SB 1467, as amended, Committee on Business, Professions and Economic Development. Professions and vocations.
(1) Under existing law, the California Board of Accountancy licenses and regulates accountants. The board consists of 15 members, and of those the Governor is required to appoint 7 members who are licensees representing a cross section of the accounting profession with at least 2 members representing a small public professional firm, as defined. Existing law prohibits a person from engaging in the practice of public accountancy in this state unless he or she holds either a valid permit issued by the board or a practice privilege, as specified. Existing law requires an applicant for registration to furnish satisfactory evidence that the applicant is entitled to registration.
This bill would delete the requirement that 2 of the board members represent a small public professional firm. The bill would authorize the board to collect, but not require, a valid electronic mail address at the time of application for, or renewal of, a certified public accountant license. The bill would provide that these electronic mail addresses shall not be considered public records and would prohibit these electronic mail addresses from being disclosed pursuant to specified provisions of law, unless required pursuant to a court order.
Existing law sets forth education, examination, and experience requirements for a certified public accountant license, and requires an applicant to show, to the satisfaction of the board, that he or she has one year of qualifying experience, including any type of service or advice involving the use of accounting, attest, compilation, management advisory, financial advisory, tax, or consulting skills. Existing law requires the experience to have been performed in accordance with applicable professional standards in order to qualify, and to be completed under the supervision or in the employ of a person licensed to engage in the practice of public accountancy, as specified.
This bill would authorize the board, by regulation, to allow experience in academia to satisfy the one-year requirement described above.
Existing law, until January 1, 2019, authorizes an individual whose principal place of business is not in this state and who has a valid and current license, certificate, or permit to practice public accountancy from another state to engage in the practice of public accountancy in this state under a practice privilege without obtaining a certificate or license, if certain conditions are met. Existing law subjects an individual who holds a practice privilege to certain requirements, including, among others, that the individual shall notify the board of any pending criminal charges, other than a minor traffic violation, in any jurisdiction.
This bill would instead subject an individual holding and exercising a practice privilege in this state to the requirements described above. The bill would also require the individual to report the criminal charges described above to the board in writing within 30 days of the date the individual has knowledge of those charges.
Existing law, until January 1, 2019, authorizes the board to administratively suspend an individual’s right to practice in this state under a practice privilege at any time by an order issued by the board or its executive officer, without prior notice or hearing, for the purpose of conducting a disciplinary investigation, proceeding, or inquiry concerning the representations made in the notice, the individual’s competence or qualifications to practice under practice privileges, failure to timely respond to a board inquiry or request for information or documents, or under other conditions and circumstances provided for by board regulation. Existing law, beginning January 1, 2019, additionally requires the board to consult the Public Company Accounting Oversight Board (PCAOB) and the United States Securities and Exchange Commission on an every 6-month basis to identify out-of-state licensees who may have disqualifying conditions, or may be obliged to cease practice, and to disclose whether those out-of-state licensees are lawfully permitted to exercise the privilege. Existing law provides that disclosure of this information is not to be considered discipline.
This bill would instead require the board to consult with the PCAOB and the United States Securities and Exchange Commission at least once every 6 months, as specified, until January 1, 2019, and would delete those provisions after that date.
This bill would make technical, nonsubstantive changes, and would delete an obsolete provision.
(2) The Professional Engineers Act provides for the regulation and licensure of professional engineers by the Board for Professional Engineers, Land Surveyors, and Geologists. Existing law requires all civil engineering plans, calculations, specifications, and reports to be prepared by, or under the responsible charge of, a licensed civil engineer, as specified.
This bill would require all civil engineering plans, calculations, specifications, and reports for the construction of all hospitals and other medical facilities having surgery and emergency treatment areasbegin delete, and all public school facilities,end delete to be prepared by, or under the responsible charge of,begin insert a licensed architect holding a valid certificate orend insert a licensed civil engineer who is also licensed as a structural engineer.begin insert
The bill would require that all civil engineering plans, calculations, specifications, and reports for the construction of all public school structures be prepared by, or under the responsible charge of, a licensed civil engineer who is also licensed as a structural engineer.end insert
Existing law requires an applicant for registration as a professional engineer, among other things, to furnish evidence of 6 years or more of qualifying experience in engineering work, as specified, and to successfully pass the second division of the licensure examination. Existing law authorizes the board to issue a certificate of registration as a professional engineer, without a written examination, to a person holding a certificate of registration issued by another state or country if the applicant’s qualifications meet the requirements of the act. For purposes of these provisions, the act requires equivalent second division examinations to be 8-hour written examinations prepared or administered by a state or territory, as specified.
This bill would delete the requirement that an equivalent second division examination be an 8-hour examination.
(3) Under the Contractors’ State License Law, the Contractors’ State License Board licenses and regulates contractors. Under existing law, there is within the board a separate enforcement division that is required to rigorously enforce the act. Existing law specifies that persons employed as enforcement representatives in this division, and designated by the Director of Consumer Affairs, are not peace officers and are not entitled to safety member retirement benefits.
end deleteThis bill would make technical, nonsubstantive changes to these provisions.
end delete(4)
end deletebegin insert(end insertbegin insert3)end insert Under the Geologist and Geophysicist Act, the Board for Professional Engineers, Land Surveyors, and Geologists registers and regulates professional geologists and professional geophysicists and certifies applicants in specialties in geology and geologists-in-training. Existing law requires an applicant seeking certification as a petroleum geologist to meet certain requirements including, among other things, having performed a minimum of 3 years of professional geological work under the supervision of a registered petroleum engineer.
This bill would delete the provisions relating to petroleum geologists described above. The bill would also make technical, nonsubstantive changes to one of these provisions.
Existing law, under the Geologist and Geophysicist Act, sets forth procedures for the discipline of a registrant or certificate holder, as specified, subject to provisions governing administrative proceedings.
This bill would set forth additional procedures that would apply to a registrant or certificate holder who has been subject to discipline and who petitions the board for reinstatement or modification of penalty, as specified.
(5)
end delete
begin insert(end insertbegin insert4)end insert Existing law, the Professional Land Surveyors’ Act, provides for the licensing and regulation of professional land surveyors by the Board for Professional Engineers, Land Surveyors, and Geologists. The act requires that land survey monuments be set sufficient in number and durability and efficiently placed so as not to be readily disturbed and tobegin delete assureend deletebegin insert
ensureend insert
the perpetuation or easy reestablishment of a survey point or line. The act makes a violation of its provisions a misdemeanor.
The Professional Engineers Act provides for the licensing and regulation of professional engineers by the Board for Professional Engineers, Land Surveyors, and Geologists. The act states the intent of the Legislature that the act’s registration requirements that are imposed on private professional engineers are also imposed on public entities and requires that at least one registered engineer be designated the person in responsible charge of professional engineering work for each branch of professional engineering practiced in any department or agency of the state, city, county, or city and county. The act makes a violation of its provisions a misdemeanor.
This bill would require that at least one person authorized to practice land surveying be designated the person in responsible charge of professional land surveying work practiced in any department or agency of the state, city, county, city and county, district, or special district. The bill would revise nomenclature associated with actions that affect land survey monuments. The bill would require that the governmental agency performing or permitting construction or maintenance work be responsible for ensuring that the landowner or governmental agency performing the work provides for monument perpetuation. The bill would require that the designated person in responsible charge of professional engineering work for a governmental entity, pursuant to the Professional Engineers Act, be responsible for the requirements associated with monuments under the Professional Land Surveyors’ Act, as described above. By creating new duties for local officials and expanding the definition of a crime, the bill would impose a state-mandated local program.
(6)
end deletebegin insert(end insertbegin insert5)end insert Existing law requires a person transacting business in the state under a fictitious name, as defined, to file, with the county clerk of the county where the business is located, a statement including specified information and to declare that the information is true and correct. Existing law requires that a registrant or an agent filing on behalf of a registrant present a California driver’s license or other personal government identification acceptable to the county clerk to adequately determine the registrant’s identity or agent’s identity, as specified. Existing law authorizes the county clerk to require the registrant to complete and sign an affidavit of identity statement on a form prescribed by the county clerk, and to require an agent submitting the filings on behalf of a registrant to also complete and sign an affidavit of identity statement declaring that the registrant has authorized the agent to make the filings on behalf of the registrant. Existing law requires a registrant that is a corporation, limited liability company, or limited liability partnership, and that is required by the county clerk to file an affidavit of identity statement, to submit with its affidavit a certificate of status issued by the Secretary of State certifying to that business entity’s existence and good standing.
This bill would instead authorize the county clerk to require a registrant that is a corporation, limited partnership, limited liability company, or limited liability partnership to submit documentary evidence issued by the Secretary of State indicating the current existence and good standing of that business entity, deemed acceptable by the county clerk, with a notarized affidavit of identity. The bill would further authorize the county clerk to require an agent filing on behalf of the registrant to submit a notarized statement signed by the registrant declaring the registrant has authorized the agent to submit the filing. The bill would also make clarifying changes to these provisions.
(7)
end deletebegin insert(end insertbegin insert6)end insert Existing law defines and regulates the activities of professional photocopiers, as defined. Existing law requires a professional photocopier to be registered by the county clerk, and provides that a certificate of registration is effective for a 2-year period. Existing law also requires at least one person involved in the management of a professional photocopier to be a licensed notary public. Failure to comply with these provisions is a misdemeanor.
This bill would require the notary commission to remain valid during the 2-year period that the professional photocopier’s certificate of registration is effective. The bill would also require the registrant to notify the county clerk and provide an updated valid notary commission if the commission expires prior to the expiration of the certificate of registration. By expanding a crime, the bill would create a state-mandated local program.
(8)
end deletebegin insert(end insertbegin insert7)end insert The California Constitution requires the state to reimburse local agencies and school districts for certain costs mandated by the state. Statutory provisions establish procedures for making that reimbursement.
This bill would provide that with regard to certain mandates no reimbursement is required by this act for a specified reason.
With regard to any other mandates, this bill would provide that, if the Commission on State Mandates determines that the bill contains costs so mandated by the state, reimbursement for those costs shall be made pursuant to the statutory provisions noted above.
(9)
end deletebegin insert(8)end insert Existing constitutional provisions require that a statute that limits the right of access to meetings of public bodies or the writings of public officials and agencies be adopted with findings and declarations demonstrating the interest protected by that limitation and the need for protecting that interest.
This bill would make a legislative finding and declaration relating to the necessity of treating as confidential electronic mail addresses provided to the California Board of Accountancy in order to protect the privacy of those individuals applying for a certified public accountant license.
Vote: majority. Appropriation: no. Fiscal committee: yes. State-mandated local program: yes.
The people of the State of California do enact as follows:
The Legislature finds and declares that in order
2to protect the privacy of those individuals applying for a certified
3public accountant license, it is necessary that electronic mail
4addresses provided to the California Board of Accountancy
5pursuant to Sectionsbegin delete 2 andend delete 3begin insert and 4end insert of this act be confidential.
Section 5000 of the Business and Professions Code is
7amended to read:
(a) There is in the Department of Consumer Affairs the
9California Board of Accountancy, which consists of 15 members,
107 of whom shall be licensees, and 8 of whom shall be public
11members who shall not be licentiates of the board or registered by
12the board. The board has the powers and duties conferred by this
13chapter.
14(b) The Governor shall appoint four of the public members, and
15the seven licensee members as provided in this section. The Senate
16Committee on Rules and the Speaker of the Assembly shall each
17appoint two public members. In appointing the seven licensee
18members, the Governor shall appoint individuals representing a
19cross section of the accounting profession.
P8 1(c) This section shall remain in effect only until January 1, 2016,
2and as of that date is repealed, unless a later enacted statute, that
3is enacted before January 1, 2016, deletes or extends that date.
4(d) Notwithstanding any other provision of law, the repeal of
5this section renders the board subject to review by the appropriate
6policy committees of the Legislature. However, the review of the
7board shall be limited to reports or studies specified in this chapter
8and those issues identified by the appropriate policy committees
9of the Legislature and the board regarding the implementation of
10new licensing requirements.
Section 5070 of the Business and Professions Code is
12amended to read:
(a) Permits to engage in the practice of public
14accountancy in this state shall be issued by the board only to
15holders of the certificate of certified public accountant issued under
16this chapter and to those partnerships, corporations, and other
17persons who, upon application approved by the board, are
18registered with the board under this chapter. Notwithstanding any
19other law, the board may register an entity organized and authorized
20to practice public accountancy under the laws of another state for
21the purpose of allowing that entity to satisfy the registration
22requirement set forth in Section 5096.12, if (1) the certified public
23accountants providing services in California qualify for the practice
24privilege, and (2) the entity satisfies all
other requirements to
25register in this state, other than its form of legal organization.
26(b) All applicants for registration shall furnish satisfactory
27evidence that the applicant is entitled to registration and shall pay
28the fee as provided in Article 8 (commencing with Section 5130).
29Every partnership, corporation, and other person to whom a permit
30is issued shall, in addition to any other fee that may be payable,
31pay the initial permit fee provided in Article 8 (commencing with
32Section 5130).
33(c) The board may collect, but shall not require, a valid
34electronic mail address at the time of application for a certified
35public accountant license. In the interest of protecting an
36applicant’s privacy, the electronic mail address shall not be
37considered a public record and shall not be
disclosed pursuant to
38Section 27 or pursuant to a request under the California Public
39Records Act (Chapter 3.5 (commencing with Section 6250) of
P9 1Division 7 of Title 1 of the Government Code), unless required
2pursuant to a court order by a court of competent jurisdiction.
3(d) Each partnership, corporation, and other person issued a
4permit by the board to practice as a certified public accountant or
5as a public accountant shall be furnished with a suitable certificate
6evidencing that registration.
Section 5070.5 of the Business and Professions Code
8 is amended to read:
(a) (1) A permit issued under this chapter to a certified
10public accountant or a public accountant expires at 12 midnight
11on the last day of the month of the legal birthday of the licensee
12during the second year of a two-year term if not renewed.
13(2) To renew an unexpired permit, a permitholder shall, before
14the time at which the permit would otherwise expire, apply for
15renewal on a form prescribed by the board, pay the renewal fee
16prescribed by this chapter, and give evidence satisfactory to the
17board that he or she has complied with the continuing education
18provisions of this chapter.
19(3) The board may collect, but shall not require, a valid
20electronic mail address on the renewal form described in paragraph
21(1). In the interest of protecting an applicant’s privacy, the
22electronic mail address shall not be considered a public record and
23shall not be disclosed pursuant to Section 27 or pursuant to a
24request under the California Public Records Act (Chapter 3.5
25(commencing with Section 6250) of Division 7 of Title 1 of the
26Government Code), unless required pursuant to a court order by
27a court of competent jurisdiction.
28(b) A permit to practice as an accountancy partnership or an
29accountancy corporation expires at 12 midnight on the last day of
30the month in which the permit was initially issued during the
31second year of a two-year term if not renewed. To renew an
32unexpired permit, the permitholder shall, before the
time at which
33the permit would otherwise expire, apply for renewal on a form
34prescribed by the board, pay the renewal fee prescribed by this
35chapter, and provide evidence satisfactory to the board that the
36accountancy partnership or accountancy corporation is in
37compliance with this chapter.
Section 5093 of the Business and Professions Code is
39amended to read:
(a) To qualify for the certified public accountant license,
2an applicant who is applying under this section shall meet the
3education, examination, and experience requirements specified in
4subdivisions (b), (c), and (d), or otherwise prescribed pursuant to
5this article. The board may adopt regulations as necessary to
6implement this section.
7(b) (1) An applicant for admission to the certified public
8accountant examination under this section shall present satisfactory
9evidence that the applicant has completed a baccalaureate or higher
10degree conferred by a degree-granting university, college, or other
11institution of learning accredited by a regional or national
12
accrediting agency included in a list of these agencies published
13by the United States Secretary of Education under the requirements
14of the federal Higher Education Act of 1965 as amended (20 U.S.C.
15Sec. 1001 et seq.), or meeting, at a minimum, the standards
16described in subdivision (c) of Section 5094. The total educational
17program shall include a minimum of 24 semester units in
18accounting subjects and 24 semester units in business-related
19subjects. This evidence shall be provided at the time of application
20for admission to the examination, except that an applicant who
21applied, qualified, and sat for at least two subjects of the
22examination for the certified public accountant license before May
2315, 2002, may provide this evidence at the time of application for
24licensure.
25(A) An applicant enrolled in a program at an
institution as
26described in this paragraph that grants conferral of a baccalaureate
27degree upon completion of the 150 semester units required by
28paragraph (2) of this subdivision may satisfy the requirements of
29this paragraph if the applicant’s institution mails the applicant’s
30official transcript or its equivalent together or separately with a
31letter signed by the institution’s registrar, or its equivalent, directly
32to the board pursuant to subdivision (c) of Section 5094. The letter
33shall include all of the following:
34(i) A statement that the applicant is enrolled and in good
35standing in a program that will result in the conferral of a
36baccalaureate degree upon completion of either a master’s degree
37or the 150 semester units required by paragraph (2) of this
38subdivision.
39(ii) A statement that the applicant has completed all
40requirements, including general education and elective
P11 1requirements, for a baccalaureate degree and the only reason the
2college or university has yet to confer the degree is because the
3applicant is enrolled in a program that confers a baccalaureate
4degree upon completion of either a master’s degree or the 150
5semester units required by paragraph (2) of this subdivision.
6(iii) The date on which the applicant met all of the college’s or
7university’s requirements for conferral of a baccalaureate degree.
8(B) The total educational program for an applicant described in
9subparagraph (A) shall include a minimum of 24 semester units
10in accounting subjects and 24 semester units in business-related
11subjects. This evidence shall be
provided at the time of application
12for admission to the examination, except that an applicant who
13applied, qualified, and sat for at least two subjects of the
14examination for the certified public accountant license before May
1515, 2002, may provide this evidence at the time of application for
16licensure.
17(2) An applicant for issuance of the certified public accountant
18license under this section shall present satisfactory evidence that
19the applicant has completed at least 150 semester units of college
20education, including a baccalaureate or higher degree conferred
21by a college or university, meeting, at a minimum, the standards
22described in Section 5094, the total educational program to include
23a minimum of 24 semester units in accounting subjects, 24 semester
24units in business-related subjects, and, after December 31, 2013,
25shall
also include a minimum of 10 units of ethics study consistent
26with the requirements set forth in Section 5094.3 and 20 units of
27accounting study consistent with the regulations promulgated under
28subdivision (c) of Section 5094.6. This evidence shall be presented
29at the time of application for the certified public accountant license.
30Nothing in this paragraph shall be deemed inconsistent with Section
315094 or 5094.6. Nothing in this paragraph shall be construed to
32be inconsistent with prevailing academic practice regarding the
33completion of units.
34(c) An applicant for the certified public accountant license shall
35pass an examination prescribed by the board.
36(d) (1) The applicant shall show, to the satisfaction of the board,
37that the applicant has had one year of
qualifying experience. This
38experience may include providing any type of service or advice
39involving the use of accounting, attest, compilation, management
40advisory, financial advisory, tax, or consulting skills.
P12 1(2) To be qualifying under this section, experience shall have
2been performed in accordance with applicable professional
3standards. Experience in public accounting shall be completed
4under the supervision or in the employ of a person licensed or
5otherwise having comparable authority under the laws of any state
6or country to engage in the practice of public accountancy.
7Experience in private or governmental accounting or auditing shall
8be completed under the supervision of an individual licensed by
9a state to engage in the practice of public accountancy.
10(3) Notwithstanding paragraph (2), the board may, by regulation,
11
allow experience in academia to be qualifying under this section.
12(e) Applicants completing education at a college or university
13located outside of this state, meeting, at a minimum, the standards
14described in Section 5094, shall be deemed to meet the educational
15requirements of this section if the board determines that the
16education is substantially equivalent to the standards of education
17specified under this chapter.
18(f) An applicant who has successfully passed the examination
19requirement specified under Section 5082 on or before December
2031, 2013, may qualify for the certified public accountant license
21without satisfying the 10 semester units of study set forth in Section
225094.3 or 20 semester units of accounting study consistent with
23the regulations
promulgated under Section 5094.6, if the applicant
24completes all other requirements for the issuance of a license on
25or before December 31, 2015.
Section 5096 of the Business and Professions Code,
27as amended by Section 3 of Chapter 319 of the Statutes of 2013,
28is amended to read:
(a) An individual whose principal place of business is
30not in this state and who has a valid and current license, certificate,
31or permit to practice public accountancy from another state may,
32subject to the conditions and limitations in this article, engage in
33the practice of public accountancy in this state under a practice
34privilege without obtaining a certificate or license under this
35chapter if the individual satisfies one of the following:
36(1) The individual has continually practiced public accountancy
37as a certified public accountant under a valid license issued by any
38state for at least 4 of the last 10 years.
39(2) The
individual has a license, certificate, or permit from a
40state that has been determined by the board to have education,
P13 1examination, and experience qualifications for licensure
2substantially equivalent to this state’s qualifications under Section
35093.
4(3) The individual possesses education, examination, and
5experience qualifications for licensure that have been determined
6by the board to be substantially equivalent to this state’s
7qualifications under Section 5093.
8(b) The board may designate states as substantially equivalent
9under paragraph (2) of subdivision (a) and may accept individual
10qualification evaluations or appraisals conducted by designated
11entities, as satisfying the requirements of paragraph (3) of
12subdivision (a).
13(c) An individual who qualifies for the practice privilege under
14this section may engage in the practice of public accountancy in
15this state, and a notice, fee, or other requirement shall not be
16imposed on that individual by the board.
17(d) An individual who qualifies for the practice privilege under
18this section may perform the following services only through a
19firm of certified public accountants that has obtained a registration
20from the board pursuant to Section 5096.12:
21(1) An audit or review of a financial statement for an entity
22headquartered in California.
23(2) A compilation of a financial statement when that person
24expects, or reasonably might expect, that a third party will use the
25financial
statement and the compilation report does not disclose a
26lack of independence for an entity headquartered in California.
27(3) An examination of prospective financial information for an
28entity headquartered in California.
29(e) An individual who holds a practice privilege under this
30article, and is exercising the practice privilege in California:
31(1) Is subject to the personal and subject matter jurisdiction and
32disciplinary authority of the board and the courts of this state.
33(2) Shall comply with the provisions of this chapter, board
34regulations, and other laws, regulations, and professional standards
35applicable to the practice of public accountancy by the licensees
36of
this state and to any other laws and regulations applicable to
37individuals practicing under practice privileges in this state, except
38the individual is deemed, solely for the purpose of this article, to
39have met the continuing education requirements and ethics
40examination requirements of this state when the individual has
P14 1met the examination and continuing education requirements of the
2state in which the individual holds the valid license, certificate, or
3permit on which the substantial equivalency is based.
4(3) Shall not provide public accountancy services in this state
5from any office located in this state, except as an employee of a
6firm registered in this state. This paragraph does not apply to public
7accountancy services provided to a client at the client’s place of
8business or residence.
9(4) Is deemed to have appointed the regulatory agency of the
10state that issued the individual’s certificate, license, or permit upon
11which substantial equivalency is based as the individual’s agent
12on whom notices, subpoenas, or other process may be served in
13any action or proceeding by the board against the individual.
14(5) Shall cooperate with any board investigation or inquiry and
15shall timely respond to a board investigation, inquiry, request,
16notice, demand, or subpoena for information or documents and
17timely provide to the board the identified information and
18documents.
19(6) Shall cease exercising the practice privilege in this state if
20the regulatory agency in the state in which the individual’s
21certificate, license, or permit was issued takes disciplinary
action
22resulting in the suspension or revocation, including stayed
23suspension, stayed revocation, or probation of the individual’s
24certificate, license, or permit, or takes other disciplinary action
25against the individual’s certificate, license, or permit that arises
26from any of the following:
27(A) Gross negligence, recklessness, or intentional wrongdoing
28relating to the practice of public accountancy.
29(B) Fraud or misappropriation of funds.
30(C) Preparation, publication, or dissemination of false,
31fraudulent, or materially incomplete or misleading financial
32statements, reports, or information.
33(7) Shall cease exercising the practice privilege in this state if
34convicted
in any jurisdiction of any crime involving dishonesty,
35including, but not limited to, embezzlement, theft, misappropriation
36of funds or property, or obtaining money, property, or other
37valuable consideration by fraudulent means or false pretenses.
38(8) Shall cease exercising the practice privilege if the United
39States Securities and Exchange Commission or the Public Company
P15 1Accounting Oversight Board bars the individual from practicing
2before them.
3(9) Shall cease exercising the practice privilege if any
4governmental body or agency suspends the right of the individual
5to practice before the body or agency.
6(10) Shall report to the board in writing any pending criminal
7charges, other than for a minor traffic violation, in
any jurisdiction
8within 30 days of the date the individual has knowledge of those
9charges.
10(f) An individual who is required to cease practice pursuant to
11paragraphs (6) to (9), inclusive, of subdivision (e) shall notify the
12board within 15 calendar days, on a form prescribed by the board,
13and shall not practice public accountancy in this state pursuant to
14this section until he or she has received from the board written
15permission to do so.
16(g) An individual who fails to cease practice as required by
17subdivision (e) or who fails to provide the notice required by
18subdivision (f) shall be subject to the personal and subject matter
19jurisdiction and disciplinary authority of the board as if the practice
20privilege were a license and the individual were a licensee. An
21individual
in violation of subdivision (e) or (f) shall, for a minimum
22of one year from the date the board learns there has been a violation
23of subdivision (e) or (f), not practice in this state and shall not have
24the possibility of reinstatement during that period. If the board
25determines that the failure to cease practice or provide the notice
26was intentional, that individual’s practice privilege shall be revoked
27and there shall be no possibility of reinstatement for a minimum
28of two years.
29(h) The board shall require an individual who provides notice
30to the board pursuant to subdivision (f) to cease the practice of
31public accountancy in this state until the board provides the
32individual with written permission to resume the practice of public
33accountancy in this state.
34(i) (1) An individual to whom, within the last seven years
35immediately preceding the date on which he or she wishes to
36practice in this state, any of the following criteria apply, shall notify
37the board, on a form prescribed by the board, and shall not practice
38public accountancy in this state pursuant to this section until the
39board provides the individual with written permission to do so:
P16 1(A) He or she has been the subject of any final disciplinary
2action by the licensing or disciplinary authority of any other
3jurisdiction with respect to any professional license or has any
4charges of professional misconduct pending against him or her in
5any other jurisdiction.
6(B) He or she has had his or her license in another jurisdiction
7reinstated after a
suspension or revocation of the license.
8(C) He or she has been denied issuance or renewal of a
9professional license or certificate in any other jurisdiction for any
10reason other than an inadvertent administrative error.
11(D) He or she has been convicted of a crime or is subject to
12pending criminal charges in any jurisdiction other than a minor
13traffic violation.
14(E) He or she has otherwise acquired a disqualifying condition
15as described in subdivision (a) of Section 5096.2.
16(2) An individual who fails to cease practice as required by
17subdivision (e) or who fails to provide the notice required by
18paragraph (1) shall be subject to the personal and subject matter
19jurisdiction
and disciplinary authority of the board as if the practice
20privilege were a license and the individual were a licensee. An
21individual in violation of subdivision (e) or paragraph (1) shall,
22for a minimum of one year from the date the board knows there
23has been a violation of subdivision (e) or paragraph (1), not practice
24in this state and shall not have the possibility of reinstatement
25during that period. If the board determines that the failure to cease
26practice or provide the notice was intentional, that individual shall
27be prohibited from practicing in this state in the same manner as
28if a licensee has his or her practice privilege revoked and there
29shall be no possibility of reinstatement for a minimum of two years.
30(j) This section shall remain in effect only until January 1, 2019,
31and as of that date is repealed, unless a later
enacted statute, that
32is enacted before January 1, 2019, deletes or extends that date.
Section 5096.4 of the Business and Professions Code,
34as added by Section 20 of Chapter 411 of the Statutes of 2012, is
35amended to read:
(a) The right of an individual to practice in this state
37under a practice privilege may be administratively suspended at
38any time by an order issued by the board or its executive officer,
39without prior notice or hearing, for the purpose of conducting a
40disciplinary investigation, proceeding, or inquiry concerning the
P17 1individual’s competence or qualifications to practice under practice
2privileges, failure to timely respond to a board inquiry or request
3for information or documents, or under other conditions and
4circumstances provided for by board regulation. The board shall
5consult the Public Company Accounting Oversight Board and the
6United States Securities and Exchange Commission at least once
7every six months to identify out-of-state
licensees who may have
8disqualifying conditions or who may be obliged to cease practice,
9and shall disclose, pursuant to this subdivision, whether those
10out-of-state licensees are lawfully permitted to exercise the
11privilege. Disclosure of this information shall not be considered
12discipline.
13(b) The administrative suspension order is immediately effective
14when mailed to the individual’s address of record or agent for
15notice and service as provided for in this article.
16(c) The administrative suspension order shall contain the
17following:
18(1) The reason for the suspension.
19(2) A statement that the individual has the right, within 30 days,
20to appeal the
administrative suspension order and request a hearing.
21(3) A statement that any appeal hearing will be conducted under
22the provisions of the Administrative Procedure Act (Chapter 3.5
23(commencing with Section 11340) of Part 1 of Division 3 of Title
242 of the Government Code) applicable to individuals who are
25denied licensure, including the filing of a statement of issues by
26the board setting forth the reasons for the administrative suspension
27of practice privileges and specifying the statutes and rules with
28which the individual must show compliance by producing proof
29at the hearing and in addition any particular matters that have come
30to the attention of the board and that would authorize the
31administrative suspension, or the revocation of practice privileges.
32(d) The burden is on the
holder of the suspended practice
33privilege to establish both qualification and fitness to practice
34under practice privileges.
35(e) The administrative suspension shall continue in effect until
36terminated by an order of the board or the executive officer.
37(f) Administrative suspension is not discipline and shall not
38preclude any individual from applying for a license to practice
39public accountancy in this state.
P18 1(g) Proceedings to appeal an administrative suspension order
2may be combined or coordinated with proceedings for revocation
3or discipline of a practice privilege.
4(h) This section shall become operative on July 1, 2013.
5(i) This section shall remain in effect only until January 1, 2019,
6and as of that date is repealed, unless a later enacted statute, that
7is enacted before January 1, 2019, deletes or extends that date.
Section 5096.4 of the Business and Professions Code,
9as added by Section 21 of Chapter 411 of the Statutes of 2012, is
10amended to read:
(a) The right of an individual to practice in this state
12under a practice privilege may be administratively suspended at
13any time by an order issued by the board or its executive officer,
14without prior notice or hearing, for the purpose of conducting a
15disciplinary investigation, proceeding, or inquiry concerning the
16representations made in the notice, the individual’s competence
17or qualifications to practice under practice privileges, failure to
18timely respond to a board inquiry or request for information or
19documents, or under other conditions and circumstances provided
20for by board regulation.
21(b) The administrative suspension order is immediately effective
22when mailed to
the individual’s address of record or agent for
23notice and service as provided for in this article.
24(c) The administrative suspension order shall contain the
25following:
26(1) The reason for the suspension.
27(2) A statement that the individual has the right, within 30 days,
28to appeal the administrative suspension order and request a hearing.
29(3) A statement that any appeal hearing will be conducted under
30the Administrative Procedure Act (Chapter 3.5 (commencing with
31Section 11340) of Part 1 of Division 3 of Title 2 of the Government
32Code) applicable to individuals who are denied licensure, including
33the filing of a statement of issues by the board setting forth the
34
reasons for the administrative suspension of practice privileges
35and specifying the statutes and rules with which the individual
36must show compliance by producing proof at the hearing and in
37addition any particular matters that have come to the attention of
38the board and that would authorize the administrative suspension,
39or the denial of practice privileges.
P19 1(d) The burden is on the holder of the suspended practice
2privilege to establish both qualification and fitness to practice
3under practice privileges.
4(e) The administrative suspension shall continue in effect until
5terminated by an order of the board or the executive officer or
6expiration of the practice privilege under administrative suspension.
7(f) Administrative suspension is not discipline and shall not
8preclude any individual from applying for a license to practice
9public accountancy in this state or from applying for a new practice
10privilege upon expiration of the one under administrative
11suspension, except that the new practice privilege shall not be
12effective until approved by the board.
13(g) Notwithstanding any administrative suspension, a practice
14privilege expires one year from the date of notice unless a shorter
15period is set by board regulation.
16(h) Proceedings to appeal an administrative suspension order
17may be combined or coordinated with proceedings for denial or
18discipline of a practice privilege.
19(i) This section shall become operative on January 1, 2019.
Section 6730.2 of the Business and Professions Code
21 is amended to read:
(a) It is the intent of the Legislature that thebegin delete registrationend delete
23begin insert licensureend insert requirements that are imposed upon private sector
24professional engineers and engineering partnerships, firms, or
25corporations shall be imposed upon the state and any city, county,
26or city and county that shall adhere to those requirements.
27Therefore, for the purposes of Section 6730 and this chapter, at
28least onebegin delete registeredend deletebegin insert licensed end insertengineer shall be designated the person
29in responsible charge of professional engineering work for each
30branch of professional engineering practiced in any department or
31agency of the state, city, county, or city and county.
32 (b) Any department or agency of the state or any city, county,
33or city and county that has anbegin delete unregisteredend deletebegin insert unlicensedend insert person in
34responsible charge ofbegin insert civilend insert engineering work on January 1, 1985,
35shall be exempt from this requirement until that time as the person
36currently in responsible charge is replaced.
37(c) The designated person in responsible charge of professional
38engineering work of any department or agency of the state, city,
39county, city and county, district, or special district pursuant to this
P20 1section is responsible forbegin delete ensuringend delete compliance with subdivisions
2(b) and (c) of Section 8771.
Section 6735 of the Business and Professions Code
4 is amended to read:
(a) All civil (including structural and geotechnical)
6engineering plans, calculations, specifications, and reports
7(hereinafter referred to as “documents”) shall be prepared by, or
8under the responsible charge of, a licensed civil engineer and shall
9include his or her name and license number. Interim documents
10shall include a notation as to the intended purpose of the document,
11such as “preliminary,” “not for construction,” “for plan check
12only,” or “for review only.” All civil engineering plans and
13specifications that are permitted or that are to be released for
14construction shall bear the signature and seal or stamp of the
15licensee and the date of signing and sealing or stamping. All final
16civil engineering calculations and reports shall bear
the signature
17and seal or stamp of the licensee, and the date of signing and
18
sealing or stamping. If civil engineering plans are required to be
19signed and sealed or stamped and have multiple sheets, the
20signature, seal or stamp, and date of signing and sealing or
21stamping shall appear on each sheet of the plans. If civil
22engineering specifications, calculations, and reports are required
23to be signed and sealed or stamped and have multiple pages, the
24signature, seal or stamp, and date of signing and sealing or
25stamping shall appear at a minimum on the title sheet, cover sheet,
26or signature sheet.
27(b) begin insert(1)end insertbegin insert end insert All civil engineering plans, calculations, specifications,
28and reports for the
construction ofbegin delete the followingend delete structures
29begin insert described in paragraph (2)end insert shall be prepared by, or under the
30responsible charge of, a licensedbegin insert architect holding a valid
31certificate under Chapter 3 (commencing with Section 5500) or a
32licensedend insert civil engineer who is also licensed as a structural engineer
33in accordance with Sectionbegin delete 6736:end deletebegin insert 6736.end insert
34(2) All public school
facilities, as provided under Chapter 3
35(commencing with Section 17251) of Part 10.5 of Division 1 of
36Title 1 of the Education Code.
37(c) (1) All civil engineering plans, calculations, specifications,
38and reports for the construction of the structures described in
39paragraph (2) shall be prepared by, or under the responsible
P21 1charge of, a licensed civil engineer who is also licensed as a
2structural engineer in accordance with Section 6736.
3(1)
end delete
4begin insert(end insertbegin insert2)end insert Hospitals and other medical facilities having surgery and
5emergency treatment areas, as provided under Part 7 (commencing
6with Section 129675) of Division 107 of the Health and Safety
7Code.
8(2) All public school facilities, as provided under Chapter 3
9(commencing with Section 17251) of Part 10.5 of Division 1 of
10Title 1 of the Education Code.
11(c)
end delete
12begin insert(end insertbegin insertd)end insert Notwithstanding subdivision (a) or (b), a licensed civil
13engineer who signs civil engineering documents shall not be
14responsible for damage caused by subsequent changes to or uses
15of those documents, if the subsequent changes or uses, including
16changes or uses made by state or local governmental agencies, are
17not authorized or approved by the licensed civil engineer who
18originally signed the documents, provided that the engineering
19service rendered by the civil engineer who signed the documents
20was not also a proximate cause of the damage.
Section 6759 of the Business and Professions Code
22 is amended to read:
The board, upon application therefor, on its prescribed
24form, and the payment of the fee fixed by this chapter, may issue
25a certificate of registration as a professional engineer, without
26written examination, to any person holding a certificate of
27registration issued to him or her by any state or country when the
28applicant’s qualifications meet the requirements of this chapter
29and rules established by the board. The board shall not require a
30comity applicant to meet any requirement not required of California
31applicants. For purposes of this section, equivalent second division
32examinations shall be written examinations prepared by or
33administered by a state or territory either by single or combined
34branch at the level generally administered by the board to persons
35who
passed or were exempted from the first division examination.
36Applicants who have passed an equivalent second division
37combined branch or a single branch examination in a branch not
38recognized for registration in California shall be registered in the
39branch in which their experience and education indicate the closest
40relationship.
Section 7011.4 of the Business and Professions Code
2 is amended to read:
(a) Notwithstanding Section 7011, there is in the
4Contractors’ State License Board, a separate enforcement division
5that shall rigorously enforce this chapter prohibiting all forms of
6unlicensed activity.
7(b) Persons employed as enforcement representatives of the
8Contractors’ State License Board and designated by the Director
9of Consumer Affairs shall have the authority to issue a written
10notice to appear in court pursuant to Chapter 5c (commencing with
11Section 853.5) of Title 3 of Part 2 of the Penal Code. An employee
12so designated is not a peace officer and is not entitled to safety
13member retirement benefits as a result of that designation. He or
14she does not have the power of
arrest.
Section 7842 of the Business and Professions Code
17 is amended to read:
An applicant for certification in a specialty in geology
19shall meet all of the requirements of Section 7841 and, in addition,
20his or her seven years of professional geological work shall include
21one of the following:
22(a) A minimum of three years performed under the supervision
23of a geologist certified in the specialty for which the applicant is
24seeking certification or under the supervision of a registered civil
25engineer if the applicant is seeking certification as an engineering
26geologist, except that prior to July 1, 1970, professional geological
27work shall qualify under this subdivision if it is performed under
28the supervision of a geologist qualified in the
specialty for which
29the applicant is seeking certification or under the supervision of a
30registered civil engineer if the applicant is seeking certification as
31an engineering geologist.
32(b) A minimum of five years’ experience in responsible charge
33of professional geological work in the specialty for which the
34
applicant is seeking certification.
Section 7860 of the Business and Professions Code
37 is amended to read:
(a) The board may, upon its own initiative or upon the
39receipt of a complaint, investigate the actions of any professional
40geologist or geophysicist, and make findings thereon.
P23 1(b) By a majority vote, the board may publicly reprove, suspend
2for a period not to exceed two years, or revoke the certificate of
3any geologist or geophysicist registered hereunder, on any of the
4following grounds:
5(1) Conviction of a crime substantially related to the
6qualifications, functions, or duties of a geologist or geophysicist.
7(2) Misrepresentation, fraud, or deceit by a geologist or
8
geophysicist in his or her practice.
9(3) Negligence or incompetence by a geologist or geophysicist
10in his or her practice.
11(4) Violation of any contract undertaken in the capacity of a
12geologist or geophysicist.
13(5) Fraud or deceit in obtaining a certificate to practice as a
14geologist or geophysicist.
15(c) By a majority vote, the board may publicly reprove, suspend
16for a period not to exceed two years, or may revoke the certificate
17of any geologist or geophysicist registered under this chapter, for
18unprofessional conduct. Unprofessional conduct includes, but is
19not limited to, any of the following:
20(1) Aiding or abetting any person in a violation of this chapter
21or any regulation adopted by the board pursuant to this chapter.
22(2) Violating this chapter or any regulation adopted by the board
23pursuant to this chapter.
24(3) Conduct in the course of practice as a geologist or
25geophysicist that violates professional standards adopted by the
26board.
Section 7864 is added to the Business and Professions
29Code, to read:
(a) A petitioner may petition the board for reinstatement
31or modification of penalty, including reduction, modification, or
32termination of probation, after the following minimum periods
33have elapsed from the effective date of the decision ordering the
34disciplinary action, or if the order of the board or any portion of
35it is stayed by a court, from the date the disciplinary action is
36actually implemented in its entirety:
37(1) Except as otherwise provided in this section, at least three
38years for reinstatement of a certificate that was revoked or
39surrendered. However, the board may, in its sole discretion, specify
P24 1in its order of revocation or surrender a lesser period of time
that
2shall be at a minimum of one year.
3(2) At least two years for early termination of a probation period
4of three years or more.
5(3) At least one year for early termination of a probation period
6of less than three years.
7(4) At least one year for reduction or modification of a condition
8of probation.
9(b) The board shall notify the Attorney General of the filing of
10the petition. The petitioner and the Attorney General shall be given
11timely notice by letter of the time and place of the hearing on the
12petition, and the petitioner and the Attorney General shall be given
13the opportunity to present both oral and documentary evidence
14and argument to the
board. The petitioner shall at all times have
15the burden of proof to establish by clear and convincing evidence
16that he or she is entitled to the relief sought in the petition.
17(c) The board itself or an administrative law judge, if one is
18designated by the board, shall hear the petition and shall prepare
19a written decision setting forth the reasons supporting the decision.
20(d) The board may grant or deny the petition or may impose
21any terms and conditions that it reasonably deems appropriate as
22a condition of reinstatement or reduction or modification of the
23penalty.
24(e) A petition shall not be considered while the petitioner is
25under sentence for any criminal offense, including any period
26during which the
petitioner is on court-imposed probation or parole.
27A petition shall not be considered while there is an accusation or
28petition to revoke probation pending against the petitioner.
29(f) The board may, in its discretion, deny without hearing or
30argument any petition that is filed pursuant to this section within
31a period of two years from the effective date of a prior decision
32following a hearing under this section.
33(g) Judicial review of the board’s decision following a hearing
34under this section may be sought by way of a petition for writ of
35administrative mandamus pursuant to Section 1094.5 of the Code
36of Civil Procedure. The party seeking to overturn the board’s
37decision shall have the burden of proof in any mandamus
38proceeding. In the mandamus proceeding, if it is alleged that there
39has
been an abuse of discretion because the board’s findings are
40not supported by the evidence, abuse of discretion is established
P25 1if the court determines that the findings are not supported by
2substantial evidence in light of the whole record.
3(h) The following definitions shall apply for purposes of this
4section:
5(1) “Certificate” includes a certificate of registration or license
6as a professional geologist or professional geophysicist or
7certification as a geologist-in-training.
8(2) “Petitioner” means a professional geologist or professional
9geophysicist or a geologist-in-training whose certificate has been
10revoked, suspended, or surrendered or placed on probation.
Section 8725.1 is added to the Business and
13Professions Code, to read:
It is the intent of the Legislature that thebegin delete registrationend delete
15begin insert licensureend insert requirements that are imposed upon private sector
16professional land surveyors and land surveying partnerships, firms,
17or corporations shall be imposed upon the state and any city,
18county,begin delete andend delete city andbegin delete countyend deletebegin insert county, district, and special districtend insert
19 that shall adhere to
those requirements. Therefore, for the purposes
20of Section 8725 and this chapter, at least one person authorized to
21practice land surveying shall be designated the person in
22responsible charge of professional land surveying work practiced
23in any department or agency of the state, city, county, city and
24county, district, or special district.
Section 8771 of the Business and Professions Code
27 is amended to read:
(a) Monuments set shall be sufficient in number and
29durability and efficiently placed so as not to be readily disturbed,
30tobegin delete assureend deletebegin insert ensureend insert, together with monuments already existing, the
31perpetuation or facile reestablishment of any point or line of the
32survey.
33(b) When monuments exist that control the location of
34subdivisions, tracts, boundaries, roads, streets, or highways, or
35provide horizontal or vertical survey control, the monuments shall
36be located and referenced by or
under the direction of a licensed
37land surveyor or registered civil engineer prior to the time when
38any streets, highways, other rights-of-way, or easements are
39improved, constructed, reconstructed, maintained, resurfaced, or
P26 1relocated, and a corner record or record of survey of the references
2shall be filed with the county surveyor.
3(c) A permanent monument shall be reset in the surface of the
4new construction or a witness monument or monuments set to
5perpetuate the location if any monument could be destroyed,
6damaged, covered, disturbed, or otherwise obliterated, and a corner
7record or record of survey shall be filed with the county surveyor
8prior to the recording of a certificate of completion for the project.
9Sufficient controlling monuments shall be retained or replaced in
10their original positions to enable property, right-of-way and
11easement
lines, property corners, and subdivision and tract
12boundaries to be reestablished without devious surveys necessarily
13originating on monuments differing from those that currently
14control the area.
15(d) The governmental agency performing or permitting
16construction or maintenance work is responsible for ensuring that
17either the governmental agency or landowner performing the
18construction or maintenance work provides for monument
19
perpetuation required by this section.
20(e) It shall be the duty of everybegin insert licensedend insert land surveyor or
21begin insert licensedend insert civil engineerbegin insert legally authorized to practice land surveyingend insert
22 to assist the governmental agency in matters of maps, field notes,
23and other pertinent records. Monuments set to mark the limiting
24lines of highways, roads, streets or right-of-way or easement lines
25shall not be deemed adequate for this purpose, unless specifically
26noted on the corner record or record of survey of the improvement
27works with direct ties in bearing or azimuth and distance
between
28these and other monuments of record.
29(f) The decision to file eitherbegin delete the requiredend deletebegin insert aend insert corner record or a
30record of surveybegin delete pursuant toend deletebegin insert as required byend insert subdivision (b) or (c)
31shall be at the election of the licensed land surveyor or begin deleteregisteredend delete
32begin insert the licensedend insert civil engineerbegin insert
legally authorized to practice land
33surveyingend insert submitting the document.
Section 17901 of the Business and Professions Code
36 is amended to read:
As used in this chapter, “general partner” means:
38(a) In the case of a partnership, a general partner, as defined in
39Section 15901.02 of the Corporations Code.
P27 1(b) In the case of an unincorporated association other than a
2partnership, a person interested in the business of the association
3whose liability with respect to the association is substantially the
4same as that of a general partner, as defined in Section 15901.02
5of the Corporations Code.
Section 17913 of the Business and Professions Code
8 is amended to read:
(a) The fictitious business name statement shall contain
10all of the information required by this subdivision and shall be
11substantially in the following form:
|
FICTITIOUS BUSINESS NAME STATEMENT |
|
|
The following person (persons) is (are) doing business as |
|
|
* |
|
|
at ** : |
|
|
*** |
|
|
|
|
|
|
|
|
|
|
|
This business is conducted by **** |
|
|
The registrant commenced to transact business under the fictitious business name or names listed above on |
|
|
***** |
|
|
I declare that all information in this statement is true and correct. (A registrant who declares as true any material matter pursuant to Section 17913 of the Business and Professions Code that the registrant knows to be false is guilty of a misdemeanor punishable by a fine not to exceed one thousand dollars ($1,000).) |
|
|
Registrant signature |
|
|
Statement filed with the County Clerk of ____ County on |
|
33NOTICE--IN ACCORDANCE WITH SUBDIVISION (a) OF
34SECTION 17920, A FICTITIOUS
NAME STATEMENT
35GENERALLY EXPIRES AT THE END OF FIVE YEARS FROM
36THE DATE ON WHICH IT WAS FILED IN THE OFFICE OF
37THE COUNTY CLERK, EXCEPT, AS PROVIDED IN
38SUBDIVISION (b) OF SECTION 17920, WHERE IT EXPIRES
3940 DAYS AFTER ANY CHANGE IN THE FACTS SET FORTH
40IN THE STATEMENT PURSUANT TO SECTION 17913
P28 1OTHER THAN A CHANGE IN THE RESIDENCE ADDRESS
2OF A REGISTERED OWNER. A NEW FICTITIOUS BUSINESS
3NAME STATEMENT MUST BE FILED BEFORE THE
4EXPIRATION.
5THE FILING OF THIS STATEMENT DOES NOT OF ITSELF
6AUTHORIZE THE USE IN THIS STATE OF A FICTITIOUS
7BUSINESS NAME IN VIOLATION OF THE RIGHTS OF
8ANOTHER UNDER FEDERAL, STATE, OR COMMON LAW
9(SEE SECTION 14411 ET SEQ., BUSINESS AND
10PROFESSIONS CODE).
12(b) The fictitious business name statement shall contain the
13
following information set forth in the manner indicated in the form
14provided by subdivision (a):
15(1) Where the asterisk (*) appears in the form, insert the
16fictitious business name or names. Only those businesses operated
17at the same address and under the same ownership may be listed
18on one fictitious business name statement.
19(2) Where the two asterisks (**) appear in the form: If the
20registrant has a place of business in this state, insert the street
21address, and county, of his or her principal place of business in
22this state. If the registrant has no place of business in this state,
23insert the street address, and county, of his or her principal place
24of business outside this state.
25(3) Where the three
asterisks (***) appear in the form: If the
26registrant is an individual, insert his or her full name and residence
27address. If the registrants are a married couple, insert the full name
28and residence address of both parties to the marriage. If the
29registrant is a general partnership, copartnership, joint venture, or
30limited liability partnership, insert the full name and residence
31address of each general partner. If the registrant is a limited
32partnership, insert the full name and residence address of each
33general partner. If the registrant is a limited liability company,
34insert the name and address of the limited liability company, as
35set out in its articles of organization on file with the California
36Secretary of State, and the state of organization. If the registrant
37is a trust, insert the full name and residence address of each trustee.
38If the registrant is a corporation, insert the name and address
of
39the corporation, as set out in its articles of incorporation on file
40with the California Secretary of State, and the state of
P29 1incorporation. If the registrants are state or local registered
2domestic partners, insert the full name and residence address of
3each domestic partner. If the registrant is an unincorporated
4association other than a partnership, insert the name of each person
5who is interested in the business of the association and whose
6liability with respect to the association is substantially the same
7as that of a general partner.
8(4) Where the four asterisks (****) appear in the form, insert
9whichever of the following best describes the nature of the
10business: (i) “an individual,” (ii) “a general partnership,” (iii) “a
11limited partnership,” (iv) “a limited liability company,” (v) “an
12unincorporated association other than a
partnership,” (vi) “a
13corporation,” (vii) “a trust,” (viii) “copartners,” (ix) “ a married
14couple,” (x) “joint venture,” (xi) “state or local registered domestic
15partners,” or (xii) “a limited liability partnership.”
16(5) Where the five asterisks (*****) appear in the form, insert
17
the date on which the registrant first commenced to transact
18business under the fictitious business name or names listed, if
19already transacting business under that name or names. If the
20registrant has not yet commenced to transact business under the
21fictitious business name or names listed, insert the statement, “Not
22applicable.”
23(c) The registrant shall declare that all of the information in the
24fictitious business statement is true and correct. A registrant who
25declares as true any material matter pursuant to this section that
26the registrant knows to be false is guilty of a misdemeanor
27punishable by a fine not to exceed one thousand dollars ($1,000).
28(d) (1) At the time of filing of the fictitious business name
29statement, the registrant filing
on behalf of the registrant shall
30present personal identification in the form of a California driver’s
31license or other government identification acceptable to the county
32clerk to adequately determine the identity of the registrant filing
33on behalf of the registrant as provided in subdivision (e) and the
34county clerk may require the registrant to complete and sign an
35affidavit of identity.
36(2) In the case of a registrant utilizing an agent for submission
37of the registrant’s fictitious business name statement for filing, at
38the time of filing of the fictitious business name statement, the
39agent filing on behalf of the registrant shall present personal
40identification in the form of a California driver’s license or other
P30 1government identification acceptable to the county clerk to
2adequately determine the identity of the agent filing on behalf of
3the
registrant as provided in subdivision (e). The county clerk may
4also require the agent to submit a notarized statement signed by
5the registrant declaring the registrant has authorized the agent to
6submit the filing on behalf of the registrant.
7(e) If the registrant is a corporation, a limited liability company,
8a limited partnership, or a limited liability partnership, the county
9clerk may require documentary evidence issued by the Secretary
10of State and deemed acceptable by the county clerk, indicating the
11current existence and good standing of that business entity to be
12attached to a completed and notarized affidavit of identity, for
13purposes of subdivision (d).
14(f) The county clerk may require a registrant that mails a
15fictitious business name statement to a county clerk’s office for
16
filing to submit a completed and notarized affidavit of identity. A
17registrant that is a corporation, limited liability company, limited
18partnership, or limited liability partnership, if required by the
19county clerk to submit an affidavit of identity, shall also submit
20documentary evidence issued by the Secretary of State indicating
21the current existence and good standing of that business entity.
22(g) A county clerk that chooses to establish procedures pursuant
23to this section shall prescribe the form of affidavit of identity for
24filing by a registrant in that county.
Section 17914 of the Business and Professions Code
27 is amended to read:
The fictitious business name statement shall be signed
29as follows:
30(a) If the registrant is an individual, by the individual.
31(b) If the registrants are a married couple, by either party to the
32marriage.
33(c) If the registrant is a general partnership, limited partnership,
34limited liability partnership, copartnership, joint venture, or
35unincorporated association other than a partnership, by a general
36partner.
37(d) If the registrant is a limited liability company, by a manager
38or officer.
39(e) If the registrant is a trust, by a trustee.
40(f) If the registrant is a corporation, by an officer.
P31 1(g) If the registrant is a state or local registered domestic
2partnership, by one of the domestic partners.
Section 17916 of the Business and Professions Code
5 is amended to read:
Presentation for filing of an original fictitious business
7name statement and one copy of the statement, with proper
8identification, accompanied by a completed and notarized affidavit
9of identity, if required by the county clerk, and other documents
10required in accordance with Section 17913, payment of the filing
11fee, and acceptance of the statement by the county clerk constitute
12filing under this chapter. The county clerk shall note on the copy
13the file number, the date of filing the original, and the date of
14expiration and shall certify and deliver the copy to the registrant
15or the registrant’s agent.
Section 22454 of the Business and Professions Code
18 is amended to read:
(a) At least one person involved in the management
20of a professional photocopier shall be required to hold a current
21commission from the Secretary of State as a notary public in this
22state. If the notary commission is held by someone other than the
23registrant, written confirmation from the notary authorizing the
24use of their commission for this registration is required.
25(b) Thebegin insert professional photocopier shall maintain a validend insert notary
26commissionbegin delete shall remain validend delete during thebegin delete two-yearend deletebegin insert
entireend insert period
27that the professional photocopier’s certificate of registration is
28effective. The registrant shall notify the county clerk and provide
29an updated valid notary commission if the commission expires
30prior to the expiration of the certificate of registration.
No reimbursement is required by this act pursuant to
33Section 6 of Article XIII B of the California Constitution for certain
34costs that may be incurred by a local agency or school district
35because, in that regard, this act creates a new crime or infraction,
36eliminates a crime or infraction, or changes the penalty for a crime
37or infraction, within the meaning of Section 17556 of the
38Government Code, or changes the definition of a crime within the
39meaning of Section 6 of Article XIII B of the California
40Constitution.
P32 1However, if the Commission on State Mandates determines that
2this act contains other costs mandated by the state, reimbursement
3to local agencies and school districts for those costs shall be made
4pursuant to Part 7 (commencing with Section 17500) of Division
54 of Title 2 of the Government Code.
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