
519     Subsection (5)(a) in compliance with this section; and
520          (B) the division.
521          (6) (a) A contractor that is subject to the requirements of this section shall:

522          (i) ensure that each contract the contractor enters with a subcontractor that is subject to
523     the requirements of this section requires the subcontractor to obtain and maintain an offer of
524     qualified health coverage for the subcontractor's eligible employees and the eligible employees'
525     dependents during the duration of the subcontract; and
526          (ii) obtain from a subcontractor referred to in Subsection (6)(a)(i) a written statement
527     demonstrating that the subcontractor offers qualified health coverage to eligible employees and
528     eligible employees' dependents.
529          (b) A statement under Subsection (6)(a)(ii):
530          (i) shall be from:
531          (A) an actuary selected by the subcontractor or the subcontractor's insurer;
532          (B) an underwriter who is responsible for developing the employer group's premium
533     rates; or
534          (C) if the subcontractor provides a health benefit plan described in Subsection
535     (1)(d)(ii), an actuary or underwriter selected by an administrator; and
536          (ii) may not be created more than one year before the day on which the contractor
537     obtains the statement from the subcontractor.
538          (7) (a) (i) A contractor that fails to maintain an offer of qualified health coverage
539     during the duration of the contract as required in this section is subject to penalties in
540     accordance with administrative rules adopted by the division under this section.
541          (ii) A contractor is not subject to penalties for the failure of a subcontractor to obtain
542     and maintain an offer of qualified health coverage as required in this section.
543          (b) (i) A subcontractor that fails to obtain and maintain an offer of qualified health
544     coverage during the duration of the subcontract as required in this section is subject to penalties
545     in accordance with administrative rules adopted by the division under this section.
546          (ii) A subcontractor is not subject to penalties for the failure of a contractor to maintain
547     an offer of qualified health coverage as required in this section.
548          (8) The division shall adopt administrative rules:
549          (a) in accordance with Title 63G, Chapter 3, Utah Administrative Rulemaking Act;
550          (b) in coordination with:
551          (i) the Department of Environmental Quality in accordance with Section 19-1-206;
552          (ii) the Department of Natural Resources in accordance with Section 79-2-404;

553          (iii) a public transit district in accordance with Section 17B-2a-818.5;
554          (iv) the State Capitol Preservation Board in accordance with Section 63C-9-403;
555          (v) the Department of Transportation in accordance with Section 72-6-107.5; and
556          (vi) the Legislature's Administrative Rules Review and General Oversight Committee;
557     and
558          (c) that establish:
559          (i) the requirements and procedures for a contractor and a subcontractor to demonstrate
560     compliance with this section, including:
561          (A) a provision that a contractor or subcontractor's compliance with this section is
562     subject to an audit by the division or the Office of the Legislative Auditor General;
563          (B) a provision that a contractor that is subject to the requirements of this section
564     obtain a written statement as provided in Subsection (5); and
565          (C) a provision that a subcontractor that is subject to the requirements of this section
566     obtain a written statement as provided in Subsection (6);
567          (ii) the penalties that may be imposed if a contractor or subcontractor intentionally
568     violates the provisions of this section, which may include:
569          (A) a three-month suspension of the contractor or subcontractor from entering into a
570     future contract with the state upon the first violation;
571          (B) a six-month suspension of the contractor or subcontractor from entering into a
572     future contract with the state upon the second violation;
573          (C) an action for debarment of the contractor or subcontractor in accordance with
574     Section 63G-6a-904 upon the third or subsequent violation; and
575          (D) monetary penalties which may not exceed 50% of the amount necessary to
576     purchase qualified health coverage for eligible employees and dependents of eligible
577     employees of the contractor or subcontractor who were not offered qualified health coverage
578     during the duration of the contract; and
579          (iii) a website for the department to post the commercially equivalent benchmark for
580     the qualified health coverage that is provided by the Department of Health in accordance with
581     Subsection 26-40-115(2).
582          (9) During the duration of a contract, the division may perform an audit to verify a
583     contractor or subcontractor's compliance with this section.

584          (10) (a) Upon the division's request, a contractor or subcontractor shall provide the
585     division:
586          (i) a signed actuarial certification that the coverage the contractor or subcontractor
587     offers is qualified health coverage; or
588          (ii) all relevant documents and information necessary for the division to determine
589     compliance with this section.
590          (b) If a contractor or subcontractor provides the documents and information described
591     in Subsection (10)(a)(i), the Insurance Department shall assist the division in determining if the
592     coverage the contractor or subcontractor offers is qualified health coverage.
593          (11) (a) (i) In addition to the penalties imposed under Subsection (7), a contractor or
594     subcontractor that intentionally violates the provisions of this section is liable to an eligible
595     employee for health care costs that would have been covered by qualified health coverage.
596          (ii) An employer has an affirmative defense to a cause of action under Subsection
597     (11)(a)(i) if:
598          (A) the employer relied in good faith on a written statement described in Subsection (5)
599     or (6); or
600          (B) the department determines that compliance with this section is not required under
601     the provisions of Subsection (3).
602          (b) An eligible employee has a private right of action against the employee's employer
603     only as provided in this Subsection (11).
604          (12) The director shall cause money collected from the imposition and collection of a
605     penalty under this section to be deposited into the Medicaid Restricted Account created by
606     Section 26-18-402.
607          (13) The failure of a contractor or subcontractor to provide qualified health coverage as
608     required by this section:
609          (a) may not be the basis for a protest or other action from a prospective bidder, offeror,
610     or contractor under:
611          (i) Section 63G-6a-1602; or
612          (ii) any other provision in Title 63G, Chapter 6a, Utah Procurement Code; and
613          (b) may not be used by the procurement entity or a prospective bidder, offeror, or
614     contractor as a basis for any action or suit that would suspend, disrupt, or terminate the design

615     or construction.
616          (14) An employer's waiting period for an employee to become eligible for qualified
617     health coverage may not extend beyond the first day of the calendar month following 60 days
618     after the day on which the employee is hired.
619          (15) An administrator, including an administrator's actuary or underwriter, who
620     provides a written statement under Subsection (5)(a) or (c) regarding the qualified health
621     coverage of a contractor or subcontractor who provides a health benefit plan described in
622     Subsection (1)(d)(ii):
623          (a) subject to Subsection (11)(b), is not liable for an error in the written statement,
624     unless the administrator commits gross negligence in preparing the written statement;
625          (b) is not liable for any error in the written statement if the administrator relied in good
626     faith on information from the contractor or subcontractor; and
627          (c) may require as a condition of providing the written statement that a contractor or
628     subcontractor hold the administrator harmless for an action arising under this section.
629          Section 9. Section 63A-13-202 is amended to read:
630          63A-13-202. Duties and powers of inspector general and office.
631          (1) The inspector general of Medicaid services shall:
632          (a) administer, direct, and manage the office;
633          (b) inspect and monitor the following in relation to the state Medicaid program:
634          (i) the use and expenditure of federal and state funds;
635          (ii) the provision of health benefits and other services;
636          (iii) implementation of, and compliance with, state and federal requirements; and
637          (iv) records and recordkeeping procedures;
638          (c) receive reports of potential fraud, waste, or abuse in the state Medicaid program;
639          (d) investigate and identify potential or actual fraud, waste, or abuse in the state
640     Medicaid program;
641          (e) consult with the Centers for Medicaid and Medicare Services and other states to
642     determine and implement best practices for:
643          (i) educating and communicating with health care professionals and providers about
644     program and audit policies and procedures;
645          (ii) discovering and eliminating fraud, waste, and abuse of Medicaid funds; and

646          (iii) differentiating between honest mistakes and intentional errors, or fraud, waste, and
647     abuse, if the office enters into settlement negotiations with the provider or health care
648     professional;
649          (f) obtain, develop, and utilize computer algorithms to identify fraud, waste, or abuse
650     in the state Medicaid program;
651          (g) work closely with the fraud unit to identify and recover improperly or fraudulently
652     expended Medicaid funds;
653          (h) audit, inspect, and evaluate the functioning of the division for the purpose of
654     making recommendations to the Legislature and the department to ensure that the state
655     Medicaid program is managed:
656          (i) in the most efficient and cost-effective manner possible; and
657          (ii) in a manner that promotes adequate provider and health care professional
658     participation and the provision of appropriate health benefits and services;
659          (i) regularly advise the department and the division of an action that could be taken to
660     ensure that the state Medicaid program is managed in the most efficient and cost-effective
661     manner possible;
662          (j) refer potential criminal conduct, relating to Medicaid funds or the state Medicaid
663     program, to the fraud unit;
664          (k) refer potential criminal conduct, including relevant data from the controlled
665     substance database, relating to Medicaid fraud, to law enforcement in accordance with Title 58,
666     Chapter 37f, Controlled Substance Database Act;
667          (l) determine ways to:
668          (i) identify, prevent, and reduce fraud, waste, and abuse in the state Medicaid program;
669     and
670          (ii) balance efforts to reduce costs and avoid or minimize increased costs of the state
671     Medicaid program with the need to encourage robust health care professional and provider
672     participation in the state Medicaid program;
673          (m) recover improperly paid Medicaid funds;
674          (n) track recovery of Medicaid funds by the state;
675          (o) in accordance with Section 63A-13-502:
676          (i) report on the actions and findings of the inspector general; and

677          (ii) make recommendations to the Legislature and the governor;
678          (p) provide training to:
679          (i) agencies and employees on identifying potential fraud, waste, or abuse of Medicaid
680     funds; and
681          (ii) health care professionals and providers on program and audit policies and
682     compliance; and
683          (q) develop and implement principles and standards for the fulfillment of the duties of
684     the inspector general, based on principles and standards used by:
685          (i) the Federal Offices of Inspector General;
686          (ii) the Association of Inspectors General; and
687          (iii) the United States Government Accountability Office.
688          (2) (a) The office may, in fulfilling the duties under Subsection (1), conduct a
689     performance or financial audit of:
690          (i) a state executive branch entity or a local government entity, including an entity
691     described in Section 63A-13-301, that:
692          (A) manages or oversees a state Medicaid program; or
693          (B) manages or oversees the use or expenditure of state or federal Medicaid funds; or
694          (ii) Medicaid funds received by a person by a grant from, or under contract with, a state
695     executive branch entity or a local government entity.
696          (b) (i) The office may not, in fulfilling the duties under Subsection (1), amend the state
697     Medicaid program or change the policies and procedures of the state Medicaid program.
698          (ii) The office shall identify conflicts between the state Medicaid plan, department
699     administrative rules, Medicaid provider manuals, and Medicaid information bulletins and
700     recommend that the department reconcile inconsistencies. If the department does not reconcile
701     the inconsistencies, the office shall report the inconsistencies to the Legislature's
702     Administrative Rules Review and General Oversight Committee created in Section 63G-3-501.
703          (iii) Beginning July 1, 2013, the office shall review a Medicaid provider manual and a
704     Medicaid information bulletin in accordance with Subsection (2)(b)(ii), prior to the department
705     making the provider manual or Medicaid information bulletin available to the public.
706          (c) Beginning July 1, 2013, the Department of Health shall submit a Medicaid provider
707     manual and a Medicaid information bulletin to the office for the review required by Subsection

708     (2)(b)(ii) prior to releasing the document to the public. The department and the Office of
709     Inspector General of Medicaid Services shall enter into a memorandum of understanding
710     regarding the timing of the review process under Subsection (2)(b)(iii).
711          (3) (a) The office shall, in fulfilling the duties under this section to investigate,
712     discover, and recover fraud, waste, and abuse in the Medicaid program, apply the state
713     Medicaid plan, department administrative rules, Medicaid provider manuals, and Medicaid
714     information bulletins in effect at the time the medical services were provided.
715          (b) A health care provider may rely on the policy interpretation included in a current
716     Medicaid provider manual or a current Medicaid information bulletin that is available to the
717     public.
718          (4) The inspector general of Medicaid services, or a designee of the inspector general
719     of Medicaid services within the office, may take a sworn statement or administer an oath.
720          Section 10. Section 63A-13-305 is amended to read:
721          63A-13-305. Audit and investigation procedures.
722          (1) (a) The office shall, in accordance with Section 63A-13-602, adopt administrative
723     rules in consultation with providers and health care professionals subject to audit and
724     investigation under this chapter to establish procedures for audits and investigations that are
725     fair and consistent with the duties of the office under this chapter.
726          (b) If the providers and health care professionals do not agree with the rules proposed
727     or adopted by the office under Subsection (1)(a) or Section 63A-13-602, the providers or health
728     care professionals may:
729          (i) request a hearing for the proposed administrative rule or seek any other remedies
730     under the provisions of Title 63G, Chapter 3, Utah Administrative Rulemaking Act; and
731          (ii) request a review of the rule by the Legislature's Administrative Rules Review and
732     General Oversight Committee created in Section 63G-3-501.
733          (2) The office shall notify and educate providers and health care professionals subject
734     to audit and investigation under this chapter of the providers' and health care professionals'
735     responsibilities and rights under the administrative rules adopted by the office under the
736     provisions of this section and Section 63A-13-602.
737          Section 11. Section 63C-9-403 is amended to read:
738          63C-9-403. Contracting power of executive director -- Health insurance coverage.

739          (1) As used in this section:
740          (a) "Aggregate" means the sum of all contracts, change orders, and modifications
741     related to a single project.
742          (b) "Change order" means the same as that term is defined in Section 63G-6a-103.
743          (c) "Employee" means, as defined in Section 34A-2-104, an "employee," "worker," or
744     "operative" who:
745          (i) works at least 30 hours per calendar week; and
746          (ii) meets employer eligibility waiting requirements for health care insurance, which
747     may not exceed the first of the calendar month following 60 days after the day on which the
748     individual is hired.
749          (d) "Health benefit plan" means:
750          (i) the same as that term is defined in Section 31A-1-301; or
751          (ii) an employee welfare benefit plan:
752          (A) established under the Employee Retirement Income Security Act of 1974, 29
753     U.S.C. Sec. 1001 et seq.;
754          (B) for an employer with 100 or more employees; and
755          (C) in which the employer establishes a self-funded or partially self-funded group
756     health plan to provide medical care for the employer's employees and dependents of the
757     employees.
758          (e) "Qualified health coverage" means the same as that term is defined in Section
759     26-40-115.
760          (f) "Subcontractor" means the same as that term is defined in Section 63A-5b-605.
761          (g) "Third party administrator" or "administrator" means the same as that term is
762     defined in Section 31A-1-301.
763          (2) Except as provided in Subsection (3), the requirements of this section apply to:
764          (a) a contractor of a design or construction contract entered into by the board, or on
765     behalf of the board, on or after July 1, 2009, if the prime contract is in an aggregate amount
766     equal to or greater than $2,000,000; and
767          (b) a subcontractor of a contractor of a design or construction contract entered into by
768     the board, or on behalf of the board, on or after July 1, 2009, if the subcontract is in an
769     aggregate amount equal to or greater than $1,000,000.

770          (3) The requirements of this section do not apply to a contractor or subcontractor
771     described in Subsection (2) if:
772          (a) the application of this section jeopardizes the receipt of federal funds;
773          (b) the contract is a sole source contract; or
774          (c) the contract is an emergency procurement.
775          (4) A person that intentionally uses change orders, contract modifications, or multiple
776     contracts to circumvent the requirements of this section is guilty of an infraction.
777          (5) (a) A contractor subject to the requirements of this section shall demonstrate to the
778     executive director that the contractor has and will maintain an offer of qualified health
779     coverage for the contractor's employees and the employees' dependents during the duration of
780     the contract by submitting to the executive director a written statement that:
781          (i) the contractor offers qualified health coverage that complies with Section
782     26-40-115;
783          (ii) is from:
784          (A) an actuary selected by the contractor or the contractor's insurer;
785          (B) an underwriter who is responsible for developing the employer group's premium
786     rates; or
787          (C) if the contractor provides a health benefit plan described in Subsection (1)(d)(ii),
788     an actuary or underwriter selected by a third party administrator; and
789          (iii) was created within one year before the day on which the statement is submitted.
790          (b) (i) A contractor that provides a health benefit plan described in Subsection (1)(d)(ii)
791     shall provide the actuary or underwriter selected by the administrator, as described in
792     Subsection (5)(a)(ii)(C), sufficient information to determine whether the contractor's
793     contribution to the health benefit plan and the health benefit plan's actuarial value meets the
794     requirements of qualified health coverage.
795          (ii) A contractor may not make a change to the contractor's contribution to the health
796     benefit plan, unless the contractor provides notice to:
797          (A) the actuary or underwriter selected by the administrator, as described in Subsection
798     (5)(a)(ii)(C), for the actuary or underwriter to update the written statement described in
799     Subsection (5)(a) in compliance with this section; and
800          (B) the executive director.

801          (c) A contractor that is subject to the requirements of this section shall:
802          (i) place a requirement in each of the contractor's subcontracts that a subcontractor that
803     is subject to the requirements of this section shall obtain and maintain an offer of qualified
804     health coverage for the subcontractor's employees and the employees' dependents during the
805     duration of the subcontract; and
806          (ii) obtain from a subcontractor that is subject to the requirements of this section a
807     written statement that:
808          (A) the subcontractor offers qualified health coverage that complies with Section
809     26-40-115;
810          (B) is from an actuary selected by the subcontractor or the subcontractor's insurer, an
811     underwriter who is responsible for developing the employer group's premium rates, or if the
812     subcontractor provides a health benefit plan described in Subsection (1)(d)(ii), an actuary or
813     underwriter selected by an administrator; and
814          (C) was created within one year before the day on which the contractor obtains the
815     statement.
816          (d) (i) (A) A contractor that fails to maintain an offer of qualified health coverage as
817     described in Subsection (5)(a) during the duration of the contract is subject to penalties in
818     accordance with administrative rules adopted by the division under Subsection (6).
819          (B) A contractor is not subject to penalties for the failure of a subcontractor to obtain
820     and maintain an offer of qualified health coverage described in Subsection (5)(c)(i).
821          (ii) (A) A subcontractor that fails to obtain and maintain an offer of qualified health
822     coverage described in Subsection (5)(c)(i) during the duration of the subcontract is subject to
823     penalties in accordance with administrative rules adopted by the department under Subsection
824     (6).
825          (B) A subcontractor is not subject to penalties for the failure of a contractor to maintain
826     an offer of qualified health coverage described in Subsection (5)(a).
827          (6) The department shall adopt administrative rules:
828          (a) in accordance with Title 63G, Chapter 3, Utah Administrative Rulemaking Act;
829          (b) in coordination with:
830          (i) the Department of Environmental Quality in accordance with Section 19-1-206;
831          (ii) the Department of Natural Resources in accordance with Section 79-2-404;

832          (iii) the State Building Board in accordance with Section 63A-5b-607;
833          (iv) a public transit district in accordance with Section 17B-2a-818.5;
834          (v) the Department of Transportation in accordance with Section 72-6-107.5; and
835          (vi) the Legislature's Administrative Rules Review and General Oversight Committee;
836     and
837          (c) that establish:
838          (i) the requirements and procedures a contractor and a subcontractor shall follow to
839     demonstrate compliance with this section, including:
840          (A) that a contractor or subcontractor's compliance with this section is subject to an
841     audit by the department or the Office of the Legislative Auditor General;
842          (B) that a contractor that is subject to the requirements of this section shall obtain a
843     written statement described in Subsection (5)(a); and
844          (C) that a subcontractor that is subject to the requirements of this section shall obtain a
845     written statement described in Subsection (5)(c)(ii);
846          (ii) the penalties that may be imposed if a contractor or subcontractor intentionally
847     violates the provisions of this section, which may include:
848          (A) a three-month suspension of the contractor or subcontractor from entering into
849     future contracts with the state upon the first violation;
850          (B) a six-month suspension of the contractor or subcontractor from entering into future
851     contracts with the state upon the second violation;
852          (C) an action for debarment of the contractor or subcontractor in accordance with
853     Section 63G-6a-904 upon the third or subsequent violation; and
854          (D) monetary penalties which may not exceed 50% of the amount necessary to
855     purchase qualified health coverage for employees and dependents of employees of the
856     contractor or subcontractor who were not offered qualified health coverage during the duration
857     of the contract; and
858          (iii) a website on which the department shall post the commercially equivalent
859     benchmark, for the qualified health coverage identified in Subsection (1)(e), that is provided by
860     the Department of Health, in accordance with Subsection 26-40-115(2).
861          (7) (a) (i) In addition to the penalties imposed under Subsection (6)(c)(ii), a contractor
862     or subcontractor who intentionally violates the provisions of this section is liable to the

863     employee for health care costs that would have been covered by qualified health coverage.
864          (ii) An employer has an affirmative defense to a cause of action under Subsection
865     (7)(a)(i) if:
866          (A) the employer relied in good faith on a written statement described in Subsection
867     (5)(a) or (5)(c)(ii); or
868          (B) the department determines that compliance with this section is not required under
869     the provisions of Subsection (3).
870          (b) An employee has a private right of action only against the employee's employer to
871     enforce the provisions of this Subsection (7).
872          (8) Any penalties imposed and collected under this section shall be deposited into the
873     Medicaid Restricted Account created in Section 26-18-402.
874          (9) The failure of a contractor or subcontractor to provide qualified health coverage as
875     required by this section:
876          (a) may not be the basis for a protest or other action from a prospective bidder, offeror,
877     or contractor under:
878          (i) Section 63G-6a-1602; or
879          (ii) any other provision in Title 63G, Chapter 6a, Utah Procurement Code; and
880          (b) may not be used by the procurement entity or a prospective bidder, offeror, or
881     contractor as a basis for any action or suit that would suspend, disrupt, or terminate the design
882     or construction.
883          (10) An administrator, including the administrator's actuary or underwriter, who
884     provides a written statement under Subsection (5)(a) or (c) regarding the qualified health
885     coverage of a contractor or subcontractor who provides a health benefit plan described in
886     Subsection (1)(d)(ii):
887          (a) subject to Subsection (10)(b), is not liable for an error in the written statement,
888     unless the administrator commits gross negligence in preparing the written statement;
889          (b) is not liable for any error in the written statement if the administrator relied in good
890     faith on information from the contractor or subcontractor; and
891          (c) may require as a condition of providing the written statement that a contractor or
892     subcontractor hold the administrator harmless for an action arising under this section.
893          Section 12. Section 63G-3-301 is amended to read:

894          63G-3-301. Rulemaking procedure.
895          (1) An agency authorized to make rules is also authorized to amend or repeal those
896     rules.
897          (2) Except as provided in Sections 63G-3-303 and 63G-3-304, when making,
898     amending, or repealing a rule agencies shall comply with:
899          (a) the requirements of this section;
900          (b) consistent procedures required by other statutes;
901          (c) applicable federal mandates; and
902          (d) rules made by the office to implement this chapter.
903          (3) Subject to the requirements of this chapter, each agency shall develop and use
904     flexible approaches in drafting rules that meet the needs of the agency and that involve persons
905     affected by the agency's rules.
906          (4) (a) Each agency shall file the agency's proposed rule and rule analysis with the
907     office.
908          (b) Rule amendments shall be marked with new language underlined and deleted
909     language struck out.
910          (c) (i) The office shall publish the information required under Subsection (8) on the
911     rule analysis and the text of the proposed rule in the next issue of the bulletin.
912          (ii) For rule amendments, only the section or subsection of the rule being amended
913     need be printed.
914          (iii) If the director determines that the rule is too long to publish, the office shall
915     publish the rule analysis and shall publish the rule by reference to a copy on file with the office.
916          (5) Before filing a rule with the office, the agency shall conduct a thorough analysis,
917     consistent with the criteria established by the Governor's Office of Planning and Budget, of the
918     fiscal impact a rule may have on businesses, which criteria may include:
919          (a) the type of industries that will be impacted by the rule, and for each identified
920     industry, an estimate of the total number of businesses within the industry, and an estimate of
921     the number of those businesses that are small businesses;
922          (b) the individual fiscal impact that would incur to a typical business for a one-year
923     period;
924          (c) the aggregated total fiscal impact that would incur to all businesses within the state

925     for a one-year period;
926          (d) the total cost that would incur to all impacted entities over a five-year period; and
927          (e) the department head's comments on the analysis.
928          (6) If the agency reasonably expects that a proposed rule will have a measurable
929     negative fiscal impact on small businesses, the agency shall consider, as allowed by federal
930     law, each of the following methods of reducing the impact of the rule on small businesses:
931          (a) establishing less stringent compliance or reporting requirements for small
932     businesses;
933          (b) establishing less stringent schedules or deadlines for compliance or reporting
934     requirements for small businesses;
935          (c) consolidating or simplifying compliance or reporting requirements for small
936     businesses;
937          (d) establishing performance standards for small businesses to replace design or
938     operational standards required in the proposed rule; and
939          (e) exempting small businesses from all or any part of the requirements contained in
940     the proposed rule.
941          (7) If during the public comment period an agency receives comment that the proposed
942     rule will cost small business more than one day's annual average gross receipts, and the agency
943     had not previously performed the analysis in Subsection (6), the agency shall perform the
944     analysis described in Subsection (6).
945          (8) The rule analysis shall contain:
946          (a) a summary of the rule or change;
947          (b) the purpose of the rule or reason for the change;
948          (c) the statutory authority or federal requirement for the rule;
949          (d) the anticipated cost or savings to:
950          (i) the state budget;
951          (ii) local governments;
952          (iii) small businesses; and
953          (iv) persons other than small businesses, businesses, or local governmental entities;
954          (e) the compliance cost for affected persons;
955          (f) how interested persons may review the full text of the rule;

956          (g) how interested persons may present their views on the rule;
957          (h) the time and place of any scheduled public hearing;
958          (i) the name and telephone number of an agency employee who may be contacted
959     about the rule;
960          (j) the name of the agency head or designee who authorized the rule;
961          (k) the date on which the rule may become effective following the public comment
962     period;
963          (l) the agency's analysis on the fiscal impact of the rule as required under Subsection
964     (5);
965          (m) any additional comments the department head may choose to submit regarding the
966     fiscal impact the rule may have on businesses; and
967          (n) if applicable, a summary of the agency's efforts to comply with the requirements of
968     Subsection (6).
969          (9) (a) For a rule being repealed and reenacted, the rule analysis shall contain a
970     summary that generally includes the following:
971          (i) a summary of substantive provisions in the repealed rule which are eliminated from
972     the enacted rule; and
973          (ii) a summary of new substantive provisions appearing only in the enacted rule.
974          (b) The summary required under this Subsection (9) is to aid in review and may not be
975     used to contest any rule on the ground of noncompliance with the procedural requirements of
976     this chapter.
977          (10) A copy of the rule analysis shall be mailed to all persons who have made timely
978     request of the agency for advance notice of the agency's rulemaking proceedings and to any
979     other person who, by statutory or federal mandate or in the judgment of the agency, should also
980     receive notice.
981          (11) (a) Following the publication date, the agency shall allow at least 30 days for
982     public comment on the rule.
983          (b) The agency shall review and evaluate all public comments submitted in writing
984     within the time period under Subsection (11)(a) or presented at public hearings conducted by
985     the agency within the time period under Subsection (11)(a).
986          (12) (a) Except as provided in Sections 63G-3-303 and 63G-3-304, a proposed rule

987     becomes effective on any date specified by the agency that is:
988          (i) no fewer than seven calendar days after the day on which the public comment
989     period closes under Subsection (11); and
990          (ii) no more than 120 days after the day on which the rule is published.
991          (b) The agency shall provide notice of the rule's effective date to the office in the form
992     required by the office.
993          (c) The notice of effective date may not provide for an effective date before the day on
994     which the office receives the notice.
995          (d) The office shall publish notice of the effective date of the rule in the next issue of
996     the bulletin.
997          (e) A proposed rule lapses if a notice of effective date or a change to a proposed rule is
998     not filed with the office within 120 days after the day on which the rule is published.
999          (13) (a) Except as provided in Subsection (13)(d), before an agency enacts a rule, the
1000     agency shall submit to the appropriations subcommittee and interim committee with
1001     jurisdiction over the agency the agency's proposed rule for review, if the proposed rule, over a
1002     three-year period, has a fiscal impact of more than:
1003          (i) $250,000 to a single person; or
1004          (ii) $7,500,000 to a group of persons.
1005          (b) An appropriations subcommittee or interim committee that reviews a rule
1006     submitted under Subsection (13)(a) shall:
1007          (i) before the review, directly inform the chairs of the Administrative Rules Review
1008     and General Oversight Committee of the coming review, including the date, time, and place of
1009     the review; and
1010          (ii) after the review, directly inform the chairs of the Administrative Rules Review and
1011     General Oversight Committee of the outcome of the review, including any recommendation.
1012          (c) An appropriations subcommittee or interim committee that reviews a rule submitted
1013     under Subsection (13)(a) may recommend to the Administrative Rules Review and General
1014     Oversight Committee that the Administrative Rules Review and General Oversight Committee
1015     not recommend reauthorization of the rule in the omnibus legislation described in Section
1016     63G-3-502.
1017          (d) The requirement described in Subsection (13)(a) does not apply to:

1018          (i) the State Tax Commission; or
1019          (ii) the State Board of Education.
1020          (14) (a) As used in this Subsection (14), "initiate rulemaking proceedings" means the
1021     filing, for the purposes of publication in accordance with Subsection (4), of an agency's
1022     proposed rule that is required by state statute.
1023          (b) A state agency shall initiate rulemaking proceedings no later than 180 days after the
1024     day on which the statutory provision that specifically requires the rulemaking takes effect,
1025     except under Subsection (14)(c).
1026          (c) When a statute is enacted that requires agency rulemaking and the affected agency
1027     already has rules in place that meet the statutory requirement, the agency shall submit the rules
1028     to the Administrative Rules Review and General Oversight Committee for review within 60
1029     days after the day on which the statute requiring the rulemaking takes effect.
1030          (d) If a state agency does not initiate rulemaking proceedings in accordance with the
1031     time requirements in Subsection (14)(b), the state agency shall appear before the legislative
1032     Administrative Rules Review and General Oversight Committee and provide the reasons for
1033     the delay.
1034          Section 13. Section 63G-3-304 is amended to read:
1035          63G-3-304. Emergency rulemaking procedure.
1036          (1) All agencies shall comply with the rulemaking procedures of Section 63G-3-301
1037     unless an agency finds that these procedures would:
1038          (a) cause an imminent peril to the public health, safety, or welfare;
1039          (b) cause an imminent budget reduction because of budget restraints or federal
1040     requirements; or
1041          (c) place the agency in violation of federal or state law.
1042          (2) (a) When finding that its rule is excepted from regular rulemaking procedures by
1043     this section, the agency shall file with the office and the members of the Administrative Rules
1044     Review and General Oversight Committee:
1045          (i) the text of the rule; and
1046          (ii) a rule analysis that includes the specific reasons and justifications for its findings.
1047          (b) The office shall publish the rule in the bulletin as provided in Subsection
1048     63G-3-301(4).

1049          (c) The agency shall notify interested persons as provided in Subsection
1050     63G-3-301(10).
1051          (d) Subject to Subsection 63G-3-502(4), the rule becomes effective for a period not
1052     exceeding 120 days on the date of filing or any later date designated in the rule.
1053          (3) If the agency intends the rule to be effective beyond 120 days, the agency shall also
1054     comply with the procedures of Section 63G-3-301.
1055          Section 14. Section 63G-3-402 is amended to read:
1056          63G-3-402. Office of Administrative Rules -- Duties generally.
1057          (1) The office shall:
1058          (a) record in a register the receipt of all agency rules, rule analysis forms, and notices
1059     of effective dates;
1060          (b) make the register, copies of all proposed rules, and rulemaking documents available
1061     for public inspection;
1062          (c) publish all proposed rules, rule analyses, notices of effective dates, and review
1063     notices in the bulletin at least monthly, except that the office may publish the complete text of
1064     any proposed rule that the director determines is too long to print or too expensive to publish
1065     by reference to the text maintained by the office;
1066          (d) compile, format, number, and index all effective rules in an administrative code,
1067     and periodically publish that code and supplements or revisions to it;
1068          (e) publish a digest of all rules and notices contained in the most recent bulletin;
1069          (f) publish at least annually an index of all changes to the administrative code and the
1070     effective date of each change;
1071          (g) print, or contract to print, all rulemaking publications the director determines
1072     necessary to implement this chapter;
1073          (h) distribute without charge the bulletin and administrative code to state-designated
1074     repositories, the Administrative Rules Review and General Oversight Committee, the Office of
1075     Legislative Research and General Counsel, and the two houses of the Legislature;
1076          (i) distribute without charge the digest and index to state legislators, agencies, political
1077     subdivisions on request, and the Office of Legislative Research and General Counsel;
1078          (j) distribute, at prices covering publication costs, all paper rulemaking publications to
1079     all other requesting persons and agencies;

1080          (k) provide agencies assistance in rulemaking;
1081          (l) if the department operates the office as an internal service fund agency in
1082     accordance with Section 63A-1-109.5, submit to the Rate Committee established in Section
1083     63A-1-114:
1084          (i) the proposed rate and fee schedule as required by Section 63A-1-114; and
1085          (ii) other information or analysis requested by the Rate Committee;
1086          (m) administer this chapter and require state agencies to comply with filing,
1087     publication, and hearing procedures; and
1088          (n) make technological improvements to the rulemaking process, including
1089     improvements to automation and digital accessibility.
1090          (2) The office shall establish by rule in accordance with Title 63G, Chapter 3, Utah
1091     Administrative Rulemaking Act, all filing, publication, and hearing procedures necessary to
1092     make rules under this chapter.
1093          (3) The office may after notifying the agency make nonsubstantive changes to rules
1094     filed with the office or published in the bulletin or code by:
1095          (a) implementing a uniform system of formatting, punctuation, capitalization,
1096     organization, numbering, and wording;
1097          (b) correcting obvious errors and inconsistencies in punctuation, capitalization,
1098     numbering, referencing, and wording;
1099          (c) changing a catchline to more accurately reflect the substance of each section, part,
1100     rule, or title;
1101          (d) updating or correcting annotations associated with a section, part, rule, or title; and
1102          (e) merging or determining priority of any amendment, enactment, or repeal to the
1103     same rule or section made effective by an agency.
1104          (4) In addition, the office may make the following nonsubstantive changes with the
1105     concurrence of the agency:
1106          (a) eliminate duplication within rules;
1107          (b) eliminate obsolete and redundant words; and
1108          (c) correct defective or inconsistent section and paragraph structure in arrangement of
1109     the subject matter of rules.
1110          (5) For nonsubstantive changes made in accordance with Subsection (3) or (4) after

1111     publication of the rule in the bulletin, the office shall publish a list of nonsubstantive changes
1112     in the bulletin. For each nonsubstantive change, the list shall include:
1113          (a) the affected code citation;
1114          (b) a brief description of the change; and
1115          (c) the date the change was made.
1116          (6) All funds appropriated or collected for publishing the office's publications shall be
1117     nonlapsing.
1118          Section 15. Section 63G-3-403 is amended to read:
1119          63G-3-403. Repeal and reenactment of Utah Administrative Code.
1120          (1) When the director determines that the Utah Administrative Code requires extensive
1121     revision and reorganization, the office may repeal the code and reenact a new code according to
1122     the requirements of this section.
1123          (2) The office may:
1124          (a) reorganize, reformat, and renumber the code;
1125          (b) require each agency to review its rules and make any organizational or substantive
1126     changes according to the requirements of Section 63G-3-303; and
1127          (c) require each agency to prepare a brief summary of all substantive changes made by
1128     the agency.
1129          (3) The office may make nonsubstantive changes in the code by:
1130          (a) adopting a uniform system of punctuation, capitalization, numbering, and wording;
1131          (b) eliminating duplication;
1132          (c) correcting defective or inconsistent section and paragraph structure in arrangement
1133     of the subject matter of rules;
1134          (d) eliminating all obsolete or redundant words;
1135          (e) correcting obvious errors and inconsistencies in punctuation, capitalization,
1136     numbering, referencing, and wording;
1137          (f) changing a catchline to more accurately reflect the substance of each section, part,
1138     rule, or title;
1139          (g) updating or correcting annotations associated with a section, part, rule, or title; and
1140          (h) merging or determining priority of any amendment, enactment, or repeal to the
1141     same rule or section made effective by an agency.

1142          (4) (a) To inform the public about the proposed code reenactment, the office shall
1143     publish in the bulletin:
1144          (i) notice of the code reenactment;
1145          (ii) the date, time, and place of a public hearing where members of the public may
1146     comment on the proposed reenactment of the code;
1147          (iii) locations where the proposed reenactment of the code may be reviewed; and
1148          (iv) agency summaries of substantive changes in the reenacted code.
1149          (b) To inform the public about substantive changes in agency rules contained in the
1150     proposed reenactment, each agency shall:
1151          (i) make the text of their reenacted rules available:
1152          (A) for public review during regular business hours; and
1153          (B) in an electronic version; and
1154          (ii) comply with the requirements of Subsection 63G-3-301(10).
1155          (5) The office shall hold a public hearing on the proposed code reenactment no fewer
1156     than 30 days nor more than 45 days after the publication required by Subsection (4)(a).
1157          (6) The office shall distribute complete text of the proposed code reenactment without
1158     charge to:
1159          (a) state-designated repositories in Utah;
1160          (b) the Administrative Rules Review and General Oversight Committee; and
1161          (c) the Office of Legislative Research and General Counsel.
1162          (7) The former code is repealed and the reenacted code is effective at noon on a date
1163     designated by the office that is not fewer than 45 days nor more than 90 days after the
1164     publication date required by this section.
1165          (8) Repeal and reenactment of the code meets the requirements of Section 63G-3-305
1166     for a review of all agency rules.
1167          Section 16. Section 63G-3-501 is amended to read:
1168          63G-3-501. Administrative Rules Review and General Oversight Committee.
1169          (1) (a) There is created an Administrative Rules Review and General Oversight
1170     Committee of the following 10 permanent members:
1171          (i) five members of the Senate appointed by the president of the Senate, no more than
1172     three of whom may be from the same political party; and

1173          (ii) five members of the House of Representatives appointed by the speaker of the
1174     House of Representatives, no more than three of whom may be from the same political party.
1175          (b) Each permanent member shall serve:
1176          (i) for a two-year term; or
1177          (ii) until the permanent member's successor is appointed.
1178          (c) (i) A vacancy exists when a permanent member ceases to be a member of the
1179     Legislature, or when a permanent member resigns from the committee.
1180          (ii) When a vacancy exists:
1181          (A) if the departing member is a member of the Senate, the president of the Senate
1182     shall appoint a member of the Senate to fill the vacancy; or
1183          (B) if the departing member is a member of the House of Representatives, the speaker
1184     of the House of Representatives shall appoint a member of the House of Representatives to fill
1185     the vacancy.
1186          (iii) The newly appointed member shall serve the remainder of the departing member's
1187     unexpired term.
1188          (d) (i) The president of the Senate shall designate a member of the Senate appointed
1189     under Subsection (1)(a)(i) as a cochair of the committee.
1190          (ii) The speaker of the House of Representatives shall designate a member of the
1191     House of Representatives appointed under Subsection (1)(a)(ii) as a cochair of the committee.
1192          (e) Three representatives and three senators from the permanent members are a quorum
1193     for the transaction of business at any meeting.
1194          (f) (i) Subject to Subsection (1)(f)(ii), the committee shall meet at least once each
1195     month to review new agency rules, amendments to existing agency rules, and repeals of
1196     existing agency rules.
1197          (ii) The committee chairs may suspend the meeting requirement described in
1198     Subsection (1)(f)(i) at the committee chairs' discretion.
1199          (2) The office shall submit a copy of each issue of the bulletin to the committee.
1200          (3) (a) The committee shall exercise continuous oversight of the rulemaking process.
1201          (b) The committee shall examine each rule, including any rule made according to the
1202     emergency rulemaking procedure described in Section 63G-3-304, submitted by an agency to
1203     determine:

1204          (i) whether the rule is authorized by statute;
1205          (ii) whether the rule complies with legislative intent;
1206          (iii) the rule's impact on the economy and the government operations of the state and
1207     local political subdivisions;
1208          (iv) the rule's impact on affected persons;
1209          (v) the rule's total cost to entities regulated by the state;
1210          (vi) the rule's benefit to the citizens of the state; and
1211          (vii) whether adoption of the rule requires legislative review or approval.
1212          (c) The committee may examine and review:
1213          (i) any executive order issued pursuant to Title 53, Chapter 2a, Part 2, Disaster
1214     Response and Recovery Act; [or]
1215          (ii) any public health order issued during a public health emergency declared in
1216     accordance with Title 26, Utah Health Code, or Title 26A, Local Health Authorities[.]; or
1217          (iii) an agency's policies that:
1218          (A) affect a class of persons other than the agency; or
1219          (B) are contrary to legislative intent.
1220          (d) (i) To carry out these duties, the committee may examine any other issues that the
1221     committee considers necessary.
1222          (ii) Notwithstanding anything to the contrary in this section, the committee may not
1223     examine an agency's internal policies, procedures, or practices.
1224          [(ii)] (iii) The committee may also notify and refer rules to the chairs of the interim
1225     committee that has jurisdiction over a particular agency when the committee determines that an
1226     issue involved in an agency's rules may be more appropriately addressed by that committee.
1227          (e) An agency shall respond to a request from the committee for:
1228          (i) an agency's policy described in Subsection (3)(c)(iii); or
1229          (ii) information related to an agency's policy described in Subsection (3)(c)(iii).
1230          [(e)] (f) In reviewing a rule, the committee shall follow generally accepted principles of
1231     statutory construction.
1232          (4) When the committee reviews an existing rule, the committee chairs shall invite the
1233     Senate and House chairs of the standing committee and of the appropriation subcommittee that
1234     have jurisdiction over the agency whose existing rule is being reviewed to participate as

1235     nonvoting, ex officio members with the committee.
1236          (5) The committee may request that the Office of the Legislative Fiscal Analyst prepare
1237     a fiscal note on any rule.
1238          (6) In order to accomplish the committee's functions described in this chapter, the
1239     committee has all the powers granted to legislative interim committees under Section 36-12-11.
1240          (7) (a) The committee may prepare written findings of the committee's review of a rule
1241     [or], policy, practice, or procedure and may include any recommendation, including:
1242          (i) legislative action; or
1243          (ii) action by a standing committee or interim committee.
1244          (b) When the committee reviews a rule, the committee shall provide to the agency that
1245     enacted the rule:
1246          (i) the committee's findings, if any; and
1247          (ii) a request that the agency notify the committee of any changes the agency makes to
1248     the rule.
1249          (c) The committee shall provide a copy of the committee's findings described in
1250     Subsection (7)(a), if any, to:
1251          (i) any member of the Legislature, upon request;
1252          (ii) any person affected by the rule, upon request;
1253          (iii) the president of the Senate;
1254          (iv) the speaker of the House of Representatives;
1255          (v) the Senate and House chairs of the standing committee that has jurisdiction over the
1256     agency [that made the rule] whose rule, policy, practice, or procedure is the subject of the
1257     finding; and
1258          (vi) the Senate and House chairs of the appropriation subcommittee that has
1259     jurisdiction over the agency that made the rule.
1260          (8) (a) (i) The committee may submit a report on the committee's review [of state
1261     agency rules] under this section to each member of the Legislature at each regular session.
1262          (ii) The report shall include:
1263          (A) any finding or recommendation the committee made under Subsection (7);
1264          (B) any action an agency took in response to a committee recommendation; and
1265          (C) any recommendation by the committee for legislation.

1266          (b) If the committee receives a recommendation not to reauthorize a rule, as described
1267     in Subsection 63G-3-301(13)(b), and the committee recommends to the Legislature
1268     reauthorization of the rule, the committee shall submit a report to each member of the
1269     Legislature detailing the committee's decision.
1270          (c) If the committee recommends legislation, the committee may prepare legislation for
1271     consideration by the Legislature at the next general session.
1272          Section 17. Section 63G-3-502 is amended to read:
1273          63G-3-502. Legislative reauthorization of agency rules -- Extension of rules by
1274     governor.
1275          (1) All grants of rulemaking power from the Legislature to a state agency in any statute
1276     are made subject to the provisions of this section.
1277          (2) (a) Except as provided in Subsection (2)(b), every agency rule that is in effect on
1278     February 28 of any calendar year expires on May 1 of that year unless it has been reauthorized
1279     by the Legislature.
1280          (b) Notwithstanding the provisions of Subsection (2)(a), an agency's rules do not expire
1281     if:
1282          (i) the rule is explicitly mandated by a federal law or regulation; or
1283          (ii) a provision of Utah's constitution vests the agency with specific constitutional
1284     authority to regulate.
1285          (3) (a) The Administrative Rules Review and General Oversight Committee shall have
1286     omnibus legislation prepared for consideration by the Legislature during its annual general
1287     session.
1288          (b) The omnibus legislation shall be substantially in the following form: "All rules of
1289     Utah state agencies are reauthorized except for the following:".
1290          (c) Before sending the legislation to the governor for the governor's action, the
1291     Administrative Rules Review and General Oversight Committee may send a letter to the
1292     governor and to the agency explaining specifically why the committee believes any rule should
1293     not be reauthorized.
1294          (d) For the purpose of this section, the entire rule, a single section, or any complete
1295     paragraph of a rule may be excepted for reauthorization in the omnibus legislation considered
1296     by the Legislature.

1297          (4) [(a)] The Administrative Rules Review and General Oversight Committee may
1298     have legislation prepared for consideration by the Legislature in the annual general session or a
1299     special session regarding any rule made according to emergency rulemaking procedures
1300     described in Section 63G-3-304.
1301          (5) The Legislature's reauthorization of a rule by legislation does not constitute
1302     legislative approval of the rule, nor is it admissible in any proceeding as evidence of legislative
1303     intent.
1304          (6) (a) If an agency believes that a rule that has not been reauthorized by the
1305     Legislature or that will be allowed to expire should continue in full force and effect and is a
1306     rule within their authorized rulemaking power, the agency may seek the governor's declaration
1307     extending the rule beyond the expiration date.
1308          (b) In seeking the extension, the agency shall submit a petition to the governor that
1309     affirmatively states:
1310          (i) that the rule is necessary; and
1311          (ii) a citation to the source of its authority to make the rule.
1312          (c) (i) If the governor finds that the necessity does exist, and that the agency has the
1313     authority to make the rule, the governor may declare the rule to be extended by publishing that
1314     declaration in the Administrative Rules Bulletin on or before April 15 of that year.
1315          (ii) The declaration shall set forth the rule to be extended, the reasons the extension is
1316     necessary, and a citation to the source of the agency's authority to make the rule.
1317          (d) If the omnibus bill required by Subsection (3) fails to pass both houses of the
1318     Legislature or is found to have a technical legal defect preventing reauthorization of
1319     administrative rules intended to be reauthorized by the Legislature, the governor may declare
1320     all rules to be extended by publishing a single declaration in the Administrative Rules Bulletin
1321     on or before June 15 without meeting requirements of Subsections (6)(b) and (c).
1322          Section 18. Section 63N-6-203 is amended to read:
1323          63N-6-203. Board duties and powers.
1324          (1) The board shall, by rule:
1325          (a) establish criteria and procedures for the allocation and issuance of contingent tax
1326     credits to designated investors by means of certificates issued by the board;
1327          (b) establish criteria and procedures for assessing the likelihood of future certificate

1328     redemptions by designated investors, including:
1329          (i) criteria and procedures for evaluating the value of investments made by the Utah
1330     fund of funds; and
1331          (ii) the returns from the Utah fund of funds;
1332          (c) establish criteria and procedures for issuing, calculating, registering, and redeeming
1333     contingent tax credits by designated investors holding certificates issued by the board;
1334          (d) establish a target rate of return or range of returns for the investment portfolio of
1335     the Utah fund of funds;
1336          (e) establish criteria and procedures governing commitments obtained by the board
1337     from designated purchasers including:
1338          (i) entering into commitments with designated purchasers; and
1339          (ii) drawing on commitments to redeem certificates from designated investors;
1340          (f) have power to:
1341          (i) expend funds;
1342          (ii) invest funds;
1343          (iii) issue debt and borrow funds;
1344          (iv) enter into contracts;
1345          (v) insure against loss; and
1346          (vi) perform any other act necessary to carry out its purpose; and
1347          (g) make, amend, and repeal rules for the conduct of its affairs, consistent with this part
1348     and in accordance with Title 63G, Chapter 3, Utah Administrative Rulemaking Act.
1349          (2) (a) All rules made by the board under Subsection (1)(g) are subject to review by the
1350     Legislative Management Committee:
1351          (i) whenever made, modified, or repealed; and
1352          (ii) in each even-numbered year.
1353          (b) Subsection (2)(a) does not preclude the legislative Administrative Rules Review
1354     and General Oversight Committee from reviewing and taking appropriate action on any rule
1355     made, amended, or repealed by the board.
1356          (3) (a) The criteria and procedures established by the board for the allocation and
1357     issuance of contingent tax credits shall include the contingencies that must be met for a
1358     certificate and its related tax credits to be:

1359          (i) issued by the board;
1360          (ii) transferred by a designated investor; and
1361          (iii) redeemed by a designated investor in order to receive a contingent tax credit.
1362          (b) The board shall tie the contingencies for redemption of certificates to:
1363          (i) for a private investment initiated before July 1, 2015:
1364          (A) the targeted rates of return and scheduled redemptions of equity interests purchased
1365     by designated investors in the Utah fund of funds; and
1366          (B) the scheduled principal and interest payments payable to designated investors that
1367     have made loans initiated before July 1, 2014, including a loan refinanced one or more times
1368     on or after July 1, 2014, that was originated before July 1, 2014, to the Utah fund of funds; or
1369          (ii) for an equity-based private investment initiated on or after July 1, 2015, the
1370     positive impact on economic development in the state that is related to the fund's investments
1371     or the success of the corporation's economic development plan in the state, including:
1372          (A) encouraging the availability of a wide variety of venture capital in the state;
1373          (B) strengthening the state's economy;
1374          (C) helping business in the state gain access to sources of capital;
1375          (D) helping build a significant, permanent source of capital available for businesses in
1376     the state; and
1377          (E) creating benefits for the state while minimizing the use of contingent tax credits.
1378          (4) (a) The board may charge a placement fee to the Utah fund of funds for the
1379     issuance of a certificate and related contingent tax credit to a designated investor.
1380          (b) The fee shall:
1381          (i) be charged only to pay for reasonable and necessary costs of the board; and
1382          (ii) not exceed .5% of the private investment of the designated investor.
1383          (5) The board's criteria and procedures for redeeming certificates:
1384          (a) shall give priority to the redemption amount from the available funds in the
1385     redemption reserve; and
1386          (b) to the extent there are insufficient funds in the redemption reserve to redeem
1387     certificates, shall grant the board the option to redeem certificates:
1388          (i) by certifying a contingent tax credit to the designated investor; or
1389          (ii) by making demand on designated purchasers consistent with the requirements of

1390     Section 63N-6-409.
1391          Section 19. Section 72-6-107.5 is amended to read:
1392          72-6-107.5. Construction of improvements of highway -- Contracts -- Health
1393     insurance coverage.
1394          (1) As used in this section:
1395          (a) "Aggregate" means the sum of all contracts, change orders, and modifications
1396     related to a single project.
1397          (b) "Change order" means the same as that term is defined in Section 63G-6a-103.
1398          (c) "Employee" means, as defined in Section 34A-2-104, an "employee," "worker," or
1399     "operative" who:
1400          (i) works at least 30 hours per calendar week; and
1401          (ii) meets employer eligibility waiting requirements for health care insurance, which
1402     may not exceed the first day of the calendar month following 60 days after the day on which
1403     the individual is hired.
1404          (d) "Health benefit plan" means:
1405          (i) the same as that term is defined in Section 31A-1-301; or
1406          (ii) an employee welfare benefit plan:
1407          (A) established under the Employee Retirement Income Security Act of 1974, 29
1408     U.S.C. Sec. 1001 et seq.;
1409          (B) for an employer with 100 or more employees; and
1410          (C) in which the employer establishes a self-funded or partially self-funded group
1411     health plan to provide medical care for the employer's employees and dependents of the
1412     employees.
1413          (e) "Qualified health coverage" means the same as that term is defined in Section
1414     26-40-115.
1415          (f) "Subcontractor" means the same as that term is defined in Section 63A-5b-605.
1416          (g) "Third party administrator" or "administrator" means the same as that term is
1417     defined in Section 31A-1-301.
1418          (2) Except as provided in Subsection (3), the requirements of this section apply to:
1419          (a) a contractor of a design or construction contract entered into by the department on
1420     or after July 1, 2009, if the prime contract is in an aggregate amount equal to or greater than

1421     $2,000,000; and
1422          (b) a subcontractor of a contractor of a design or construction contract entered into by
1423     the department on or after July 1, 2009, if the subcontract is in an aggregate amount equal to or
1424     greater than $1,000,000.
1425          (3) The requirements of this section do not apply to a contractor or subcontractor
1426     described in Subsection (2) if:
1427          (a) the application of this section jeopardizes the receipt of federal funds;
1428          (b) the contract is a sole source contract; or
1429          (c) the contract is an emergency procurement.
1430          (4) A person that intentionally uses change orders, contract modifications, or multiple
1431     contracts to circumvent the requirements of this section is guilty of an infraction.
1432          (5) (a) A contractor subject to the requirements of this section shall demonstrate to the
1433     department that the contractor has and will maintain an offer of qualified health coverage for
1434     the contractor's employees and the employees' dependents during the duration of the contract
1435     by submitting to the department a written statement that:
1436          (i) the contractor offers qualified health coverage that complies with Section
1437     26-40-115;
1438          (ii) is from:
1439          (A) an actuary selected by the contractor or the contractor's insurer;
1440          (B) an underwriter who is responsible for developing the employer group's premium
1441     rates; or
1442          (C) if the contractor provides a health benefit plan described in Subsection (1)(d)(ii),
1443     an actuary or underwriter selected by a third party administrator; and
1444          (iii) was created within one year before the day on which the statement is submitted.
1445          (b) (i) A contractor that provides a health benefit plan described in Subsection (1)(d)(ii)
1446     shall provide the actuary or underwriter selected by an administrator, as described in
1447     Subsection (5)(a)(ii)(C), sufficient information to determine whether the contractor's
1448     contribution to the health benefit plan and the actuarial value of the health benefit plan meet the
1449     requirements of qualified health coverage.
1450          (ii) A contractor may not make a change to the contractor's contribution to the health
1451     benefit plan, unless the contractor provides notice to:

1452          (A) the actuary or underwriter selected by an administrator, as described in Subsection
1453     (5)(a)(ii)(C), for the actuary or underwriter to update the written statement described in
1454     Subsection (5)(a) in compliance with this section; and
1455          (B) the department.
1456          (c) A contractor that is subject to the requirements of this section shall:
1457          (i) place a requirement in each of the contractor's subcontracts that a subcontractor that
1458     is subject to the requirements of this section shall obtain and maintain an offer of qualified
1459     health coverage for the subcontractor's employees and the employees' dependents during the
1460     duration of the subcontract; and
1461          (ii) obtain from a subcontractor that is subject to the requirements of this section a
1462     written statement that:
1463          (A) the subcontractor offers qualified health coverage that complies with Section
1464     26-40-115;
1465          (B) is from an actuary selected by the subcontractor or the subcontractor's insurer, an
1466     underwriter who is responsible for developing the employer group's premium rates, or if the
1467     subcontractor provides a health benefit plan described in Subsection (1)(d)(ii), an actuary or
1468     underwriter selected by an administrator; and
1469          (C) was created within one year before the day on which the contractor obtains the
1470     statement.
1471          (d) (i) (A) A contractor that fails to maintain an offer of qualified health coverage
1472     described in Subsection (5)(a) during the duration of the contract is subject to penalties in
1473     accordance with administrative rules adopted by the department under Subsection (6).
1474          (B) A contractor is not subject to penalties for the failure of a subcontractor to obtain
1475     and maintain an offer of qualified health coverage described in Subsection (5)(c)(i).
1476          (ii) (A) A subcontractor that fails to obtain and maintain an offer of qualified health
1477     coverage described in Subsection (5)(c) during the duration of the subcontract is subject to
1478     penalties in accordance with administrative rules adopted by the department under Subsection
1479     (6).
1480          (B) A subcontractor is not subject to penalties for the failure of a contractor to maintain
1481     an offer of qualified health coverage described in Subsection (5)(a).
1482          (6) The department shall adopt administrative rules:

1483          (a) in accordance with Title 63G, Chapter 3, Utah Administrative Rulemaking Act;
1484          (b) in coordination with:
1485          (i) the Department of Environmental Quality in accordance with Section 19-1-206;
1486          (ii) the Department of Natural Resources in accordance with Section 79-2-404;
1487          (iii) the State Building Board in accordance with Section 63A-5b-607;
1488          (iv) the State Capitol Preservation Board in accordance with Section 63C-9-403;
1489          (v) a public transit district in accordance with Section 17B-2a-818.5; and
1490          (vi) the Legislature's Administrative Rules Review and General Oversight Committee;
1491     and
1492          (c) that establish:
1493          (i) the requirements and procedures a contractor and a subcontractor shall follow to
1494     demonstrate compliance with this section, including:
1495          (A) that a contractor or subcontractor's compliance with this section is subject to an
1496     audit by the department or the Office of the Legislative Auditor General;
1497          (B) that a contractor that is subject to the requirements of this section shall obtain a
1498     written statement described in Subsection (5)(a); and
1499          (C) that a subcontractor that is subject to the requirements of this section shall obtain a
1500     written statement described in Subsection (5)(c)(ii);
1501          (ii) the penalties that may be imposed if a contractor or subcontractor intentionally
1502     violates the provisions of this section, which may include:
1503          (A) a three-month suspension of the contractor or subcontractor from entering into
1504     future contracts with the state upon the first violation;
1505          (B) a six-month suspension of the contractor or subcontractor from entering into future
1506     contracts with the state upon the second violation;
1507          (C) an action for debarment of the contractor or subcontractor in accordance with
1508     Section 63G-6a-904 upon the third or subsequent violation; and
1509          (D) monetary penalties which may not exceed 50% of the amount necessary to
1510     purchase qualified health coverage for an employee and a dependent of the employee of the
1511     contractor or subcontractor who was not offered qualified health coverage during the duration
1512     of the contract; and
1513          (iii) a website on which the department shall post the commercially equivalent

1514     benchmark, for the qualified health coverage identified in Subsection (1)(e), that is provided by
1515     the Department of Health, in accordance with Subsection 26-40-115(2).
1516          (7) (a) (i) In addition to the penalties imposed under Subsection (6)(c)(ii), a contractor
1517     or subcontractor who intentionally violates the provisions of this section is liable to the
1518     employee for health care costs that would have been covered by qualified health coverage.
1519          (ii) An employer has an affirmative defense to a cause of action under Subsection
1520     (7)(a)(i) if:
1521          (A) the employer relied in good faith on a written statement described in Subsection
1522     (5)(a) or (5)(c)(ii); or
1523          (B) the department determines that compliance with this section is not required under
1524     the provisions of Subsection (3).
1525          (b) An employee has a private right of action only against the employee's employer to
1526     enforce the provisions of this Subsection (7).
1527          (8) Any penalties imposed and collected under this section shall be deposited into the
1528     Medicaid Restricted Account created in Section 26-18-402.
1529          (9) The failure of a contractor or subcontractor to provide qualified health coverage as
1530     required by this section:
1531          (a) may not be the basis for a protest or other action from a prospective bidder, offeror,
1532     or contractor under:
1533          (i) Section 63G-6a-1602; or
1534          (ii) any other provision in Title 63G, Chapter 6a, Utah Procurement Code; and
1535          (b) may not be used by the procurement entity or a prospective bidder, offeror, or
1536     contractor as a basis for any action or suit that would suspend, disrupt, or terminate the design
1537     or construction.
1538          (10) An administrator, including an administrator's actuary or underwriter, who
1539     provides a written statement under Subsection (5)(a) or (c) regarding the qualified health
1540     coverage of a contractor or subcontractor who provides a health benefit plan described in
1541     Subsection (1)(d)(ii):
1542          (a) subject to Subsection (10)(b), is not liable for an error in the written statement,
1543     unless the administrator commits gross negligence in preparing the written statement;
1544          (b) is not liable for any error in the written statement if the administrator relied in good

1545     faith on information from the contractor or subcontractor; and
1546          (c) may require as a condition of providing the written statement that a contractor or
1547     subcontractor hold the administrator harmless for an action arising under this section.
1548          Section 20. Section 79-2-404 is amended to read:
1549          79-2-404. Contracting powers of department -- Health insurance coverage.
1550          (1) As used in this section:
1551          (a) "Aggregate" means the sum of all contracts, change orders, and modifications
1552     related to a single project.
1553          (b) "Change order" means the same as that term is defined in Section 63G-6a-103.
1554          (c) "Employee" means, as defined in Section 34A-2-104, an "employee," "worker," or
1555     "operative" who:
1556          (i) works at least 30 hours per calendar week; and
1557          (ii) meets employer eligibility waiting requirements for health care insurance, which
1558     may not exceed the first day of the calendar month following 60 days after the day on which
1559     the individual is hired.
1560          (d) "Health benefit plan" means:
1561          (i) the same as that term is defined in Section 31A-1-301; or
1562          (ii) an employee welfare benefit plan:
1563          (A) established under the Employee Retirement Income Security Act of 1974, 29
1564     U.S.C. Sec. 1001 et seq.;
1565          (B) for an employer with 100 or more employees; and
1566          (C) in which the employer establishes a self-funded or partially self-funded group
1567     health plan to provide medical care for the employer's employees and dependents of the
1568     employees.
1569          (e) "Qualified health coverage" means the same as that term is defined in Section
1570     26-40-115.
1571          (f) "Subcontractor" means the same as that term is defined in Section 63A-5b-605.
1572          (g) "Third party administrator" or "administrator" means the same as that term is
1573     defined in Section 31A-1-301.
1574          (2) Except as provided in Subsection (3), the requirements of this section apply to:
1575          (a) a contractor of a design or construction contract entered into by, or delegated to, the

1576     department or a division, board, or council of the department on or after July 1, 2009, if the
1577     prime contract is in an aggregate amount equal to or greater than $2,000,000; and
1578          (b) a subcontractor of a contractor of a design or construction contract entered into by,
1579     or delegated to, the department or a division, board, or council of the department on or after
1580     July 1, 2009, if the subcontract is in an aggregate amount equal to or greater than $1,000,000.
1581          (3) This section does not apply to contracts entered into by the department or a
1582     division, board, or council of the department if:
1583          (a) the application of this section jeopardizes the receipt of federal funds;
1584          (b) the contract or agreement is between:
1585          (i) the department or a division, board, or council of the department; and
1586          (ii) (A) another agency of the state;
1587          (B) the federal government;
1588          (C) another state;
1589          (D) an interstate agency;
1590          (E) a political subdivision of this state; or
1591          (F) a political subdivision of another state; or
1592          (c) the contract or agreement is:
1593          (i) for the purpose of disbursing grants or loans authorized by statute;
1594          (ii) a sole source contract; or
1595          (iii) an emergency procurement.
1596          (4) A person that intentionally uses change orders, contract modifications, or multiple
1597     contracts to circumvent the requirements of this section is guilty of an infraction.
1598          (5) (a) A contractor subject to the requirements of this section shall demonstrate to the
1599     department that the contractor has and will maintain an offer of qualified health coverage for
1600     the contractor's employees and the employees' dependents during the duration of the contract
1601     by submitting to the department a written statement that:
1602          (i) the contractor offers qualified health coverage that complies with Section
1603     26-40-115;
1604          (ii) is from:
1605          (A) an actuary selected by the contractor or the contractor's insurer;
1606          (B) an underwriter who is responsible for developing the employer group's premium

1607     rates; or
1608          (C) if the contractor provides a health benefit plan described in Subsection (1)(d)(ii),
1609     an actuary or underwriter selected by a third party administrator; and
1610          (iii) was created within one year before the day on which the statement is submitted.
1611          (b) (i) A contractor that provides a health benefit plan described in Subsection (1)(d)(ii)
1612     shall provide the actuary or underwriter selected by an administrator, as described in
1613     Subsection (5)(a)(ii)(C), sufficient information to determine whether the contractor's
1614     contribution to the health benefit plan and the actuarial value of the health benefit plan meet the
1615     requirements of qualified health coverage.
1616          (ii) A contractor may not make a change to the contractor's contribution to the health
1617     benefit plan, unless the contractor provides notice to:
1618          (A) the actuary or underwriter selected by an administrator, as described in Subsection
1619     (5)(a)(ii)(C), for the actuary or underwriter to update the written statement described in
1620     Subsection (5)(a) in compliance with this section; and
1621          (B) the department.
1622          (c) A contractor that is subject to the requirements of this section shall:
1623          (i) place a requirement in each of the contractor's subcontracts that a subcontractor that
1624     is subject to the requirements of this section shall obtain and maintain an offer of qualified
1625     health coverage for the subcontractor's employees and the employees' dependents during the
1626     duration of the subcontract; and
1627          (ii) obtain from a subcontractor that is subject to the requirements of this section a
1628     written statement that:
1629          (A) the subcontractor offers qualified health coverage that complies with Section
1630     26-40-115;
1631          (B) is from an actuary selected by the subcontractor or the subcontractor's insurer, an
1632     underwriter who is responsible for developing the employer group's premium rates, or if the
1633     subcontractor provides a health benefit plan described in Subsection (1)(d)(ii), an actuary or
1634     underwriter selected by an administrator; and
1635          (C) was created within one year before the day on which the contractor obtains the
1636     statement.
1637          (d) (i) (A) A contractor that fails to maintain an offer of qualified health coverage

1638     described in Subsection (5)(a) during the duration of the contract is subject to penalties in
1639     accordance with administrative rules adopted by the department under Subsection (6).
1640          (B) A contractor is not subject to penalties for the failure of a subcontractor to obtain
1641     and maintain an offer of qualified health coverage described in Subsection (5)(c)(i).
1642          (ii) (A) A subcontractor that fails to obtain and maintain an offer of qualified health
1643     coverage described in Subsection (5)(c) during the duration of the subcontract is subject to
1644     penalties in accordance with administrative rules adopted by the department under Subsection
1645     (6).
1646          (B) A subcontractor is not subject to penalties for the failure of a contractor to maintain
1647     an offer of qualified health coverage described in Subsection (5)(a).
1648          (6) The department shall adopt administrative rules:
1649          (a) in accordance with Title 63G, Chapter 3, Utah Administrative Rulemaking Act;
1650          (b) in coordination with:
1651          (i) the Department of Environmental Quality in accordance with Section 19-1-206;
1652          (ii) a public transit district in accordance with Section 17B-2a-818.5;
1653          (iii) the State Building Board in accordance with Section 63A-5b-607;
1654          (iv) the State Capitol Preservation Board in accordance with Section 63C-9-403;
1655          (v) the Department of Transportation in accordance with Section 72-6-107.5; and
1656          (vi) the Legislature's Administrative Rules Review and General Oversight Committee;
1657     and
1658          (c) that establish:
1659          (i) the requirements and procedures a contractor and a subcontractor shall follow to
1660     demonstrate compliance with this section, including:
1661          (A) that a contractor or subcontractor's compliance with this section is subject to an
1662     audit by the department or the Office of the Legislative Auditor General;
1663          (B) that a contractor that is subject to the requirements of this section shall obtain a
1664     written statement described in Subsection (5)(a); and
1665          (C) that a subcontractor that is subject to the requirements of this section shall obtain a
1666     written statement described in Subsection (5)(c)(ii);
1667          (ii) the penalties that may be imposed if a contractor or subcontractor intentionally
1668     violates the provisions of this section, which may include:

1669          (A) a three-month suspension of the contractor or subcontractor from entering into
1670     future contracts with the state upon the first violation;
1671          (B) a six-month suspension of the contractor or subcontractor from entering into future
1672     contracts with the state upon the second violation;
1673          (C) an action for debarment of the contractor or subcontractor in accordance with
1674     Section 63G-6a-904 upon the third or subsequent violation; and
1675          (D) monetary penalties which may not exceed 50% of the amount necessary to
1676     purchase qualified health coverage for an employee and a dependent of an employee of the
1677     contractor or subcontractor who was not offered qualified health coverage during the duration
1678     of the contract; and
1679          (iii) a website on which the department shall post the commercially equivalent
1680     benchmark, for the qualified health coverage identified in Subsection (1)(e), provided by the
1681     Department of Health, in accordance with Subsection 26-40-115(2).
1682          (7) (a) (i) In addition to the penalties imposed under Subsection (6)(c)(ii), a contractor
1683     or subcontractor who intentionally violates the provisions of this section is liable to the
1684     employee for health care costs that would have been covered by qualified health coverage.
1685          (ii) An employer has an affirmative defense to a cause of action under Subsection
1686     (7)(a)(i) if:
1687          (A) the employer relied in good faith on a written statement described in Subsection
1688     (5)(a) or (5)(c)(ii); or
1689          (B) the department determines that compliance with this section is not required under
1690     the provisions of Subsection (3).
1691          (b) An employee has a private right of action only against the employee's employer to
1692     enforce the provisions of this Subsection (7).
1693          (8) Any penalties imposed and collected under this section shall be deposited into the
1694     Medicaid Restricted Account created in Section 26-18-402.
1695          (9) The failure of a contractor or subcontractor to provide qualified health coverage as
1696     required by this section:
1697          (a) may not be the basis for a protest or other action from a prospective bidder, offeror,
1698     or contractor under:
1699          (i) Section 63G-6a-1602; or

1700          (ii) any other provision in Title 63G, Chapter 6a, Utah Procurement Code; and
1701          (b) may not be used by the procurement entity or a prospective bidder, offeror, or
1702     contractor as a basis for any action or suit that would suspend, disrupt, or terminate the design
1703     or construction.
1704          (10) An administrator, including an administrator's actuary or underwriter, who
1705     provides a written statement under Subsection (5)(a) or (c) regarding the qualified health
1706     coverage of a contractor or subcontractor who provides a health benefit plan described in
1707     Subsection (1)(d)(ii):
1708          (a) subject to Subsection (10)(b), is not liable for an error in the written statement,
1709     unless the administrator commits gross negligence in preparing the written statement;
1710          (b) is not liable for any error in the written statement if the administrator relied in good
1711     faith on information from the contractor or subcontractor; and
1712          (c) may require as a condition of providing the written statement that a contractor or
1713     subcontractor hold the administrator harmless for an action arising under this section.