Budget Amendment ID: FY2012-S3-2-R1

Redraft OTH 2

Office of Child Advocate

Mr. Rodrigues, Ms. Spilka and Mr. Rosenberg moved that the proposed new text be amended by inserting after section 22 the following 2 sections:-

Section 22A.  Section 6 of chapter 18C of the General Laws, as so appearing, is hereby amended by inserting, after the word “and” in line 3 the following words:- shall have unrestricted access to all electronic information systems,

Section 22B.  Section 6 of chapter 18C of the General Laws, as so appearing, is hereby further amended by striking in line 4 the words “to all relevant”.


Budget Amendment ID: FY2012-S3-3-R1

Redraft OTH 3

Youth-At-Risk Summer Jobs

Messrs. Hart and DiDomenico and Ms. Fargo and Messrs. Finegold, Kennedy, Moore and Welch and Ms. Spilka and Messrs. McGee and Montigny and Ms. Chang-Diaz moved that the proposed new text be amended in section 2, by inserting, before item 7003-0702, the following item:

 

7002-0012..For a youth-at-risk program targeted at reducing juvenile delinquency in high risk areas; provided, that these funds may be expended for the development and implementation of a year-round employment program for at-risk youth as well as existing year-round employment programs; provided further, that $500,000 of these funds shall be matched by private organizations; and provided further, that funds shall be available for expenditure through August 31, 2012; prior appropriation continued…………………$3,000,000


Budget Amendment ID: FY2012-S3-4

OTH 4

Senior Circuit Breaker Tax Credit

Ms. Fargo moved that the proposed new text be amended by inserting, after Section 152 the following new Section:-

 

“SECTION 153. Paragraph (2) of subsection (k) of section 6 of chapter 62 of the General Laws, as appearing in the 2008 Official Edition, is amended by inserting after the figure “$750”, as so appearing, at the end of said paragraph, the following words:- ; except, in the event that the taxpayer’s total income does not exceed 50 percent of the income limitation as applicable to the taxpayer under clause (i) of paragraph (3) of this subsection, as increased under paragraph (4) of this subsection, then such amount to which the real estate tax payment or the rent constituting real estate tax payment exceeds the taxpayer’s total income shall be calculated based on 8 ½ percent of such total income."

 

And further, moved that the bill be amended, by inserting after Section 153, the following new Section:-

 

"SECTION 154. Section 153 shall take effect as of January 1, 2012.”


Budget Amendment ID: FY2012-S3-5

OTH 5

Honoring Veterans of the Commonwealth

Ms. Fargo and Mr. Richard T. Moore moved that the proposed new text be amended by inserting, after Section 152, the following new section:-

 

"SECTION 153. The Ashburton Place Flag Pole Island that is located in proximity to The State House and The John W. McCormack State Office Building bordered by the streets known as Bowdoin Street and Ashburton Place, in the city of Boston, under the care and control of the bureau of state office buildings, shall be dedicated and known as the “Veterans’ Memorial Flag Plaza” in memory of those who have served with courage and honor in the armed forces and national guard during time of conflict in defense of our commonwealth and nation.  The bureau of state office buildings shall erect and maintain an appropriate marker bearing this designation in compliance with the standards of the bureau."


Budget Amendment ID: FY2012-S3-6

OTH 6

PERMANENT SALES TAX HOLIDAY

Messrs. Tarr, Knapik, Ross and Timilty moved that the proposed new text be amended by inserting, after Section __, the following new Section:-

 

"SECTION __. Chapter 64H of the General Laws, as appearing in the 2008 Official Edition, is hereby amended by inserting after section 6 the following new section:-

 

Section 6A. The commissioner of revenue is hereby authorized and directed to annually designate, by July 15 of each calendar year, a two-day weekend in August during which no excise shall be imposed upon non-business sales at retail in the commonwealth of tangible personal property, as defined in section 1 of this chapter, but for the purposes of this section, tangible personal property shall not include telecommunications, gas, steam, electricity, motor vehicles, boats, meals, or any single item whose price is in excess of $2,500.

 

For the days designated by the commissioner pursuant to the provisions of this section, a vendor in the commonwealth shall not add to the sales price or collect from any non-business purchaser an excise upon sales at retail of tangible personal property, as defined in section 1 of this chapter.  The commissioner of revenue shall not require any vendor to collect and pay excise upon sales at retail of tangible personal property purchased on said designated days.  Any excise erroneously or improperly collected during the designated days shall be remitted to the department of revenue.  This section shall not apply to the sale of telecommunications, tobacco products subject to the excise imposed by chapter 64C of the General Laws, gas, steam, electricity, motor vehicles, motorboats, meals, or any single item whose price is in excess of $2,500.

 

When choosing the designated days, the commissioner shall take into consideration the observance of any religious and secular days of observation occurring therein; provided further, that the commissioner shall designate such days so as to maximize the economic benefit to the commonwealth.

 

Reporting requirements imposed upon vendors of tangible personal property, by law or by regulation, including, but not limited to, the requirements for filing returns required by chapter 62C of the General Laws, shall remain in effect for sales for the days designated by the commissioner.

 

On or before December 31 of each year, the commissioner of revenue shall certify to the comptroller the amount of sales tax forgone, as well as new revenue raised from personal and corporate income taxes and other sources, because of this act.  The commissioner shall issue a report, detailing by fund the amounts under general and special laws governing the distribution of revenues under this chapter which would have been deposited in each fund, without this act.

 

The commissioner of revenue shall issue instructions or forms, or promulgate rules or regulations, necessary for the implementation of this act."


Budget Amendment ID: FY2012-S3-7

OTH 7

An Amendment Establishing a PILOT Commission for Group Homes

Messrs. Knapik, Tarr, Ross and Hedlund and Ms. Spilka moved that the proposed new text be amended by inserting the following new Section:-

SECTION 1.  There shall be a special commission to make a study and investigation of establishing a payment in lieu of taxes mechanism for municipalities in which group homes are located.  The commission shall be charged with evaluating options and the practices of other states, collecting data, and making policy recommendations that will be used to develop a statewide procedure to compensate municipalities for the properties and buildings occupied by group homes.

SECTION 2. The commission shall consist of the secretary of administration and finance or his designee, the secretary of health and human services or his designee, the commissioner of the department of mental health or his designee, the commissioner of department of developmental services or his designee, the commissioner of the department of housing and community development or his designee, the commissioner of the department of revenue or his designee, the chairs of the joint committee on mental health and substance abuse, the chairs of the joint committee on revenue, the senate minority leader or his designee, the house minority leader or his designee, and the executive director of the Massachusetts Municipal Association or his designee.

SECTION 3. The commission shall report its findings, recommendations, and annual cost of its recommendations, as well as any proposed legislation, to the clerks of the senate and house of representatives and to the chairs of the house and senate committees on ways and means on or before December 31, 2011.


Budget Amendment ID: FY2012-S3-8

OTH 8

POSTPONEMENT OF FAS 109 DEDUCTION

Messrs. Tarr, Hedlund, Knapik and Ross moved that the proposed new text be amended "by striking out Section 99 in its entirety."


Budget Amendment ID: FY2012-S3-9-R1

Redraft OTH 9

SALES TAX ROLLBACK

Messrs. Tarr, Hedlund, Knapik and Timilty moved that the proposed new text be amended by inserting, after Section __, the following new Sections:-

“SECTION 1. Section 2 of Chapter 64H of the General Laws is hereby amended by striking the figure “6.25 per cent” and replacing it with the figure “5.6 per cent”.

SECTION 2. Section 2 of Chapter 64I of the General Laws is hereby amended by striking the figure “6.25 per cent” and replacing it with the figure “5.6 per cent”.

SECTION 3. Section 2 of Chapter 64H of the General Laws is hereby amended by striking the figure “6.25 per cent” and replacing it with the figure “5 per cent”.

SECTION 4. Section 2 of Chapter 64I of the General Laws is hereby amended by striking the figure “6.25 per cent” and replacing it with the figure “5 per cent”.

SECTION 5. Sections 1 and 2 shall take effect on July 1, 2011.

SECTION 6. Sections 3 and 4 shall take effect on July 1, 2012."


Budget Amendment ID: FY2012-S3-10

OTH 10

MUNICIPAL GAS TAX

Messrs. Tarr, Hedlund, Knapik, Ross, Richard T. Moore and Timilty moved that the proposed new text be amended by inserting, after Section __, the following new Section:-

 

"SECTION ___. Chapter 64A of the General Laws, as appearing in the 2004 Official Edition, is hereby amended by inserting after section 7A the following new section:-

Section 7B.  The sale of fuel to a city or town, which is or shall be consumed by the same for any municipal purpose, shall be exempt from the excise established by this chapter.”

SECTION 8B. Chapter 64E of the General Laws, as so appearing, is hereby amended by inserting after section 4 the following section:-

Section 4A.  The sale of special fuel to a city or town, which is or shall be consumed by the same for any municipal purpose, shall be exempt from the excise established by this chapter."


Budget Amendment ID: FY2012-S3-11

OTH 11

MEALS TAX HOLIDAY

Messrs. Tarr, Knapik and Timilty moved that the proposed new text be amended by inserting, after Section __, the following new Sections:-

"SECTION __. Notwithstanding any general or special law to the contrary, for the days of October 21, 2011 through October 26, 2011, inclusive, excise tax shall not be imposed upon meals purchased in restaurants, as those terms are defined in Section 6 of Chapter 64H of the General Laws, as appearing in the 2008 Official Edition.

SECTION __. Notwithstanding any general or special law to the contrary, for the days of October 21, 2011 through October 26, 2011, inclusive, a restaurant in the commonwealth shall not add to the sales price or collect from a customer an excise upon sales of meals. The commissioner of revenue shall not require any restaurant to collect and pay excise upon sales of meals purchased on October 21, 2011 through October 26, 2011, inclusive. An excise erroneously or improperly collected during the days of October 21, 2011 through October 26, 2011, inclusive, shall be remitted to the department of revenue.

SECTION __. Reporting requirements imposed upon restaurants by law or regulation, including, but not limited to, the requirements for filing returns required by chapter 62C of the General Laws, shall remain in effect for sales on the days of October 21, 2011 through October 26, 2011, inclusive,.

SECTION __. On or before December 31, 2011, the commissioner of revenue shall certify to the comptroller the amount of sales tax forgone, as well as new revenue raised from person and corporate income taxes and other sources, pursuant to this Act. The commissioner shall file a report with the joint committee on revenue and the house and senate committees on ways and means detailing by fund the amounts under general and special laws governing the distribution of revenues under Chapter 64H of the General Laws which would have been deposited in each fund, without this act.

SECTION __. The commissioner of revenue shall issue instructions or forms, or promulgate rules or regulations, necessary for the implementation of this act.

SECTION __. Eligible sales of meals purchased in restaurants are restricted to October 21, 2011 through October 26, 2011, inclusive.

SECTION __. Notwithstanding sections 1-6, this Act shall not be applicable to the local option meals excise tax under Section 1-6 of Chapter 64L of the General Laws, as appearing in the 2008 Official Edition, which shall remain in full force and effect on October 21, 2011 through October 26, 2011, inclusive."


Budget Amendment ID: FY2012-S3-12-R1

Redraft OTH 12

INCOME TAX REDUCTION

Messrs. Tarr, Hedlund, Knapik and Ross moved that the proposed new text be amended <w:p><w:r><w:t xml:space="preserve">SECTION__. Section 4 of chapter 62 of the General Laws, as appearing in the 2008 official edition, is hereby amended by striking out subsection (b) in its entirety and inserting in place thereof the following subsection:-

(b) Part B taxable income shall be taxed at the rate of 5.2 percent for the taxable year beginning January 1, 2012.

SECTION 2. Section 4 of said chapter 62 of the General Laws, as so appearing, is hereby amended by striking out subsection (b) in its entirety and inserting in place thereof the following subsection:-

(b) Part B taxable income shall be taxed at the rate of 5.1 percent for the taxable year beginning January 1, 2013.

SECTION 3. Section 4 of said chapter 62 of the General Laws, as so appearing, is hereby amended by striking out subsection (b) in its entirety and inserting in place thereof the following subsection:-

(b) Part B taxable income shall be taxed at the rate of 5 percent for the taxable year beginning January 1, 2014.

SECTION 4. Section 1 of this act shall be effective only for the taxable year beginning January 1, 2012

SECTION 5. Section 2 of this act shall be effective for the taxable year beginning January 1, 2013.

SECTION 6. Section 3 of this act shall be effective for taxable years beginning on or after January 1, 2014.


Budget Amendment ID: FY2012-S3-13

OTH 13

Lupus Awareness Month

Ms. Chang-Diaz moved that the proposed new text be amended by inserting, after Section _____, the following new Section:-

 

"SECTION ____.  Section 15lll of Chapter 6 of the General Laws, as appearing in the Official 2010 Edition, is hereby amended by striking the word “October” and inserting in place thereof the following word:— May."


Budget Amendment ID: FY2012-S3-14

OTH 14

An Amendment in Support of those Contributing to College Savings Plans

Messrs. Knapik, Tarr, Ross and Hedlund moved that the proposed new text be amended by inserting, after Section XXX, the following new Section:-

SECTION 1. Paragraph (a) of Part B of section 3 of chapter 62 of the General Laws, as most recently amended by section 42 of chapter 139 of the acts of 2006, is hereby further amended by adding the following paragraph:- (16)  Contributions to qualified tuition program under Section 529 of the Code, such as the U.Fund or the U.Plan offered through the Massachusetts Educational Financing Authority; but in the case of a single person, a married person filing a separate return or a head of household the deduction shall not exceed $500, and in the case of a married couple filing a joint return, the deduction shall not exceed $1,000.


Budget Amendment ID: FY2012-S3-15

OTH 15

TOXIC SUBSTANCES

Mr. Tolman moved that the proposed new text be amended by inserting at the end thereof the following new section: -

 

SECTION XX

 

Section 1:

 

Section 1 of Chapter 94B is hereby amended by inserting in line 2, after the word “hazards” in the definition of “banned hazardous substance”, the following words:-

 

“or any plastic shipping pallet that contains more than one-tenth of 1% by mass of decabrominated diphenyl ether.”

 

 

Section 2:

 

Section 2 of Chapter 94B is hereby amended by inserting after subsection (g), the following new section:-

 

(h) Notwithstanding any other section or clause to the contrary, this section shall not apply to:

 

(1)the manufacture, sale, repair, distribution, maintenance, refurbishment or modification of any new raw material or component part used in a motor vehicle, as defined by Section 1 of Chapter 90 of the General Laws, or an airplane with component parts, including but not limited to original spare parts, that contain decabrominated diphenyl ether; or

(2)the use of commercial decabrominated diphenyl ether in the maintenance, refurbishment or modification of equipment used for purposes related to transportation, except a plastic shipping pallet that contains more than one-tenth of 1% by mass of decabrominated diphenyl ether.

 

 

Section 3:

 

Section 5 of Chapter 94B is hereby amended by inserting after clause (b), the following new clause:-

 

(c) Manufacturers of plastic shipping pallets that contain more than one-tenth of 1% of decabrominated diphenyl ether shall notify all persons that sell, possess, distribute, introduce or deliver for introduction into commerce the product of the requirements of this section no later than January 1, 2012.

 

 

Section 4:

 

This Section shall take effect on January 1, 2013.


Budget Amendment ID: FY2012-S3-18-R3

3rd Redraft OTH 18

Gate Shows

Mr. Hart moved that the proposed new text be amended by inserting a section after Section 93 the following new Section:-

“SECTION 93A. Paragraph (d) of section 15 of chapter 152 of the acts of 1997, as appearing in section 5 of chapter 256 of the acts of 2006, is hereby amended by striking out, in line 3, the figure“250,000” and inserting in place thereof the following words:-  160,000; provided that the Massachusetts Convention Center Authority shall conduct a traffic study associated with increased gate show activity and its effect on the South Boston section in the city of Boston."


Budget Amendment ID: FY2012-S3-19-R1

Redraft OTH 19

Searchable Format for Electronic Reporting

Mr. Eldridge moved that the proposed new text be amended in section 145 by inserting after the word "online" the following words:-

"in searchable format"


Budget Amendment ID: FY2012-S3-21-R1

Redraft OTH 21

ORP

Mr. Rosenberg moved that the proposed new text be amended by inserting after section 21 the following section:-

"SECTION 21A. Paragraph (b) of subsection (2) of section 40 of chapter 15A of the General Laws, as so appearing, is hereby amended by inserting after the word “writing”, in lines 82, 93 and 104, in each instance, the following words:-  , or in another form acceptable to the council,.";

and by inserting after section 37, the following section: -

"SECTION 37A. The third paragraph of the definition of “Regular compensation” in section 1 of chapter 32 of the General Laws, as inserted by section 23 of chapter 131 of the acts of 2010, is hereby amended by striking out the second sentence and inserting in place thereof the following sentence:-  After September 1, 2011, faculty, librarians and administrators in public higher education who are eligible for the state employees’ retirement system shall not be prohibited from participating in the optional retirement program under section 40 of chapter 15A.


Budget Amendment ID: FY2012-S3-26-R2

2nd Redraft OTH 26

An Amendment in Honor of Veteran of the Commonwealth

Messrs. Knapik and Tarr moved that the proposed new text be amended by inserting, after section 145, the following new section:-

“SECTION 145A. The first paragraph of section 16 of chapter 136 of the General Laws, as appearing in the 2008 Official Edition, is hereby amended by striking out the first sentence and inserting in place thereof the following sentence:- All stores and shops which sell goods at retail may be open any time on Sundays, July Fourth and Labor Day, but no such stores and shops may be open on Christmas Day if Christmas occurs on a Sunday, and no such store shall open prior to the hour of 12:00 noon on Memorial Day.”


Budget Amendment ID: FY2012-S3-27

OTH 27

Emergency Medical Services

Messrs. Timilty and Donnelly, Ms. Clark, Ms. Flanagan, Messrs. Kennedy, Rodrigues, Finegold, Welch, Knapik, Keenan and DiDomenico and Ms. Donoghue moved that the proposed new text be amended by inserting the following new Section:-

 

SECTION X.  Chapter 176D of the General Laws is hereby amended by inserting after section 3B the following section:-

Section 3C. (a) As used in this section, the following words shall, unless the context clearly requires otherwise, have the following meanings:-

“Ambulance service provider”, a person or entity licensed by the department of public health under section 6 of chapter 111C to establish or maintain an ambulance service.

“Emergency ambulance services”, emergency services that an ambulance service provider is authorized to render under its ambulance service license when a condition or situation in which an individual has a need for immediate medical attention, or where the potential for such need is perceived by the individual, a bystander or an emergency medical services provider.

“Insurance policy” and “insurance contract”, a contract of insurance, motor vehicle insurance, indemnity, medical or hospital service, dental or optometric, suretyship or annuity issued, proposed for issuance or intended for issuance by any insurer.

“Insured”, an individual entitled to ambulance services benefits under an insurance policy or insurance contract.

“Insurer”, a person as defined in section 1 of chapter 176D; any health maintenance organization as defined in section 1 of chapter 176G; a non-profit hospital service corporation organized under chapter 176A; any organization as defined in section 1 of chapter 176I that  participates in a preferred provider arrangement also as defined in said section 1 of said chapter 176I; any carrier offering a small group health insurance plan under chapter 176J; any company as defined in section 1 chapter 175; any employee benefit trust; any self-insurance plan, and any company certified under section 34A of chapter 90 and authorized to issue a policy of motor vehicle liability insurance under section 113A of chapter 175 that provides insurance for the expense of medical coverage.

(b) Notwithstanding any general or special provision of law to the contrary, in any instance in which an ambulance service provider provides an emergency ambulance service to an insured but is not an ambulance service provider under contract to the insurer maintaining or providing the insured’s insurance policy or insurance contract, the insurer maintaining or providing such insurance policy or insurance contract shall pay the ambulance service provider directly and promptly for the emergency ambulance service rendered to the insured. Such payment shall be made to the ambulance service provider notwithstanding that the insured’s insurance policy or insurance contract contains a prohibition against the insured assigning benefits thereunder so long as the insured executes an assignment of benefits to the ambulance service provider and such payment shall be made to the ambulance service provider in the event an insured is either incapable or unable as a practical matter to execute an assignment of benefits under an insurance policy or insurance contract pursuant to which an assignment of benefits is not prohibited, or in connection with an insurance policy or insurance contract that contains a prohibition against any such assignment of benefits. An ambulance service provider shall not be considered to have been paid for an emergency ambulance service rendered to an insured if the insurer makes payment for the emergency ambulance service to the insured. An ambulance service provider shall have a right of action against an insurer that fails to make a payment to it pursuant to this subsection.

(c)  Payment to an ambulance service provider under subsection (b) shall be at a rate equal to the lower of the ambulance service provider’s usual and customary charge for the ambulance service rendered to the insured, or the rate established by the municipality where the patient was transported from.

 

(d)  An ambulance service provider receiving payment for an ambulance service in accordance with subsections (b) and (c) shall be deemed to have been paid in full for the ambulance service provided to the insured, and shall have no further right or recourse to further bill the insured for said ambulance service with the exception of coinsurance, co-payments or deductibles for which the insured is responsible under the insured’s insurance policy or insurance contract.

 

(e)  No term or provision of this section 3C shall be construed as limiting or adversely affecting an insured’s right to receive benefits under any insurance policy or insurance contract providing insurance coverage for ambulance services.  No term or provision of this section 3C shall create an entitlement on behalf of an insured to coverage for ambulance services if the insured’s insurance policy or insurance contract provides no coverage for ambulance services”.


Budget Amendment ID: FY2012-S3-28

OTH 28

Special education health care costs

Ms. Creem moved that the proposed new text be amended by inserting, after Section __, the following new Section:-

(a) Chapter 32A of the General Laws is hereby amended by adding the following section:-

Section 26. The commission shall provide to an active or retired employee of the commonwealth who is insured under the group insurance commission benefits on a nondiscriminatory basis for the medically necessary treatment for disease, illness, injury, or bodily dysfunction which are required by a student’s individual education program, individualized family service plan, individualized service plan or the federal Individuals with Disabilities Education Improvement Act.

(b) Chapter 175 of the General Laws is hereby amended by inserting after section 47AA the following section:-

Section 47BB.  An individual policy of accident and sickness insurance issued under section 108 that provides hospital expense and surgical expense insurance and any group blanket or general policy of accident and sickness insurance issued under section 110 that provides hospital expense and surgical expense insurance, which is issued or renewed within or without the commonwealth, shall provide benefits on a nondiscriminatory basis for the medically necessary treatment for disease, illness, injury, or bodily dysfunction which are required by a student’s individual education program, individualized family service plan, individualized service plan or the federal Individuals with Disabilities Education Improvement Act.

(c) Chapter 176A of the General Laws is hereby amended by inserting after section 8DD the following section:-

Section 8EE.  A contract between a subscriber and the corporation under an individual or group hospital service plan which is issued or renewed within or without the commonwealth shall provide benefits on a nondiscriminatory basis for the medically necessary treatment for disease, illness, injury, or bodily dysfunction which are required by a student’s individual education program, individualized family service plan, individualized service plan or the federal Individuals with Disabilities Education Improvement Act.

(d) Chapter 176B of the General Laws is hereby amended by inserting after section 4DD the following section:-

Section 4EE. A subscription certificate under an individual or group medical service agreement which is issued or renewed within or without the commonwealth shall provide benefits on a nondiscriminatory basis for the medically necessary treatment for disease, illness, injury, or bodily dysfunction which are required by a student’s individual education program, individualized family service plan, individualized service plan or the federal Individuals with Disabilities Education Improvement Act.

(e) Chapter 176G of the General Laws is hereby amended by inserting after section 4V the following section:-

Section 4W. A health maintenance contract issued or renewed within or without the commonwealth shall provide benefits on a nondiscriminatory basis for the medically necessary treatment for disease, illness, injury, or bodily dysfunction which are required by a student’s individual education program, individualized family service plan, individualized service plan or the  federal Individuals with Disabilities Education Improvement Act.

(f) All policies, contracts and certificates of health insurance subject to section 26 of chapter 32A, section 47BB of chapter 175, section 8EE of chapter 176A, section 4EE of chapter 176B, and section 4W of chapter 176G of the General Laws which are delivered, issued or renewed on or after January 1, 2011 shall conform with the provisions of this act. Form filings implementing this act shall be subject to the approval of the commissioner of insurance.

(g) This section shall take effect on January 1, 2012.


Budget Amendment ID: FY2012-S3-29

OTH 29

Access of Personal Information

Messrs. Rodrigues and Tarr moved that the proposed new text be amended by adding the following section:

 

“SECTION XX. Section 52B of chapter 59 of the General Laws, as appearing in the 2008 Official Edition, is hereby amended by inserting the following sentence at the end of the paragraph:

 

‘Nothing in this section shall prevent a person who submitted that information, or his designated representative, from inspecting or being provided a copy of the submission upon request.’

 

Section 60 of chapter 59 of the General Laws, as appearing in the 2008 Official Edition, is hereby amended by inserting the following sentence on line 32, after word, “duties.”: -

 

‘However, nothing in this section shall prevent a person who submitted that information, or his designated representative, from inspecting or being provided a copy of the submission upon request.’

 

Section 32 of chapter 59 of the General Laws, as appearing in the 2008 Official Edition, is hereby amended by inserting the following sentence on line 32, after word, “duties.” : -

 

‘However, nothing in this section shall prevent a person who submitted that information, or his designated representative, from inspecting or being provided a copy of the submission upon request.’”.


Budget Amendment ID: FY2012-S3-30

OTH 30

Permanent Voter Registration

Ms. Chang-Diaz and Mr. Eldridge moved that the proposed new text be amended by inserting, after Section _____, the following new Sections:-

 

"SECTION ____.  After Section 63 of Chapter 51 of the Massachusetts General Laws, the following new Section is added:

“Section 64: Electronic Updating of the Annual Register of Voters and Central Voter Registry by the State Secretary.

Notwithstanding any general or special law to the contrary, the State Secretary shall obtain data from the Massachusetts Registry of Motor Vehicles and the United States Postal Service, in order to ascertain whether any persons, who otherwise already have a valid and complete affidavit of voter registration, have changed their address within the Commonwealth of Massachusetts.

At least every three months, the State Secretary shall seek such information from the Registry of Motor Vehicles and the US Postal Service.  These agencies shall electronically transmit to the State Secretary information for persons who have changed their address within the Commonwealth of Massachusetts in the past three months, including, where available:

(i)Name, Current Address, Mailing Address, Date of Birth, Identification # (Driver’s License Number  or Last 4 digits of Social security Number), Telephone Number

(ii)Date, time, and nature of the last change to the information; and

(iii)Any additional information designated by the State Secretary for such purposes and reasonably related to the management of elections.

(iv)If information is sent because it has changed since the last transmission from the source agency, the source agency shall transmit both the new information and the old information, labeled accordingly.

If the information transferred reflects a person already included in the Central Registry of Voters as a duly registered voter, and if the information reliably indicates a more recent update to the person’s name or address than is currently contained in the Central Registry of Voters, the State Secretary shall ensure that the person’s records in the Central Registry of Voters  are updated accordingly, and shall alert the appropriate municipal registrars to update the person’s records in their annual register of voters accordingly.

The State Secretary shall ensure that each voter whose address is changed in the Central Registry of Voters is promptly sent written notice of the change and their new voting location.   Any notice required by this section may be sent with other notices required or permitted by law.

 

SECTION ____.  Section ____ shall take effect 1 year from the date of passage.”


Budget Amendment ID: FY2012-S3-31

OTH 31

Central Registry of Voters

Ms. Chang-Diaz moved that the proposed new text be amended by inserting, after Section _____, the following new Section:-

 

"SECTION ____.  The last sentence of Section 47C of chapter 51 of the General Laws, as appearing in the 2008 Official Edition, is hereby amended by striking out the last sentence and inserting in place thereof the following sentences:

 

The names and addresses contained in said central registry shall not be a matter of public record, provided however, that the names and addresses, dates of registration, voting history, and dates of birth shall be made available to the jury commissioner and adjutant general at no cost; they shall be made available to state party committees, statewide candidate committees, and state ballot question committees at a fair and reasonable cost, set by the state secretary, not to exceed the cost of printing or preparing computer readable documents, and further they shall be made available to organizations with Internal Revenue Service status of 501 (c)(3), 501 (c)(4), 501(c)5, and 527s, and Political Action Committees (or PACs), for a fee of $1000, entitling the receiving organization to use of the information for purposes of civic engagement, public policy advocacy, and political advocacy.  The State Secretary may deny requests for this information to any receiving organization that has had a history of using the abovementioned data for purposes other than those permitted in this section. In the event of a data request denial, the State Secretary shall provide a written explanation of the denial to the requesting organization."


Budget Amendment ID: FY2012-S3-32-R1

Redraft OTH 32

DCF Title IV-E Eligibility

Mr. Rodrigues moved that the proposed new text be amended <w:p><w:r><w:t xml:space="preserve">by inserting, after Section 64, the following section:-

“SECTION 64A.  Section 23 of chapter 119 of the General Laws, as most recently amended by section 19 of chapter 359 of the acts of 2010, is hereby further amended by adding the following subsection:-

(j) Upon request by the department, the commissioner of probation shall provide to the department a copy of a person’s indigency intake form, final assessment of financial circumstances and any report certifying that such person either continues to meet or no longer meets the definition of indigency prepared by the chief probation officer in accordance with section 2 ½ of chapter 211D. The department shall use such forms or reports for the purpose of completing eligibility determinations under Title IV-E of the Social Security Act and no other purpose. The commissioner of probation and the commissioner of the department of children and families shall jointly determine the process by which  the department of children and families shall obtain and maintain such forms and reports.  The department of children and families shall not make, and shall prohibit, any dissemination of such information, for any purpose other than as set forth herein.”

 


Budget Amendment ID: FY2012-S3-33

OTH 33

Closing Tobacco Loopholes

Ms. Chang-Diaz, Mr. Montigny, Ms. Fargo and Ms. Creem moved that the proposed new text be amended by inserting, after Section ____, the following new Sections:-

 

“SECTION ____. Section 7B of Chapter 64C of the General Laws is hereby amended by adding the following paragraph:- '(m) In addition to the excise imposed by paragraph (b), an excise shall be imposed on all cigars weighing more than 3 pounds per 1,000 units and not more than 12 pounds per 1,000 units held in the commonwealth at the rate of 80 per cent of the wholesale price of such product. In addition to the excise imposed by paragraph (b), an excise shall be imposed on all smoking tobacco held in the commonwealth at the rate of 90 per cent of the wholesale price of such product.'"

 

“SECTION _____. Section 7C(a) of Chapter 64C of the General Laws is hereby amended by striking out the sentence 'Notwithstanding the provisions of this section, the excise imposed by this section shall equal twenty-five percent of the price paid by such licensee or unclassified acquirer to purchase smokeless tobacco so sold, imported, or acquired' and inserting in place thereof the following sentence:- 'Notwithstanding the provisions of this section, the excise imposed by this section shall equal forty-five percent of the price paid by such licensee or unclassified acquirer to purchase smokeless tobacco so sold, imported or acquired.'”


Budget Amendment ID: FY2012-S3-35

OTH 35

Promoting Economic Development

Mr. Pacheco moved that the proposed new text be amended by inserting after, SECTION__, the following new section: -

 

“SECTION __. The General Laws are hereby amended by inserting after chapter 128C the following chapter:— Chapter 128D. The Massachusetts Gaming Control Act. Section 1. General Provisions.

(a) This chapter shall be known and may be cited as the “Massachusetts Gaming Control Act.”

(b) No applicant for a license or other affirmative approval within the scope of this chapter has any property or other right to a license or to the granting of the approval sought. Any license issued or other approval granted pursuant to this chapter is a fully

revocable privilege, and no holder acquires any vested right therein or thereunder.

(c) Nothing in this chapter shall preclude any city or town in the commonwealth from prohibiting gaming, from imposing any local controls or conditions upon gaming, from inspecting premises to enforce applicable laws, or from imposing any fee or tax otherwise authorized, provided any prohibition, control, condition, inspection, tax, or fee is not inconsistent with this act, or the laws of the United States.

(d) In the event of any conflict between the provisions of this chapter and the provisions of any other general or special law, or local ordinance, the provisions of this chapter shall prevail.

 

Section 2. Definitions.

The following words as used in this chapter shall, unless the context clearly requires otherwise, have the following meanings:

(a) “Affiliate,” any person that a licensee or applicant directly or indirectly controls or in which an applicant or licensee possesses an interest. For the purposes of this definition, “controls” means either (i) directly or indirectly holding more than ten percent (10%) of voting membership rights or voting stock or partnership interests, or (ii) that a majority of the directors, general partners, trustees, or members of an entity’s governing body are

representative of, or are directly or indirectly controlled by, the licensee or applicant. For the purposes of this definition, “possesses an interest in” means either (i) directly or indirectly holding more than (5%) of voting membership rights or voting stock, or

(ii) that at least twenty-five percent (25%) of the directors, general partners, trustees, or members of an entity’s governing body are representatives of, or are directly or indirectly controlled by, the licensee or applicant;

(b) “Applicant,” a person who has applied for a gaming license, work permit, or approval of any act or transaction pursuant to this chapter;

(c) “Bureau,” the state gaming control bureau established by this act;

(d) “Commission,” the Massachusetts gaming control commission;

(e) “Controlled game,” or “controlled gaming,” any game of chance, or skill, or both, played for currency, check, credit, or any other thing of value, and including electronic gaming devices and games classified as class II or class III gaming under the Indian

Gaming Regulatory Act, 25 U.S.C. § 2701 et seq., but excluding:

(1) The game of bingo conducted pursuant to chapter two hundred and seventy-one;

(2) Parimutuel wagering on horse and dog races, whether live or simulcast, authorized under G.L. c. 128A and G.L. c. 128C;

(3) Any lottery game conducted by the state lottery commission, in accordance with G.L. c. 10, § 24.

(4) Games played with cards in private homes or residences in which no person makes money for operating the game, except as a player.

(f) “Electronic Gaming Device,” means any game of chance mechanical, electronic or otherwise featuring coin drop and payout as well as printed tabulations, whereby the software of the device predetermines the presence or lack of a winning combination

and payout; also microprocessor-controlled electronic devices that allow a player to play games of chance, which may be affected by an element of skill, activated by the insertion of a coin or currency or by the use of a credit and awards game credits, cash, tokens, replays or a written statement of the player’s accumulated credits, which written statements are redeemable for cash; and including slot machines, video lottery terminals and video facsimile machines of any type;

(g) “Establishment,” any building, room, place or other indoor or outdoor premises where any controlled gaming occurs, including all public and non-public areas of any such establishment;

(h) “Executive Director,” the executive director of the bureau;

(i) “Gaming,” to deal, operate, carry on, conduct, maintain, or expose for play any controlled gaming;

(j) “Gaming equipment,” any equipment, device, object or contrivance, or machine, whether mechanical, electromechanical, or electronic, which is specifically designed or manufactured for use in the operation of gaming;

(k) “Gaming license,” or “license,” any license or work permit issued by the commission under this chapter that authorizes the person named therein to engage or participate in controlled gaming or to operate electronic gaming devices, including work

permits and licenses issued to gaming establishments, to gaming suppliers, to parties in interest, and to officers and directors of licensed persons or entities;

(l) “Gaming operation,” one or more controlled game that is operated, carried on, conducted, maintained, offered or exposed for play;

(m) “Gaming establishment,” any establishment licensed to conduct a gaming operation in the commonwealth under this chapter;

(n) “Gaming services” means providing services or goods to any licensed gaming establishment directly in conjunction with the operation of gaming, including security services, training activities, promotional services, printing or manufacture of betting

tickets and manufacture, distribution, maintenance, testing or repair of electronic gaming devices, or any person who furnishes

goods or services pursuant to which the person receives payments

based on earnings, profits or net receipts from gaming;

(o) “Holding company,” any corporation, firm, partnership,

trust, or other entity that, directly or indirectly, owns, has the

power or right to control, or holds with power to vote, all or any

part of the partnership interests or outstanding voting securities of

a corporation or any other business entity that holds or applies for

a gaming license. In addition, a holding company indirectly has,

holds, or owns any power or right mentioned herein if it does so

through any interest in a subsidiary or affiliate or successive subsidiaries

or affiliates, however many of these subsidiaries or affiliates

may intervene between the holding company and the

corporate licenses or applicant;

(p) “Intermediary company,” any corporation, firm, partnership,

trust, or other entity, other than a natural person, that is both of the

following:

(1) A subsidiary with respect to a holding company, and

(2) A holding company with respect to a corporation or limited

partnership or other entity that holds or applies for gaming

license;

(q) “Licensed operator,” any operating entity that conducts a

controlled gaming operation within a gaming establishment pursuant

to a license or licenses issued under this Act.

(r) “Licensed premises,” the premises upon which is located a

gaming establishment pursuant to a license issued to a licensed

operator;

(s) “Licensee,” any person or party holding, or purporting to

hold, a valid gaming license under this chapter;

(t) “Net gaming revenue,” the total, prior to the deduction of

any operating, capital or other expenses whatsoever, of all gaming

revenue retained by any gaming establishment licensed under this

chapter derived from the conduct of any controlled game;

(u) “Operating entity,” any person who conducts a gaming

operation;

(v) “Party in interest,” any corporation, firm, partnership, trust,

or other entity or person with any direct or indirect pecuniary

interest in a licensed gaming establishment, or a person who owns

any interest in the premises of a licensed gaming establishment, or

land upon which such premises is licensed, whether he leases the

property directly or through an affiliate;

(w) “Person” or “party,” a natural person, corporation, partnership,

limited partnership, trustee, holding company, joint venture,

association, or any business entity;

(x) “Racing meeting licensee,” the running horse racing

meeting licensee in Suffolk County, harness horse racing meeting

licensee in Norfolk County, and dog racing meeting licensees in

Suffolk and Bristol Counties licensed by the State Racing Commission

pursuant to G.L. c. 128A, as amended, to conduct

parimutuel racing during calendar year 2009, or their respective

assigns; provided, however, that the two dog racing meeting

licensees in Bristol County shall be deemed one for all purposes

of this act; and, further, excluding any licensees of racing meetings

held or conducted in connection with a state or county fair.

(y) “Substantial party in interest,” any person holding a greater

that one percent (1%) direct or indirect pecuniary interest,

whether as owner, mortgagee or otherwise, in an operating entity,

premises, or any other licensee or applicant;

(z) “Work permit,” any permit issued by the commission authorizing

the holder to be employed as an employee in a licensed

gaming establishment.

Section 3. Gaming Control Commission; Composition, Powers

& Duties.

(a) There shall be established a Massachusetts gaming control

commission consisting of five members. Each member shall be a

citizen of the United States and a resident of the commonwealth.

No officer or official of any political party, nor any person who

was formerly a licensee or an unlicensed employee of a gaming

licensee within the five years prior to any appointment shall be

eligible for appointment to the commission. No person actively

engaging or having a direct pecuniary interest in gaming activities

shall be a member of the Commission. Not more than three members

of the Commission shall be of the same major political party

affiliation. The governor shall appoint one member of the Commission

and designate one member to serve as chairman of the

Commission. The attorney general of the commonwealth shall

appoint one member of the Commission. The auditor of the commonwealth

shall appoint one member of the Commission. The

Secretary of State shall appoint one member of the Commission.

(b) The term of office of each member of the Commission shall

be five years except that, of the members initially appointed, one

shall be appointed by the governor for a term of five years, one

shall be appointed by the attorney general for a term of four years,

one shall be appointed by the governor for a term of three years,

one shall be appointed by the auditor for a term of two years, and

one shall be appointed by the Secretary of State for a term of one

year. After the initial term the term of office for each member of

the Commission is five years, provided that no member shall serve

more than two consecutive terms of five year periods. Any vacancies

shall be filled by the original appointing authority within

sixty days of the occurrence of such vacancy. Any appointee shall

continue in office beyond the expiration date of his term until the

appointment of a successor but in no event longer than six

months. Any Commissioner may be removed by his appointing

authority for just cause, and shall be suspended, without pay, upon

indictment for any felony. Any person so suspended shall be

removed upon conviction. Any person so suspended and later

acquitted of any such felony shall be reinstated to the commission

upon such acquittal, with full back pay.

(c) The commission members shall devote that time and attention

to the business of the commission as is necessary to discharge

their duties; provided, however, the chairman shall devote his or

her full time during normal business hours to the business of the

commission. The members of the commission shall be compensated

for work performed for the commission at ninety thousand

dollars per annum, with the chairman receiving ten thousand dollars

per annum in additional compensation. Commission members

shall be reimbursed for travel and other expenses necessarily

incurred in the performance of official duties. Before entering

upon the duties of the office each member shall swear that he is

not pecuniarily interested in, or doing business with, any person

holding a gaming license and shall submit to his appointing

authority and to the state ethics commission a statement of financial

interest required by chapter two hundred sixty-eight B of the

general laws.

(d) Except as otherwise provided herein, meetings of the commission

shall be subject to the provisions of section eleven A and

eleven A and one-half of chapter thirty A of the General Laws. A

majority of the membership of the commission shall constitute a

quorum of the commission. A public record of every vote shall be

maintained at the commission’s general office.

(e) The commission shall conduct hearings in accordance with

the provisions of chapter thirty A, provided, however, that clause

three of section eleven of chapter thirty A shall not apply. The

commission may issue subpoenas for the attendance of witnesses

or the production of any records, books, memoranda, documents,

or other papers, or things, at or prior to any hearing as is necessary

to enable the commission to discharge its duties, and may

administer oaths or affirmations as necessary in connection therewith.

The commission may petition the superior court for an

order requiring compliance with any subpoena at issue.

(f) The commission may retain legal, investigative, clerical and

other assistance as may be necessary.

(g) The commission may require any person to apply for a

license as provided in this chapter and approve or disapprove any

such application or other transactions, events, and processes as

provided in this chapter. Any application to receive any license

under this chapter shall constitute a request for a determination of

the applicant’s general character, integrity, and ability to participate

or engage in, or be associated with, gaming.

(h) The commission shall make an annual report of its activities

to the general court by March 31, for the prior calendar year.

(i) The commission may grant or deny any application for a

license or approval; may limit, condition, restrict, suspend, or

revoke any license or approval for any cause deemed reasonable

by commission, consistent with this chapter or any general or

special law. The commission may, in its discretion, issue a probationary

gaming license. No gaming license may be assigned

either in whole or in part.

(j) As provided in commission regulations, the commission

may impose a fine or penalty or interest on such fine or penalty,

upon any gaming licensee, for violation of this chapter. The commission

may approve or disapprove transactions, and events as

provided in this chapter, take actions reasonably designed to

ensure that no unsuitable persons are associated with controlled

gaming, and take actions reasonably designed to ensure that

gaming activities take place only in suitable premises.

(k) The commission shall, pursuant to sections two and three of

chapter thirty A of the general laws, promulgate regulations necessary

to carry out the powers and the provisions of this chapter,

and specifically shall promulgate regulations as to the following

matters:

(1) the licensing of gaming establishments, including regulations

relating to the types of establishments, application process,

background checks, license fees, bonding requirements, and revocation

and suspension of licenses;

(2) the licensing of gaming suppliers, including regulations

relating to the application process, background checks, license

fees, bonding requirements, and revocations and suspension of

licenses;

(3) the licensing of parties in interest, including regulations

relating to the application process, background checks, license

fees, bonding requirements, and revocation and suspension of

licenses;

(4) the issuance of one or more classes of work permits,

including regulations relating to the application process, background

checks, fees, and revocation and suspension of work permits;

(5) the licensing of all officers and directors of any entity which

holds or applies for a license under this chapter, including regulations

relating to application process, background checks, licensee

fees, and revocation and suspension of licenses; and regulations

requiring that, if in the judgment of the commission the public

interest will be served by requiring any of the individual stockholders,

key executives, agents or other employees of any entity

which holds or applies for a license under this chapter to be

licensed, such individuals apply for a license under this paragraph;

(6) the monitoring of licensees to ensure compliance with this

chapter and the regulations promulgated thereunder;

(7) the presentation and/or display of all licenses and work permits;

(8) the registration of non-gaming suppliers;

(9) the method for collecting any fines, fees, penalties and

interest imposed by the commission;

(10) the method and standards of operation of licensed gaming

establishments including, but not limited to, games, the type and

manner of gaming, wagering limitations, odds, and hours of operation;

provided, however, the commission shall not restrict the

number of hours of operation of any licensed gaming establishment

to fewer hours than of any competing gaming facilities with

controlled gaming;

(11) the manufacturing, distribution, sale, testing, servicing,

and inspection of gaming equipment, including requirements for

the identification and licensing of same;

(12) any limitations on mortgage security interests and agreements

relating to the property of licensed gaming establishments;

(13) any limitations on transfers of interests in licenses;

(14) advertising by licensed gaming establishments; provided,

however, licensees shall have the right to conduct reasonable

advertising consistent with that of competing gaming facilities;

(15) the manner in which winnings, compensation from games,

and gaming devices must be compiled and reported by licensees,

provided, further, electronic gaming devices shall return as winnings

a minimum of eighty-five percent of all sums wagered.

(16) standards for protection of the health, safety, and security

of the public at licensed gaming establishments;

(17) the minimum procedures to be adopted by each licensed

gaming establishment to exercise effective supervisory and management

control over its fiscal affairs, including the requirement

of an annual audit undertaken in accordance with generally

accepted accounting principles, and the requirement that quarterly

reports be provided by licensed gaming establishments to the

commission no more than 30 days after the close of each quarter;

(18) the persons to be excluded or ejected from licensed

gaming establishments, including the type of conduct prohibited;

and

(19) the distribution of funds for the treatment of compulsive

behavior.

The Commission shall refer all regulations to both the Attorney General and to the Undersecretary of Consumer Affairs and Business Regulation, who shall either approve or disapprove of the proposed regulations within 30 days. No regulation promulgated by the Commission shall take effect without the approval of both the Attorney General and the Undersecretary of Consumer Affairs and Business Regulation.

(l) Not more than 180 days after the passage of this act, the Commission shall make a recommendation to the legislature regarding a proposed percentage of net gaming revenues that each licensee shall pay to the state in compliance with subsection (a) of section 5 of this chapter. The Commission shall hold at least one public hearing before issuing said recommendation, and shall consider in its deliberations the percentages of net gaming revenues paid by gaming establishments in other states; provided, that the recommendation issued by the Commission shall in no case be lower than either the mean or median of the percentage paid by gaming establishments in other states, nor higher than 45 percent of net gaming revenues.

(m) In emergencies, the commission may, without complying

with sections two or three of chapter thirty A of the general laws,

summarily adopt, amend, or repeal any regulation, if, at the time,

the commission makes a finding that such action is necessary for

the preservation of the public peace, health, safety, morals, good

order, or general welfare, together with a statement of the facts

constituting the emergency; provided, however, all such emergency

actions shall expire after ninety days.

(n) Each operating license shall be issued for a term of ten years.

(o) Any failure of a licensee to comply with this chapter or any

regulation of the commission or the bureau may, at the discretion

of the commission, result in the immediate suspension or revocation

of the license.

(p) A gaming establishment license issued pursuant to this

chapter must be posted by the licensee and kept posted at all times

in a conspicuous place in the area where gaming is conducted in

the establishment for which the license is issued until it is

replaced by a succeeding license.

(q) Any person who has had his application for a license

denied or revoked, or is otherwise not in compliance with any

requirements hereunder, shall not retain his interest in the

premises or any entity seeking or holding a license under this

chapter beyond that period prescribed by the commission; and

shall not accept more for his interest than he paid for it or the

market value on the date of the denial or revocation of the license

or occurrence of non-compliance (not including the prospective

value of said license), whatever is higher.

(r) The voluntary surrender of a license by a licensee does not

become effective until accepted in a manner to be provided in the

regulations of the commission. The surrender of a license does

not relieve the former licensee of any fees, penalties, fines, taxes

or interest due.

(s) No person shall transfer a direct or indirect pecuniary

interest in a licensed operating entity or premises, or enter into an

option contract or other agreement providing for such transfer in

the future, without having notified the commission. No person

shall transfer a greater than five percent (5%) direct or indirect

pecuniary interest in a licensed operating entity or premises

without the issuance by the commission to the transferee of an

operating license or an affirmative statement that the transferee

has met the operating license standards, as the commission may

require.

(t) The commission shall monitor the conduct of all licensees

and other persons having a material involvement, directly or indirectly,

with a licensee for the purpose of ensuring that licenses are

not issued to, or held by, and there is no direct or indirect material

involvement with a licensee by unqualified, disqualified, or

unsuitable persons.

(u) No commission member or person employed by the commission

shall solicit or accept employment from a licensee, or represent

any person or party other that the commonwealth before or

against the commission for a period of three years from the termination

of his office or employment with the commission.

(v) The commission may investigate fraud, deceit, misrepresentation

or violations by any licensee under this chapter, or the

occurrence of any such activity involving any licensee. If the

commission has reasonable basis to believe that any licensee has

been or is engaged in criminal behavior or that criminal activity is

occurring within or involving any licensed gaming establishment,

the commission shall report same to the district attorney of the

county within which the gaming establishment is located and

make available to said district attorney all relevant information on

such activity. The commission shall apply to the department of

public safety for the assignment of a complement of police officers

to the commission on a regular basis and said department

shall assign such complement to the commission. The commission

shall assign such police officers to guard and protect the lives

and safety of the public and property at any such gaming establishment,

and to perform any such other duties which may be

required by said commission in order to maintain fair and honest

gaming establishment. The police officers so assigned shall,

except in the case of an emergency, while on duty at any such

establishment be subject to the operational authority of the commission;

provided, however, that such assignment or reassignment

shall not in any way impair any rights to which any officer may be

entitled. The commission shall from funds available pay to the

department of public safety the cost of the salaries of the police

officers so assigned from funds appropriated to the commission.

All assignment and reassignments to the commission, except as

the commissioner of public safety shall determine that an emergency

exists or its threatened, shall be subject to the approval of

the gaming control commission. Nothing herein shall prevent

licensees from applying to the state police if they have jurisdiction

in the area where gaming establishment is located, or to the police

department of a city or town wherein the gaming establishment is

located, in order that such police agency may furnish a police

detail for safety or traffic purposes at any gaming establishment

authorized by this chapter. The total cost for any such police

detail shall be a sum equal to the salaries of the police officers

comprising such detail, plus a sum to cover the administrative

expenses incurred by the department of each such police officer.

(w) The commission, as it deems appropriate, may ask a district

attorney to file a civil lawsuit to restrain a violation of this chapter

or enforce any provision thereof. An action brought against a

person pursuant to this chapter does not preclude any other criminal

or civil proceeding as may be authorized by law.

(x) Any person aggrieved by a determination by the commission

to issue, deny, modify, revoke or suspend any license or

approval, or to issue any order under the provisions of this

chapter, may request an adjudicatory hearing before the commission

under the provisions of chapter thirty A. Any such determination

shall contain a notice of this right to request a hearing and

may specify a time limit, not to exceed twenty-one days, within

which said person shall request said hearing. If no such request is

timely made, the determination shall be deemed assented to. If a

timely request is received, the commission shall within a reasonable

time act upon a request in accordance with the provisions of

chapter thirty A. A person aggrieved by a final decision in an

adjudicatory hearing held under the provisions of this section may

obtain judicial review thereof pursuant to the provisions of

chapter thirty A.

Section 4. State Gaming Control Bureau; Composition, Powers

& Duties.

(a) There shall be established a state gaming control bureau

within the executive office of administration and finance.

(b) The secretary of administration and finance shall appoint

the executive director of the bureau for a term of five years. The

executive director shall not serve more than two consecutive

terms. The executive director shall employ such professional,

technical, and clerical assistants and employees as necessary, subject

to appropriation; provided, however, such assistants and

employees shall not be subject to G.L. c. 31 or G.L. c. 30, § 9(A).

The department of public safety and division of state police shall

assign to the Division such full and adequate numbers of investigators

as the executive director shall reasonably require to carry

out the purposes of this chapter.

(c) The powers and duties of the bureau shall include, but not

be limited to, the following:

(1) To visit, investigate, and place accountants, technicians,

and any other personnel, without prior notice or approval of any

party as it may deem necessary, in the office, gaming area, or

other place of business of any licensee under this chapter;

(2) To require that the books and financial or other records or

statements of any licensee be kept in a manner that the commission

or the bureau deems proper;

(3) To visit, inspect, and examine without prior notice or

approval of any party, all premises where gaming equipment is

manufactured, sold or distributed;

(4) To inspect and test without prior notice or approval of any

party, all equipment and supplies in any licensed gaming establishment

or in any premises where gaming equipment is manufactured,

sold or distributed;

(5) To have access to, and inspect, examine, photocopy, and

audit all relevant and material papers, books, and records of an

applicant for, or person holding, a license for a gaming establishment

under this chapter, on such applicant’s or licensee’s premises

or elsewhere, as practicable, in the presence of the applicant or

licensee or his or her agent, and require verification of income,

and all other matters affecting the enforcement of this chapter;

(6) To have access to and inspect, examine, photocopy, and

audit all relevant and material papers, books, and records of any

affiliate of a licensed gaming establishment that the bureau knows

or reasonably suspects is involved in the financing, operation, or

management of any entity licensed pursuant to this chapter, either

on the affiliate’s premises or elsewhere, as practicable, in the presence

of the affiliate or any agent thereof; and,

(7) To refer any suspected criminal violation of this chapter;

provided, however, that nothing in this section shall be deemed to

limit the investigatory and prosecutorial powers of other state and

local officials and agencies;

(d) The bureau shall investigate the qualifications of each

applicant under this chapter and make a recommendation to the

commission before any license is issued. The bureau shall also

continue to monitor the conduct of all licensees and other persons

having a material involvement, directly or indirectly, with a

licensee for the purpose of ensuring that licenses are not issued to,

or held by, and there is no direct or indirect material involvement

with a licensee by unqualified, disqualified, or unsuitable persons,

or persons whose operations are conducted in unsuitable manner

or in unsuitable or prohibited places, as provided in commission

or bureau regulations.

(e) The bureau may recommend to the commission the denial

of any application, the limitation, conditioning, restriction, sus-

pension, or revocation of any license or approval, or the imposition

of any fine or penalty upon any licensee.

(f) The bureau shall maintain a file of applications for licenses

under this chapter, together with a record of all action taken by the

commission on those applications. Such applications shall be

open to public inspection. The bureau may maintain any other

files and records as it deems appropriate.

(g) Each employee of the bureau shall file with the executive

director and the state ethics commission a statement of financial

interest as defined in chapter two-hundred sixty-eight B. Such

statement shall be under oath and shall be filed at the time of

employment and annually thereafter, as required by the state

ethics commission.

(h) No employee of the bureau shall be permitted to place a

wager in any establishment licensed by the commission except in

the course of his duties.

(i) No person employed by the bureau shall solicit or accept

employment from a licensee, or represent any person or party

other than the commonwealth before or against the bureau or the

commission, for a period of three years from the termination of

his office or employment with the bureau.

(j) The bureau may investigate, fraud, deceit, misrepresentation

or violations of this chapter by any person licensed hereunder

or the occurrence of any such activity within or involving any

licensed gaming establishment. If the bureau has reasonable basis

to believe that any licensee has been or is engaged in criminal

behavior or that criminal activity is occurring within or involving

any licensed gaming establishment, the bureau shall report same

to the district attorney of the county within which the licensed

gaming establishment is located and make available to said district

attorney all relevant information on such activity.

(k) The bureau, as it deems appropriate, may ask said district

attorney to file a civil lawsuit to retrain a violation of this chapter

or enforce any provision thereof. An action brought against a

person pursuant to this chapter shall not preclude any other criminal

or civil proceeding as may be authorized by law.

(l) The bureau shall make a continuous study and investigation

of gaming throughout the commonwealth in order to ascertain the

adequacy and effectiveness of state gaming law or regulations and

may formulate recommendations for changes in such laws and

regulations. The bureau shall make a continuous study and investigation

of the operation and administration of similar laws in

other states or countries, of any literature or reports on the subject,

of any federal laws which may affect the operation of gaming in

the commonwealth, all with a view to recommending or effecting

changes that will tend to better serve an implement the purposes

of this chapter.

(m) The executive director of the bureau may recommend that

the commission initiate proceedings or actions appropriate to

enforce this chapter and the regulations promulgated thereunder.

Section 5. Licensing of Licensed operators; payment of Commissions.

(a) Notwithstanding the provisions of G.L. c. 137, G.L. c. 271,

or any other general or special law to the contrary, each racing

meeting licensee is eligible to be licensed, subject to all terms and

conditions imposed by the Commission, to operate a gaming

establishment; and shall have the right to operate two thousand

five hundred (2,500) electronic gaming devices, at a racing

meeting licensee’s premises only; and, provided, further, that each

of said licensees shall have the right to operate an equal number

of electronic gaming devices. Said licensees shall pay a licensing fee of $50,000,000, half of which shall be due upon receipt of the license, and the rest of which shall be due in three equal installments of $8,333,333 on July 1 of each of the three subsequent years. Said licensees shall pay weekly to

the Commission, on behalf of the Commonwealth, a percentage of net gaming revenues to be determined by the Commonwealth pursuant to the recommendation of the Commission, and from which weekly payment

the Commission shall then allocate percentages (i) to be paid to

the city or town in which each establishment is located, with each

such city or town receiving two percent (2%) of

said revenues; (ii) to the purse accounts at each of the respective licensees’ race tracks

(iii) four-fifths of the remaining amount to be paid into the State Lottery Fund; (iv) and the balance of said sum after payment of the allocations shall be deposited in the General Fund. The remaining sums shall be retained by each licensee as its

commission and, provided, further, that each such licensee shall

in addition pay all taxes otherwise due and payable.

(b) The Commission shall grant one additional license to the Massachusetts Port Authority for the operation of no more than 250 electronic gaming devices in the international terminal of Logan International Airport; provided, that no license shall be granted unless the Authority complies with all relevant regulations promulgated by the Commission. The Authority may, in its discretion, contract with a vendor to provide gaming services, in which case the vendor shall pay to the Commonwealth a licensing fee of $5,000,000, half of which shall be due upon receipt of the license, and the rest of which shall be due in three equal installments of $833,333 on July 1 of each of the three subsequent years. No licensing fee shall be due if the Authority conducts the gaming operations itself. Nothing in this section shall exempt the Authority from the weekly payments of a percentage of net gaming revenues set elsewhere in this Chapter.

(c) No person shall operate a gaming establishment without

having obtained all necessary operating licenses from the commission.

There shall be a single licensed operator for each gaming

establishment. The licensing standards must be met at all times

by each officer, director, partner, and trustee of the operating

entity, by each substantial party in interest of the operating entity

or of the premises on which such establishment is located, and by

such other party in interest of the operating entity, the premises, or

any holding company or intermediary company of the operating

entity or the premises as the commission may require.

(d) A person may apply to be a licensed operator by filing an

application with the commission, the form and any accompanying

application fees as the commission may establish. Information on

the application will be used as the basis for a thorough background

investigation which the bureau shall conduct with respect

to each applicant. Each application shall disclose the identity of

each party in interest, each holding company and intermediary

company, and each affiliate of the operating entity. The application

shall disclose, in the case of the privately held corporation,

the names and addresses of all directors, officers, and stockholders;

in the case of a publicly traded corporation, the names

and addresses of all directors, officers, and persons holding at

least five percent of the total capital stock issued and outstanding;

in the case of a limited liability company, the names and addresses

of all members of the management committee and all persons

holding at least five percent of the membership interests; in the

case of a partnership, the names and addresses of al partners, both

general and limited; and in the case of a trust, the names and

addresses of all trustees and beneficiaries.

(e) Each operating entity shall identify, in its application, the

premises containing the establishment where it proposes to conduct

its gaming operations. The application shall contain such

information regarding the physical location and condition of the

premises and the potential impact of the proposed gaming operations

upon adjacent properties and the municipality and region

within which the premises are located, as the commission may

require. The application shall disclose the identity of all parties in

interest regarding the premises; and except as otherwise permitted

herein, no person other than a gaming establishment licensee here-

under shall have any right to or interest in any gaming revenue

derived from electronic gaming devices in the form of a percentage

of such sums or require more than fair market value for

rent, leases or services.

(f) No licensed operator shall obtain any gaming equipment

from a person who does not hold a license. No licensed operator

shall enter into any agreement for the receipt of goods or services,

of any form and in any amount, from a person who does not hold

a license, when a license is required for such agreement under this

act or under regulations promulgated by the commission or

bureau.

(g) No licensed operator shall employ any person in a gaming

establishment who does not hold a work permit, when a work

permit is required for such position under regulations promulgated

by the commission or bureau.

Section 6. Records of Commission and Bureau Proceedings.

(a) The commission shall cause to be made and kept a record

of all proceedings at all meetings of the commission. These

records shall be open to public inspection.

(b) Notwithstanding any other general or special law to the

contrary all files, records, reports, and other information in the

possession of any state or local governmental agency including

tax filings and related information that are relevant to an investigation

by the bureau conducted pursuant to this chapter shall be

made available by such agency to the commission or bureau as

requested. However, any tax or financial information received

from a governmental agency shall be used solely for effectuating

the purposes of this chapter. To the extent that these files,

records, reports, or information are confidential or otherwise privileged

from disclosure under any law, they shall not lose that confidential

or privileged status for having been disclosed to the

commission or bureau.

(c) The attorney general, every district attorney, and every

state and local law enforcement agency shall notify the commission

of any investigation or prosecution of any person if it appears

that a violation of any law related to gaming has occurred.

Section 7. Criminal Acts and Penalties; Age Restrictions.

(a) No official, member, employee, or agent of the commission

or bureau, having obtained access to confidential records or infor-

mation in the performance of duties pursuant to this chapter,

unless otherwise provided by law, shall knowingly disclose or furnish

the records or information, or any part thereof, to any person

who is not authorized by law to receive it. Violation of this provision

shall be punishable by a fine of not more than ten thousand

dollars or by imprisonment in the house of correction for not more

than one year, or by both such fine and imprisonment.

(b) No person shall operate, carry on or conduct any controlled

game or operate a gaming operation except subject to a license

issued by the commission as provided in this chapter.

(c) Any person included on the list of persons to be excluded

or ejected from a licensed gaming establishment pursuant to regulations

promulgated pursuant to this chapter who knowingly

enters or remains on the premises of a licensed gaming establishment

shall be punished by imprisonment in the house of correction

for not more than one year, or by a fine of not more than ten

thousand dollars, or by both such imprisonment and fine.

(d) Any person under the age of twenty-one years who plays,

places wagers at, or collects winnings from, whether personally or

through an agent, any controlled game, or who is employed as an

employee in a licensed gaming establishment shall be punished by

imprisonment in the house of correction for not more than one

year, or by a fine of not more than one thousand dollars, or by

both such imprisonment and fine. Any licensee, or other person,

who knowingly allows a person under the age of twenty-one to

play, place wagers at or collect winnings, whether personally or

through an agent, shall be punished by imprisonment in the house

of correction for a term of not more than one year or pay a fine of

not more than ten thousand dollars, or by both such imprisonment

and fine. A subsequent violation of this section shall subject the

licensee to imprisonment in the house of correction for not more

than two years or pay a fine of not more than twenty-five thousand

dollars or by both such imprisonment and fine.

(e) Any person who willfully fails to report, pay, or truthfully

account for and pay over any fee, penalty, fine, or interest thereon,

imposed by this chapter or any regulation thereunder, or willfully

attempts in any manner to evade or defeat any fee, penalty, fine,

or interest thereon, or payment thereof shall be punished by

imprisonment in state prison for not more than five years or by

imprisonment in the house of correction for not more than two and

one-half years, or by a fine of not more than ten thousand dollars,

or by both such imprisonment and fine.

(f) Any person who willfully resists, prevents, impedes, interferes

with, or makes any false, fictitious or fraudulent statement,

or representation to the commission or the bureau of any of their

agents or employees in the performance of duties pursuant to this

chapter, shall be punished by imprisonment in the house of correction

for not more than two years, or by a fine not more than five

thousand dollars, or by both such imprisonment and fine.

(g) Any person, as owner, lessee, or employee, whether for

hire or not, either solely or in conjunction with others, who knowingly

shall do any of the following without having first procured

and thereafter maintained in effect all licenses required by law:

(1) To deal, operate, carry on, conduct, maintain, or expose for

play in this state any controlled game or gaming equipment used

in connection with any controlled game;

(2) To receive, directly or indirectly, any compensation or

reward or any percentage or share of the revenue, for keeping,

running, or carrying on any controlled game, or owning the real

property or location in which any controlled game occurs;

(3) To manufacture or distribute within the territorial boundaries

of the commonwealth any gaming equipment to be used in

connection with controlled gaming; shall be punished by imprisonment

in the house of correction for not more than two and onehalf

years, or by a fine of not more than ten thousand dollars, or

by both such imprisonment and fine.

(h) Any person who knowingly permits any controlled game to

be conducted, operated, dealt, or carried on in any house or

building or other premises that he or she owns or leases, in whole

or in part, if that activity is undertaken by a person who is not

licensed as required by this chapter shall be punished by imprisonment

in state prison in the house of correction for not more than

two and one-half years, or by a fine of not more than ten thousand

dollars, or by both such imprisonment and fine.

(i) Any former commissioner or commission or bureau

employee who, within three years after his state employment has

ceased, solicits or accepts employment with or provides consultant

services to any licensee or at any licensed gaming establish-

ment shall be punished by a fine of not more than five thousand

dollars or by imprisonment for not more than two and one-half

years in the house of correction or by both such fine and imprisonment.

Any licensee who knowingly employs a former commissioner

or commission or bureau employee in violation of this

subsection shall be subject to immediate revocation of his or her

license.

(j) It is unlawful for any person:

(1) to alter or misrepresent the outcome of a game or other

event on which wagers have been made after the outcome is determined

but before it is revealed to the players;

(2) knowingly to entice or induce another to go to any place

where gaming is being conducted or operated in violation of the

provisions of this chapter, with the intent that the other person

play or participate in that gaming;

(3) to manipulate, with the intent to cheat, any component of a

gaming device in a manner contrary to the designed and normal

operational purpose for the component including, but not limited

to, varying the pull of the handle of a slot machine, with knowledge

that the manipulation affects or reasonably may tend to

affect the outcome of the game or with knowledge of any event

that affects the outcome of the game;

As used in this section, “cheat” means to alter the selection of

criteria which determine:

(a) the results of a game; or

(b) the amount or frequency of payment in a game.

(4) to have on his person or in his possession on or off the

premises of any licensed gaming establishment any key or device

known to have been designed for the purpose of and suitable for

opening, entering or affecting the operation of any gaming or

equipment, or for removing money or other contents therefrom,

except where such person is a duly authorized employee of a

licensee acting in furtherance of his employment within a licensed

gaming establishment.

A violation of this section shall be punishable by imprisonment

in the house of correction for not more than two years or by a fine

of not more than four thousand dollars, or by both such imprisonment

and fine.

(k) A violation of this chapter, the penalty for which is not

specifically fixed in this section, shall be punishable by imprisonment

in the house of correction for not more than two years, or by

fine of not more than five thousand dollars, or by both such

imprisonment and fine.

(l) The conviction of a licensee for violation of, an attempt to

violate, or conspiracy to violate any provision of this chapter or

any regulation thereunder may result in the immediate revocation

of all licenses issued to the violator under this chapter; and, in

addition, the court, upon application of the bureau or of the commission,

may order that no new or additional license under this

chapter be issued to the violator, or be issued to any person who

owned the room or premises in which the violation occurred, for

one year after the date of revocation.

Section 8. Revenues.

(a) There is hereby established a gaming investigative account.

Any and all reasonable expenses associated with the licensing of

any applicant shall be borne by the applicant or licensee. Pursuant

to its regulations, the commission shall require each applicant

to deposit with the commission, together with the application,

an application fee which shall be deposited in the gaming investigative

account. Such fee shall constitute the anticipated costs

and charges incurred in the investigation and processing of the

application, and any additional sums as are required by the commission

and the bureau to pay final costs and charges. Expenses

may be advanced from the gaming investigative account by the

commission to the bureau. Any money received from an applicant

in excess of the costs and charges incurred in the investigation or

the processing of the application shall be refunded pursuant to

regulations adopted by the commission. At the conclusion of the

investigation, the bureau shall provide the applicant a written

accounting of the costs and charges so incurred.

Section 9. Disclosure requirements.

(a) Every licensed gaming establishment shall, upon receipt of

criminal or civil process compelling testimony or production of

documents in connection with any civil or criminal investigation,

immediately disclose such information to the bureau.

(b) All licensees shall have a duty to inform the commission

and bureau of any action which they reasonably believe would

constitute a violation of this chapter, and shall assist the commission

and bureau and any federal or state law enforcement agency

in the investigation and prosecution of such violation. The commission

shall hold a hearing under chapter 30A on any licensees’

failure to comply with this paragraph, and may take appropriate

actions including suspension or revocation of the license. No

person who so informs the commission or the bureau shall be discriminated

against by an applicant or licensee because of the supplying

of such information.

Section 10. Recovery of Gaming Debts by Patrons.

Whenever a licensed gaming establishment refuses payment of

alleged winnings to a patron, the gaming establishment and the

patron are unable to resolve the dispute to the satisfaction of the

patron and the dispute involves:

(a) $500 or more, the gaming establishment shall immediately

notify the bureau; or

(b) less than $500, the gaming establishment shall inform the

patron of his right to request that the bureau conduct an investigation.

The bureau shall conduct whatever investigation it deems necessary

and shall determine, in its sole discretion and without need

for a hearing, whether payment should be made. In the event the

bureau determines that payment should be made, all costs of the

investigation shall be borne by the gaming establishment. Failure

of the establishment to notify the bureau or inform the patron as

provided herein shall subject the establishment to disciplinary

action.

Any party aggrieved by the determination of the bureau may

file a petition for reconsideration with the commission setting

forth the basis of the request for reconsideration. Any hearing for

reconsideration shall be conducted pursuant to regulations

adopted by the commission.”


Budget Amendment ID: FY2012-S3-36

OTH 36

Corrective Changes to ATV Law

Messrs. Rodrigues, Moore and Knapik moved that the proposed new text be amended by inserting the following 3 sections:-

 

Section__.  Section 21 of said chapter 90B, as amended by section 7 of said chapter 202, is hereby amended by striking out the first sentence and inserting in place thereof the following sentence:-

 

No person under 18 years of age shall operate a recreation vehicle, unless they have successfully completed a recreation vehicle education safety and responsibility course approved by the director of law enforcement. The director shall have the authority to exempt participants of a sanctioned race, rally or event from the requirements of this section.

 

Section__.  Section 22 of said chapter 90B, as amended by section 8 of said chapter 202, is hereby amended by striking out the first paragraph and inserting in place thereof the following paragraph:-

 

No person shall operate a snow vehicle or a recreation vehicle unless the vehicle has been registered in accordance with this chapter, unless such vehicle is being operated on land owned by the owner of the vehicle, and a registration number assigned by the director is displayed on the vehicle. The registration number shall be painted or by means of a decal or sticker which is firmly attached to both sides of the cowling of the vehicle and located so that both are clearly visible and not obstructed. Off-highway motorcycles without suitable cowling may locate registration numbers on the forward suspension components so as they are clearly visible on both sides of the vehicle.  The registration number displayed shall be not less than 3 inches in height and not less than one-half inch in width and shall be in a color that is in marked and distinct contrast to the background to which the number is applied. The registration number shall be maintained in a legible condition at all times. A motor vehicle license or learner's permit shall not be required for the operation of a snow vehicle or a recreation vehicle. The director shall have the authority to exempt participants of a sanctioned race, rally or event from the requirements of this section.

 

Section__.  Section 24 of said chapter 90B, as amended by section 10 of said chapter 202, is hereby amended by striking out the second paragraph and inserting in place thereof the following paragraph:-

 

No snow vehicle or recreation vehicle shall be operated which emits noxious fumes or makes unusual or excessive noise. No snow vehicle or recreation vehicle manufactured on or after January 1, 1998, shall be operated on publicly-owned property that produces a sound pressure level of more than 96 decibels when measured from a distance of 20 inches using test procedures established by the Society of Automotive Engineers under Standard J1287 JUL98.  No snow vehicle or recreation vehicle manufactured prior to January 1, 1998, shall be operated on publicly-owned property that produces a sound pressure level of more than 101 decibels when measured from a distance of 20 inches using test procedures established by the Society of Automotive Engineers under Standard J1287 JUL98. This section shall not apply to snow vehicles or recreation vehicles on a privately owned track or closed course as permitted by local municipal authority.


Budget Amendment ID: FY2012-S3-37

OTH 37

Effective Economic Development and Small Business Assistance

Ms. Chang-Diaz moved that the proposed new text be amended by adding the following new Section:-

 

SECTION ___.   (A) The definition of "Tangible personal property" in section 1 of chapter 64H of the General Laws, as appearing in the 2008 Official Edition, is hereby amended by adding the following sentence:- A transfer of an interest in an aircraft may be considered a transfer of tangible personal property under rules determined by the commissioner. (B) Section 6 of said chapter 64H, as so appearing, is hereby amended by striking out paragraph (v v). (C) Section 7 of chapter 64I of the General Laws, as so appearing, is hereby amended by striking out paragraph (e). (D) The commissioner of revenue shall annually certify to the comptroller the additional revenues received by the commonwealth as a result of this section, and the comptroller shall transfer that amount to the Massachusetts Growth Capital Corporation. (E) This section shall take effect on August 1, 2011.


Budget Amendment ID: FY2012-S3-38

OTH 38

Promoting Economic Development II

Mr. Pacheco moved that the proposed new text be amended by inserting, after SECTION __, the following new section:-

 

"SECTION __.

 

SECTION 1.  The general court finds and declares that:

(a) promoting the economic viability of the commonwealth is a fundamental purpose of state government;

(b) growing the commonwealth's economy is the best way to make the investments in those areas that will strengthen the commonwealth;

(c) the creation of resort-style entertainment complexes is an important part of an overall strategy to ensure the state's economic growth;

(d) authorizing 3 resort-style entertainment complexes will result in thousands of construction jobs and billions of dollars of construction-related spending in the commonwealth;

(e) once constructed, the 3 resort-style entertainment complexes will create thousands of new jobs for residents of the commonwealth and offer a wide array of employment opportunities for individuals with diverse educational backgrounds and skills, while enhancing the commonwealth's workforce development system by creating career advancement opportunities for casino employees;

(f) ensuring that the resort casinos are located in distinct markets of the state expands economic development and job creation broadly throughout the whole commonwealth and recognizes that the needs of regional economies must be addressed;

(g) revenue generated from resort casinos can be used to fund critical needs in the commonwealth, and our cities and towns;

(h) such investment in infrastructure is an economic necessity and will facilitate economic development and job creation;

(i) offsetting property tax burden, hitting middle and lower income homeowners the hardest, and providing local services;

(j) retooling and modernizing the racing industry and workforce in the commonwealth is critical to the success of the resort-style entertainment industry and to the state’s economic growth overall;

(k) addressing the social costs of gaming is an important and necessary part of any comprehensive gaming plan and therefore this act provides for a high level of funding for these costs and an evaluation mechanism to ensure we understand fully the impacts of gaming in the commonwealth;

(l) a rigorous gaming regulatory and enforcement scheme is needed to ensure fairness and integrity in the gaming industry, and therefore this act contains a detailed strategy to ensure proper oversight and evaluation of resort casinos in our commonwealth;

(m) the success of gaming in this commonwealth requires public confidence and trust that licensed gaming will be conducted honestly and competitively, that the resort-style entertainment complexes licensed in the commonwealth will not unduly impact the quality of life enjoyed by residents of the surrounding communities, and that gaming will be free from criminal and corruptive elements;

(n) public confidence and trust can only be maintained by strict regulation of all persons, locations, practices, associations and activities related to the operation of the resort casinos licensed in the commonwealth;

(o) the resort-style entertainment complexes licensed in the commonwealth must therefore be controlled to protect the public health, safety, and well being of the inhabitants of the commonwealth, to foster the stability and success of gaming and to preserve the competitive economy of the commonwealth;

(p) the Massachusetts gaming control authority is therefore created as the custodian of the public trust relative to the gaming industry and is explicitly granted broad powers within this act so it may have the full authority to oversee the gaming industry and ensure that resort casino operations are transparent; and

(q) to delay or deny the commonwealth the opportunity to increase jobs, attain new revenue, and address critical needs would be contrary to the best interests of our residents.

SECTION 2. Section 39 of chapter 3 of the General Laws, as appearing in the 2006 Official Edition, is hereby amended by inserting in line 63 after the words "Loan Authority" the following words: Massachusetts Gaming Control Authority.

SECTION 3. Section 7 of chapter 4 of the General Laws, as so appearing, is hereby amended by deleting lines 63 through 65 and inserting in place thereof the following paragraphs:

Tenth, "Gaming," any banking or percentage game played with cards, dice, tiles, dominoes, or any electronic, electrical, or mechanical device or machine for money, property, checks, credit or any representative of value, but excluding:

(a) the game of bingo conducted pursuant to chapter 271;

(b) any charitable gaming, so called, conducted pursuant to chapter 271;

(c) pari-mutuel wagering on horse and dog races, whether live or simulcast, authorized under chapter 128A and chapter 128C; and

(d) any lottery game conducted by the state lottery commission, in accordance with section 24 of chapter 10.

"Illegal gaming" or "unlawful gaming" shall include every act punishable under any law relative to lotteries and the buying and selling of pools or registering of bets, except those acts permitted under section 24 of chapter 10, chapter 12B, chapter 128A, chapter 128C, and chapter 271.

SECTION 4. Section 22B1/2 of chapter 7, is hereby amended by inserting in line 23 after the words "Massachusetts Educational Loan Authority" the following words: Massachusetts Gaming Control Authority.

SECTION 5. Section 22G of chapter 7, is hereby amended by inserting in line 54 after the words "Massachusetts Educational Loan Authority" the following words: Massachusetts Gaming Control Authority.

SECTION 6. The General Laws are hereby amended by striking out chapter 12B and inserting in place thereof the following chapter:

CHAPTER 12B. THE MASSACHUSETTS GAMING CONTROL AUTHORITY

Section 1.Definitions

As used in this chapter, the following words shall have the following meanings unless the context clearly requires otherwise:

"Affiliate", any person that a licensee or applicant directly or indirectly controls or in which an applicant or licensee possesses an interest. For the purposes of this definition, "controls" means either (i) directly or indirectly holding more than 10 percent of voting membership rights or voting stock or partnership interests, or (ii) that a majority of the directors, general partners, trustees, or members of an entity's governing body are representatives of, or are directly or indirectly controlled by, the licensee or applicant. For the purposes of this definition, "possesses an interest in" means either (i) directly or indirectly holding more than 5 percent of voting membership rights or voting stock, or (ii) that at least 25 percent of the directors, general partners, trustees, or members of an entity's governing body are representatives of, or are directly or indirectly controlled by, the licensee or applicant.

"Applicant", a person who has applied for a casino license, work permit, or approval of any act or transaction pursuant to this chapter.

"Authority", the Massachusetts gaming control authority, established pursuant to this chapter.

"Board", the board of the Massachusetts gaming control authority.

"Casino license", a license issued by the authority under this chapter that authorizes the person named therein to operate a resort casino in the commonwealth.

"Casino licensee", any licensee holding a valid casino license issued under this chapter.

"Casino work permit", any permit issued by the authority authorizing the holder to be employed as an employee in a licensed casino.

"Controlled game" or "controlled gaming", any gaming conducted in a gaming establishment and located in a licensed casino in the commonwealth pursuant to this chapter.

"Division", the division of gaming investigation and enforcement, within the department of the attorney general, as established pursuant to this chapter.

"Electronic gaming device", any game of chance, mechanical, electronic or otherwise featuring coin drop and payout as well as printed tabulations or credits to a paper or electronic account, whereby the software or hardware of the device predetermines the presence or lack of a winning combination and payout, including microprocessor-controlled electronic devices that allow a player to play games of chance, which may be affected by an element of skill, activated by the insertion of a coin or currency or by the use of a credit and awards game credits, cash, tokens, replays or a written statement of the player's accumulated credits, which written statements are redeemable for cash; and including slot machines, video lottery terminals and video facsimile machines of any type.

"Employee", any natural person employed to perform services for compensation as an employee by a casino, including but not limited to casino employees, casino key employees, casino security employees, casino service employees, or any other person who works for any ancillary service operating on the site of a casino, including but not limited to hotels, restaurants, gaming establishments, and entertainment facilities.

"Executive Director", the executive director of the Massachusetts gaming control authority, as established pursuant to this chapter.

"Gaming", as defined in section 7 of chapter 4.

"Gaming establishment", any building, room, place or other indoor or outdoor premises where any gaming occurs, including all public and non-public areas of any such establishment.

"Gaming equipment", any equipment, device, object or contrivance, or machine, whether mechanical, electromechanical, or electronic, which is specifically designed or manufactured for use in the operation of gaming.

"Gaming services", goods or services provided to any gaming establishment directly in conjunction with the operation of gaming, including security services, junket services, gaming schools or training activities, promotional services, printing or manufacture of betting tickets, gaming technology services, and manufacture, distribution, maintenance, testing or repair of electronic gaming devices, or goods or services provided by any person pursuant to which the person receives payments based on earnings, profits or net receipts from gaming.

"Gross gaming revenue", the total, prior to the deduction of any operating, capital or other expenses whatsoever, less only the total of all sums paid out as winnings, of all gaming establishment revenue generated by the gaming establishment of any casino licensed under this chapter derived from the conduct of any game conducted at a licensed casino.

"Holding company", any corporation, firm, partnership, trust, or other entity that, directly or indirectly, owns, has the power or right to control, or holds the power to vote on, all or any part of the partnership interests or outstanding voting securities of a corporation or any other business entity that holds or applies for a gaming license. In addition, a holding company indirectly owns, has, or holds such power or right mentioned in the preceding sentence if it does so through any interest in a subsidiary or affiliate or successive subsidiaries or affiliates, however many of these subsidiaries or affiliates may intervene between the holding company and the corporate licensees or applicant.

"Intermediary company", any corporation, firm, partnership, trust, or other entity, other than a natural person, that is both of the following:

(a) a subsidiary of a holding company, and

(b) a holding company with respect to a corporation or limited partnership or other entity that holds or applies for a gaming license.

"License", a license issued to operate electronic gaming devices, to persons employed by gaming establishments, to gaming suppliers, to parties in interest, and to gaming schools.

"Licensed casino", any resort casino licensed to conduct controlled gaming pursuant to this chapter.

"Licensed casino operator", any operating entity that conducts controlled gaming within a gaming establishment pursuant to a license issued under this chapter.

"Licensee", any person or party holding a valid license under this chapter.

"Licensing fee", the fee required to be paid to the commonwealth by a licensed casino operator to operate a resort casino.

"Local host community", 1 or more towns or cities in which a resort casino is located.

"Market", any one of the following three market areas: Region 1—Suffolk, Middlesex and Essex counties; Region 2—Norfolk, Bristol and Plymouth counties; Region 3—Worcester, Hampden, Franklin and Berkshire counties.

"Operating licensing payment", the payment, based on a percentage of gross gaming revenue, that a licensed casino operator makes to the commonwealth.

"Party in interest", any corporation, firm, partnership, trust, or other entity or person with any direct or indirect pecuniary interest in a licensed gaming establishment, or a person who owns any interest in the premises of a licensed gaming establishment, or land upon which such premises is licensed, whether he leases the property directly or through an affiliate.

"Person" or "party", a natural person, corporation, partnership, limited partnership, trustee, holding company, joint venture, association, or any business entity.

"Resort casino", a casino which shall include a gaming establishment and other non-gaming amenities, including but not limited to: hotels, entertainment venues, retail stores, recreational facilities, and restaurants all located at 1 site.

"Substantial party in interest", any person holding a greater than 1 percent direct or indirect pecuniary interest, whether as owner, mortgagee or otherwise, in an operating entity, premises, or any other licensee or applicant; but, excluding any shareholder holding less than a 5 percent interest in a public company that is a substantial party in interest.

Section 2.Establishment of the Massachusetts Gaming Control Authority

(a) There is hereby created a body politic and corporate to be known as the Massachusetts gaming control authority. The authority is hereby constituted a public instrumentality and the exercise by the authority of the powers conferred by this chapter shall be deemed to be the performance of an essential governmental function. The purpose of the authority is to provide for the establishment of resort casinos, and to license, regulate, and oversee licensed casinos and controlled gaming at licensed casinos in the commonwealth.

(b) The authority shall be governed and have its corporate powers exercised by a board of directors consisting of the auditor or his designee, and 6 members to be appointed by the governor, 1 of whom shall have experience in legal issues with respect to gaming establishments; 1 of whom shall have experience in finance and financial markets; 1 of whom shall have experience with the regulatory aspects needed for gaming establishments; 1 of whom shall have experience in accounting; and 1 of whom shall have experience in public health.

With the exception of the auditor, no board member shall hold or be a candidate for elected political office. Each board member shall be a citizen of the United States and a resident of the commonwealth. No person who has been convicted of a felony or of a misdemeanor shall be eligible to serve on the board.

Three of the members appointed by the governor shall serve a term coterminous with that of the governor. The other 3 members appointed by the governor shall serve a term of 5 years. Any person appointed to fill a vacancy in the office of a member of the board shall be appointed in a like manner and shall serve for only the unexpired term of such member. Any member shall be eligible for reappointment but no member shall serve more than 2 terms of 5 years each. Any member may be removed from his appointment by the governor for cause. The governor shall from time to time designate a member or members of the board as its chairperson or co-chairperson as applicable. Five of the members shall constitute a quorum and the affirmative vote of a majority of members present at a duly called meeting where a quorum is present shall be necessary for any action to be taken by the board. Any action required or permitted to be taken at a meeting of the board may be taken without a meeting if all of the members consent in writing to such action and such written consents are filed with the records of the minutes of the meetings of the board. Such consents shall be treated for all purposes as a vote at a meeting.

The members of the board shall serve without compensation, but each member shall be entitled to reimbursement for his actual and necessary expenses incurred in the performance of his official duties.

The board annually may elect 1 of its members as vice-chairperson, shall elect a secretary and a treasurer, and may elect or appoint other officers as it may deem necessary, none of whom, other than the vice-chairperson, are required to be members of the board. The secretary shall keep a record of the proceedings of the board and shall be custodian of all books, documents, and papers filed by the board and of its minute book and seal. The secretary shall cause copies to be made of all minutes and other records and documents of the authority and shall certify that such copies are true copies, and all persons dealing with the authority may rely upon such certification. The treasurer shall be the chief financial and accounting officer of the authority and shall be in charge of its funds, books of account and accounting records. The officers of the board shall be subject to the same requirements as the members of the board under this act. Meetings of the authority board shall be subject to sections 11A and 11A1/2 of chapter 30A, provided, however, that any discussion or consideration of law enforcement or investigatory information, trade secrets or commercial or financial information may be held by the board in executive session closed to the public notwithstanding the provisions of section 11A1/2 of chapter 30A, but the purpose of any such executive session shall be set forth in the official minutes of the authority board and no business which is not directly related to such purpose shall be transacted nor shall any vote be taken during such executive session. A public record of every vote shall be maintained at the authority.

(c) The board shall have the power to appoint and employ an executive director, and to fix the director's compensation and conditions of employment. The executive director shall be the chief executive, administrative and operational officer of the authority and shall direct and supervise administrative affairs and the general management of the authority.  The executive director may, subject to the general supervision of the board, employ other employees, consultants, agents, including legal counsel, and advisors, and shall attend meetings of the board.

(d) The authority shall be advised by an advisory committee consisting of 12 members, including: the secretary of health and human services, the secretary of administration and finance, the secretary of housing and economic development, the secretary of labor and workforce development, the secretary of public safety and security, or their designees; 3 members of the committee who shall be appointed by the governor, 1 of whom shall be a representative of organized labor, 1 of whom shall be an expert on gaming addiction, and 1 of whom shall be a police chief; 2 of the members of the committee who shall be appointed by the senate president; and 2 members who shall be appointed by the speaker of the house of representatives. Each member of the advisory committee shall serve for a term of 3 years; provided, however, that of the initial appointed members, 1 of the senate president's and speaker's appointments, and 3 of the governor's appointments shall serve a term of 2 years. Any person appointed to fill a vacancy in the office of a member of the advisory committee shall be appointed in a like manner and shall serve for only the unexpired term of such member. Any member shall be eligible for reappointment but no member shall serve more than 2 three-year terms. The governor shall from time to time designate a member or members of the advisory committee as its chairperson or co-chairperson as applicable. The members of the advisory committee shall serve without compensation, but each member shall be entitled to reimbursement for his actual and necessary expenses incurred in the performance of his official duties.

(e) Board members, officers and members of the advisory committee who are not compensated employees of the authority shall not be liable to the commonwealth, to the authority, or to any other person as a result of their activities, whether ministerial or discretionary, as such board members, officers, or advisory committee members except for willful dishonesty or intentional violations of law. Neither members of the authority nor any person executing bonds or policies of insurance shall be liable personally thereon or be subject to any personal liability or accountability by reason of the issuance thereof. The board of directors may purchase liability insurance for board members, officers and employees and may indemnify these persons against claims of others.

(f) Any documentary materials or data whatsoever made or received by any member or employee of the authority and consisting of, or to the extent that such materials or data consist of, law enforcement or investigatory information, trade secrets or commercial or financial information regarding the operation of any business conducted by an applicant for any form of assistance which the authority is empowered to render or regarding the competitive position of such applicant in a particular field of endeavor, shall not be deemed public records of the authority and specifically shall not be subject to the provisions of section 10 of chapter 66.

(g) The Massachusetts gaming control authority board shall be the successor to the Massachusetts gambling advisory board established by section 39 of chapter 60 of the acts of 1994.

Section 3.Powers and Duties of the Authority

The authority shall have all powers necessary or convenient to carry out and effectuate its purposes, as defined in section 2(a), including, without limiting the generality of the foregoing, the powers to:

(a) adopt an official seal;

(b) sue and be sued, to initiate or defend civil actions relating to its properties and affairs, and to be liable in tort in the same manner as a private person; provided however, that the authority is not authorized to become a debtor under the United States Bankruptcy Code;

(c) appoint officers and employees;

(d) execute all instruments necessary or convenient thereto for accomplishing the purposes of this chapter;

(e) enter into agreements or other transactions with any person, including without limitation any public entity or other governmental instrumentality or authority in connection with its powers and duties under this chapter;

(f) appear in its own behalf before boards, commissions, departments or other agencies of municipal, state or federal government;

(g) obtain insurance;

(h) apply for and accept subventions, grants, loans, advances and contributions from any source of money, property, labor or other things of value, to be held, used and applied for its corporate purposes;

(i) provide and pay for such advisory services and technical assistance, including but not limited to accountants, financial experts, architects, attorneys, engineers, planners, real estate experts and other consultants as may be necessary in its judgment to carry out the purposes of this chapter and fix their compensation;

(j) prepare, publish and distribute, with or without charge, as the authority may determine, such studies, reports and bulletins and other material as the authority deems appropriate;

(k) investigate and determine the percentage of population of minority groups in the commonwealth or in areas thereof from which the work force for the casino is or may be drawn;

(l) establish and adopt such percentages as guidelines in determining the adequacy of affirmative-action programs submitted for approval pursuant to the provisions of this chapter;

(m) determine the types of conduct performed by licensees or applicants for licenses. The authority may approve or disapprove transactions and events as provided in this chapter, approve or disapprove gaming contracts with casino licensees based on their commercial reasonableness or the demonstrated capacity and experience of gaming services providers to perform the requirements such contracts, take actions reasonably designed to ensure that no unsuitable persons are associated with controlled gaming, and take actions reasonably designed to ensure that gaming activities take place only in suitable premises within licensed casinos;

(n) monitor the conduct of all licensees and other persons having a material involvement, directly or indirectly, with a licensee for the purpose of ensuring that licenses are not issued to, or held by, and there is no direct or indirect material involvement with a licensee by unqualified, disqualified, or unsuitable persons, or persons whose operations are conducted in unsuitable manner or in unsuitable or prohibited places, as provided herein;

(o) annually determine the maximum number of electronic gaming devices and wagering games and the types of wagering games permitted in the commonwealth and the number permitted at each gaming establishment; provided however, that a licensee shall be permitted to petition the authority for approval of additional wagering games and new types of wagering games; and provided further that the number of devices and games permitted for any licensee shall not be reduced during the term of any license issued under this chapter or any renewal thereof or be less than a number necessary to obtain commercially reasonably financing for the development of a resort casino;

(p) develop criteria, other than those outlined herein, to assess which bids submitted by applicants for casino licenses under this chapter will provide the highest and best value to the commonwealth;

(q) determine which applicants shall be awarded casino licenses and other licenses in accordance with the terms of this chapter provided further, that the authority may award a license for 1200 electronic gaming devices to any racing licensee licensed under Section 3 of Chapter 128A as of January 1, 2009, if such licensee is required to cease race track operations as a result of chapter 388 of the Acts of 2008 and does not receive a resort casino under this chapter and does not elect to receive the benefits available under section 22, such award to be made at the discretion of the authority and upon terms and conditions to be established by the authority, which terms and conditions shall include without limitation a licensing fee of not less than $15,000,000, and a requirement to invest not less than $50,000,000 in the development and improvement of the gaming facility and related infrastructure;

(r) require any person to apply for a license as provided in this chapter and approve or disapprove any such application or other transactions, events, and processes as provided in this chapter;

(s) gather facts and information applicable to its obligation to issue licenses, to suspend or revoke licenses, work permits, or registrations granted to any person for: violation of any provision of this chapter or regulations adopted hereunder; willfully violating an order of the authority directed to such person; the conviction of any criminal offense under this chapter; or the commission of any violation of this chapter or other offense which would disqualify such person from holding a license or registration; provided, however, that if the basis for any suspension or revocation of a casino license is any action or omission of a party in interest to a licensee, then the authority shall prior to enacting such suspension or revocation grant the licensee a reasonably opportunity to remove such party in interest or take such other actions as the authority may deem reasonable or appropriate to address the cause of the suspension or revocation. The authority may also suspend the license or registration of any person pending hearing and determination, in any case in which license or registration revocation could result;

(t) with the assistance of the state police unit assigned to the division, conduct investigations into the qualifications of all applicants for employment by the authority and by any gaming establishment in a resort casino and all applicants for licensure;

(u) request and receive from the state police, the criminal history systems board, or other criminal justice agencies, including but not limited to the federal bureau of investigation and the federal internal revenue service, such criminal offender record information, criminal intelligence information and information relating to criminal and background investigations as necessary for the purpose of evaluating employees of, and applicants for employment by, the authority and any gaming establishment in a resort casino, and evaluating licensees and applicants for licensure. Upon the written request of the executive director, the state authority may receive from the district and juvenile courts, the state police, or the criminal history systems board, such information relating to juvenile proceedings as necessary for the purpose of evaluating employees of, and applicants for employment by, the authority and any gaming establishment in a resort casino, and evaluating licensees of, and applicants for, licensure;

(v) conduct hearings in accordance with the provisions of chapter 30A;

(w) levy and collect fees, taxes, and fines and impose penalties and sanctions for the violation of the provisions of the licensing provisions of this chapter and the regulations adopted hereunder. At any time within 5 years after any amount of fees, interest, penalties or tax required to be collected pursuant to the provisions of this chapter shall become due and payable, the commission may bring a civil action in the courts of this commonwealth or any other state or of the United States, in the name of the commonwealth of Massachusetts, to collect the amount delinquent, together with penalties and interest. An action may be brought whether or not the person owing the amount is at such time an applicant, licensee or registrant pursuant to the provisions of this act. If such action is brought in this commonwealth, a writ of attachment may be issued and no bond or affidavit prior to the issuance thereof shall be required. In all actions in this commonwealth, the records of the authority shall be prima facie evidence of the determination of the fee or tax or the amount of the delinquency. Each debt that is due and payable as a result of fees, interest, penalties, or taxes required to be collected pursuant to the provisions of this chapter or the regulations adopted thereunder, including any compensation authorized pursuant to this chapter, and each regulatory obligation imposed as a condition upon the issuance or renewal of a license which requires the licensee to maintain, as a fiduciary, a fund for a specific regulatory purpose, shall constitute a lien on the real property in this commonwealth owned or hereafter acquired by the applicant, licensee, or registrant owing such a debt or on whom such an obligation has been imposed. Except as otherwise provided in this chapter, such a lien shall be a first lien paramount to all prior or subsequent liens, claims, or encumbrances on that property;

(x) be present through its inspectors and agents at all times during the operation of any resort casino for the purpose of certifying the revenue thereof, receiving complaints from the public relating to the conduct of gaming and wagering operations, examining records of revenues and procedures, inspecting and auditing all books, documents, and records of any licensee, conducting periodic reviews of operations and facilities for the purpose of evaluating current or suggested provisions of this chapter and the regulations adopted thereunder, and otherwise exercising its oversight responsibilities with respect to resort casinos;

(y) visit, have access to and inspect, examine, photocopy, and test, without prior notice or approval of any party, all equipment and supplies in any licensed gaming establishment or in any premises where gaming equipment is manufactured, sold or distributed;

(z) have access to and inspect, examine, photocopy, and audit all relevant and material papers, books, and records of any affiliate of a licensed gaming establishment that the executive director knows or reasonably suspects is involved in the financing, operation, or management of any entity licensed pursuant to this chapter, either on the affiliate's premises or elsewhere, as practicable, in the presence of the affiliate or any agent thereof;

(aa) require that the books and financial or other records or statements of any licensee be kept in a manner that the authority or the bureau deems proper;

(bb) audit all relevant material papers, books, and records of an applicant for or person holding any license under this chapter, on such applicant or licensee's premises or elsewhere, as practicable, in the presence of the applicant or licensee or his agent;

(cc) provide access to records and cooperate with the division, including answering the division's requests for documents and refer to the division any evidence of a violation of this chapter or the regulations adopted thereunder;

(dd) establish licensure and work permits for employees working at the casino and minimum training requirements; provided further the authority may review the professional requirements of employees and update them as needed. The authority shall require that all casino employees be properly trained in their respective professions. The authority may recognize an employee's license from out of state gaming schools if they meet the minimum requirements for the authority and may establish a process for reciprocal licensing of out of state licensed casino employees;

(ee) refer to the Massachusetts commission against discrimination matters and information concerning possible violations of Massachusetts law;

(ff) require the designation by a licensee of an equal employment officer to enforce the provisions of this section and the regulations adopted hereunder;

(gg) ensure that there is no duplication of duties and responsibilities between it and the division, provided, however, that the authority may not place any restriction upon the division's ability to investigate or prosecute violations of this chapter or the regulations adopted hereunder;

(hh) enforce in a court of law the provisions of this section or to join in or assist any enforcement proceeding initiated by any aggrieved person;

(ii) refer any suspected criminal violation of this chapter to the division; provided, however, that nothing in this subsection shall be deemed to limit the investigatory and prosecutorial powers of other state and local officials and agencies;

(jj) provide technical assistance to towns, cities, and districts that are taking executive or legislative actions for the purposes of this chapter;

(kk) exercise any other powers of a corporation organized under chapter 156B;

(ll) make an annual report of its finance activities, including number of licenses, fines, penalties and violations and other relevant information and make recommendations for improved operations of the licensed casinos to the governor and the general court by March 31, for the prior calendar year; and,

(mm) adopt regulations, pursuant to sections 2 and 3 of chapter 30A, to carry out the powers and the provisions of this chapter; and specifically adopt regulations relating to the following matters:

(1) the licensing of resort casinos, including regulations relating to the types of establishments, application process, background checks, license fees, bonding requirements, and revocation, suspension, and renewal of licenses;

(2) the registration and licensing of gaming services suppliers and non-gaming suppliers, including regulations relating to the application process, background checks, license fees, bonding requirements, the commercial reasonableness of gaming contracts with casino licensees, the demonstrated capacity and experience of a supplier to perform the requirements a contract, and revocations and suspension of licenses;

(3) the licensing of parties in interest, including regulations relating to the application process, background checks, license fees, bonding requirements, and revocation and suspension of licenses;

(4) the issuance of 1 or more classes of work permits, criteria for different classes of work permits, including regulations relating to the application process, background checks, fees, and revocation and suspension of work permits;

(5) the registration and licensing of labor organizations representing the employees of a resort casino;

(6) the presentation and/or display of all licenses and work permits;

(7) the licensing of gaming schools, if any such school is established in the commonwealth, including regulations relating to the application process, background checks, license fees, and revocation and suspension of licenses;

(8) the monitoring of licensees to ensure compliance with this chapter and the regulations adopted thereunder, including but not limited to, requiring that licensees make readily available all documents, materials, equipment, personnel, and any other items that the division may wish to investigate;

(9) the posting of applicable statutes at casinos regarding civil and criminal laws applicable to gaming;

(10) minimum wage and benefits standards and other conditions of employment for resort casino employees, which standards or conditions may only be waived in a bona fide collective bargaining agreement;

(11) the method for collecting any fines, fees, penalties and interest imposed by the authority;

(12) the method and standards of operation of gaming establishments including, but not limited to, games, the type and manner of gaming, wagering limitations, odds, and hours of operation; provided, however, the authority shall not restrict the number of hours of operation of any gaming establishment to fewer hours than any competing gaming establishment in Massachusetts;

(13) the manufacturing, distribution, sale, testing, servicing, regulation and inspection of gaming equipment for use in licensed casinos, including requirements for the identification and licensing of same;

(14) any limitations on mortgage security interests and agreements relating to the property of licensed gaming establishments;

(15) any limitations on transfers of interests in licenses;

(16) advertising by licensed gaming establishments, including the monitoring of advertising, particularly to ensure that it is not directed at minors and other vulnerable populations; provided, however, licensees shall have the right to conduct reasonable advertising consistent with that of competing gaming facilities, and the state lottery;

(17) the manner in which winnings, compensation from games, and gaming devices must be compiled and reported by the authority; provided further, that electronic gaming devices shall return as winnings at a minimum 85 percent of all sums wagered;

(18) standards for protection of the health, safety, and security of the public at licensed gaming establishments;

(19) the procedures for renewal of all licenses awarded under this chapter;

(20) the minimum procedures to be adopted by each gaming establishment to exercise effective supervisory and management control over its fiscal affairs, including the requirement of an annual audit undertaken in accordance with generally accepted accounting principles, and the requirement that quarterly reports be provided by gaming establishments to the authority no more than 30 days after the close of each quarter;

(21) the persons to be excluded or ejected from gaming establishments, including the type of conduct prohibited and whether and under what conditions persons under age 21 may be permitted to enter casinos; and

(22) the licensing and regulation of the central computer system provider which services electronic gaming devices and on and off site auditing of electronic gaming devices; provided that, the authority shall ensure that the central computer system shall employ a widely accepted gaming industry protocol to facilitate slot machine manufacturers' ability to communicate with the statewide system; and provided further, that the central computer system provider selected by the authority shall be prohibited from providing electronic gaming devices, or any other form of player activated terminal, for use in connection with the central computer system.

The commissioner of revenue shall act as the fiscal agent for the authority for the purposes of collecting all fees and assessments and for this purpose shall have all the powers provided in chapter 62C.

In emergencies, the authority may, without complying with sections 2 or 3 of chapter 30A, summarily adopt, amend, or repeal any regulation, if, at the time, the authority makes a finding that such action is necessary for the preservation of the public peace, health, safety, morals, good order, or general welfare, together with a statement of the facts constituting the emergency; provided, however, that no emergency action shall exceed 90 days.

Notwithstanding any other general or special law to the contrary, all files, records, reports, and other information in the possession of any state or local governmental agency including tax filings and related information that are relevant to an investigation by the authority conducted pursuant to this chapter shall be made available by such agency to the authority as requested, except that investigatory materials compiled by law enforcement out of the public view whose disclosure would materially prejudice the possibility of effective law enforcement shall not be subject to this requirement. Any tax or financial information received from a governmental agency shall be used solely for effectuating the purposes of this chapter. To the extent that these files, records, reports, or information are confidential or otherwise privileged from disclosure under any law, they shall not lose that confidential or privileged status for having been disclosed to the authority; provided further, that the authority shall consult with the division of public records regarding the handling of this information.

The authority shall make a continuous study and investigation of gaming throughout the commonwealth in order to ascertain the adequacy and effectiveness of state gaming law or regulations and may formulate recommendations for changes in such laws and regulations; provided further, that the study shall include economic, public health, security, taxation, traffic, regional housing, regional education, regional infrastructure and environmental impacts. The authority shall also make a continuous study and investigation of the operation and administration of similar laws in other states or countries, of any literature or reports on the subject, and of any federal laws which may affect the operation of gaming in the commonwealth, all with a view to recommending or effecting changes that will tend to better serve and implement the purposes of this chapter.

Section 4.Restrictions on prior employment and post employment by authority employees, members of the board, and executive branch employees; conflicts of interest and scope of employment.

(a) Prior Employment. No person shall be appointed to or employed by the authority if, during the period commencing 3 years prior to appointment or employment, that person held any direct or indirect interest in, or any employment by, any person which is licensed as a casino licensee, a casino service industry licensee, or a dog or horse racing licensee in the commonwealth or in another state or has an application for a gaming establishment license pending before the authority.

(b) Conflicts of Interest. Chapter 268A shall apply to all board members of the authority, all advisory committee members, and to all employees of the authority, except as specifically provided herein.

(1) The authority shall adopt a code of ethics that governs relationships and dealings between authority employees and licensees or applicants for licensure under this chapter.

(2) The codes of ethics adopted by the authority shall not be in conflict with the laws of the commonwealth, provided, however, that those codes of ethics may be more restrictive than any law of this commonwealth, including chapter 268A.

(3) The codes of ethics adopted by the authority shall be subject to the approval of the state ethics commission.

(4) All board members of the authority, all advisory committee members, all employees of the authority, and the spouse of each such individual, shall file a statement of financial interests for the preceding calendar year with the state ethics commission. The statement of financial interests filed pursuant to this section shall be on a form prescribed by the state ethics commission pursuant to chapter 268B and shall be signed under penalty of perjury by the reporting person. The statement of financial interests shall be filed with the state ethics commission within 30 days after the individual assumed his or her responsibilities with the authority, on or before May first of each year thereafter that such individual is associated with the authority as a board member, advisory committee member or employee, and on or before May first of the year after such individual ceases to be associated with the authority; provided, however, that no statement of financial interest shall be required to be filed for the year in which the individual ceased to be associated with the authority if he or she served less than thirty days in such year.

(c) Restrictions on Post Employment.

(1) No board member, including those board members who hold elected office, and no advisory committee member of the authority shall hold any direct or indirect interest in, or be employed by, any applicant or by any person licensed by or registered with the authority for a. period of 3 years commencing on the date the membership on the authority terminates.

(2) No employee of the authority may acquire any direct or indirect interest in, or accept employment with, any applicant or any person licensed by or registered with the authority, for a period of 3 years commencing at the termination of employment with the authority.

(3) No authority employee shall represent any person or party other than the commonwealth before or against the authority for a period of 3 years from the termination of the employee's employment with the authority.

(4) No partnership, firm or corporation in which a former authority board member or employee or former division employee or agent has an interest, nor any partner, officer or employee of any such partnership, firm or corporation shall make any appearance or representation which is prohibited to that former member, employee, or agent; provided, however, that nothing herein shall prohibit such partnership, firm or corporation from making such appearance or representation on behalf of a casino service industry licensed under this chapter.

(5) No person who was an employee of the commonwealth's executive branch between January 4, 2007 and the date of enactment of this act, shall be employed by the authority, for a period of 3 years commencing at the termination of employment with the executive branch.

(6) No person who was an employee of the commonwealth's executive branch between January 4, 2007 and the date of enactment of this act, shall be employed by any person which is licensed as a casino licensee, a casino service industry licensee, or a dog or horse racing licensee in the commonwealth or has an application for a gaming establishment license pending before the authority, for a period of 3 years commencing at the termination of employment with the executive branch.

(7) Prior to appointment or employment, each board member of the authority, each advisory committee member, and each employee of the authority, shall swear or affirm that he possesses no interest in any business or organization licensed by, or registered with, the authority.

(d) Scope of Employment. In addition to the requirements stated herein, all authority employees, authority board members, and advisory committee members shall be subject to chapter 268B. The stricter provisions of this section shall prevail over the provisions of chapter 268A.

Neither the authority nor any of its officers, agents, employees, consultants or advisors shall be subject to the provisions of sections 9A, 45, 46 and 52 of chapter 30, or to chapter 31, or to chapter 200 of the acts of 1976.

All officers and employees of the authority having access to its cash or negotiable securities shall give bond to the authority at its expense in such amounts and with such surety as the board may prescribe. The persons required to give bond may be included in 1 or more blanket or scheduled bonds.

No employee, or member of the authority, or their family members shall be permitted to place a wager in any gaming establishment licensed by the authority except in the course of his duties.

Section 5.Provisions for Applications of Casino Licenses

(a) Forms of Application. Any person desiring to establish a resort casino in the commonwealth shall bid for one by make an application to the authority for a casino license.

(1) Such application shall include, but shall not be limited to the following:

(i) the name of the applicant;

(ii) the post office address of the applicant, and if a corporation, the name of the state under the laws of which it is incorporated, the location of its principal place of business and the names and addresses of its directors and stockholders;

(iii) an independent audit report of all the applicant’s financial activities, including but not limited to the disclosure of all contributions, donations, loans or any other financial transactions to or from any gaming entity or operator in the past 5 years;

(iv) an independent audit report of all of the applicants' financial interests;

(v) the location of the proposed resort casino, which shall include address(es), maps, and book and page numbers from the appropriate registry of deeds, assessed value of land to be purchased or currently in ownership, market value of the land at the time of application, the zoning of the site (including whether gaming facilities are allowed either as a matter of right or by special permit on any portion of the property), ownership status over the past 5 years, (including all interests, options, agreements in property), demographic, geographic, and environmental information, and any other information requested by the authority;

(vi) the proposed architects and designers for the resort casino, which shall include the name and addresses of the architects, engineers, and designers, and timeline of construction and phases of construction;

(vii) the types of games and gaming to be conducted at the resort casino, number of tables and electronic gaming devices that are proposed to be employed at the casino, and the specific location of the gaming at the casino site;

(viii) a description of the ancillary entertainment services and amenities to be provided at the proposed resort casino;

(ix) the number of hotels, rooms per hotel and other amenities located at the proposed resort casino;

(x) the number of employees to be employed at the resort casino, including detailed information on the pay rate and benefits for employees, including any contractors;

(xi) the total amount of investment by the applicant in the resort casino, including all facilities located at the casino site and all infrastructure improvements related to the project;

(xii) completed studies and reports as required by the authority, which shall include, but are not limited to, an economic benefit study, both for the commonwealth and region; a study of the potential impact on the host community and other impacted communities; an environmental, traffic and local infrastructure impact study, a study on the impact of the proposed resort casino to the local and regional economy, the cost to the municipality and the state for the casino to be at its proposed location, and the total amounts of municipal and state tax revenue to be generated by the applicant;

(xiii) whether the applicant's casino is part of a regional or local economic plan;

(xiv) whether the applicant is partnering with a federally recognized native American tribe located in the commonwealth;

(xv) whether the applicant has a contract with organized labor and has the support of organized labor for its application;

(xvi) whether the applicant will be using publicly owned land for the resort casino;

(xvii) a statement that the applicant will comply, in case such a license is issued, with all applicable laws and with all applicable rules and regulations prescribed by the authority or any other relevant entity;

(xviii) a statement that the applicant shall mitigate the potential negative public health consequences associated with gambling and the operation of a destination resort casino. As part of this submission, the applicant must agree to:

(A) maintain as smoke free all indoor facilities operated by the licensee or anyone working for or under contract with the licensee;

(B) provide complimentary on-site space for an independent substance abuse and mental health counseling service to be selected by the commonwealth;

(C) prominently display information on the signs of problem gambling and how to access assistance;

(D) describe a process for individuals to exclude their names and contact information from the licensee's database or any other list held by the licensee for use in marketing or promotional communications;

(E) provide to the commonwealth aggregate demographic information with respect to its customers in a manner and pursuant to a schedule to be defined by the commonwealth;

(F) institute other public health strategies as determined by the authority;

(xix) a detailed plan showing the levels of security and safety for its employees, guests, equipment and money; and

(xx) answers to such other questions as the authority may prescribe.

(2) The authority may prescribe forms and additional information to be used in making such applications.

(3) An applicant's request to receive a license under this chapter shall constitute a request for a determination of the applicant's general character, integrity, and ability to participate or engage in, or be associated with, gaming.

(4) Such applications shall be signed and sworn to, if made by an individual, by such individual; if made by 2 or more individuals or a partnership, by 1 of such individuals or by a member of such partnership; if made by a trust, by a trustee of such trust; and if made by an association or corporation, by the chief executive and chief financial officers thereof.

(5) The authority shall investigate the qualifications of each applicant under this chapter before any license is issued.

(6) With each application, there shall be delivered to the authority a certified check or bank draft, payable to the authority, of a non-refundable deposit in the amount of $350,000 for the processing, analysis and review of the application.

(b) Eligibility. No person shall be eligible to bid on a resort casino license unless the person meets the following initial criteria and clearly states as part of an application that the person:

(1) agrees to be a state lottery reseller for the purpose of lottery and keno games, and to demonstrate that state lottery and keno games are readily accessible to its guests;

(2) shall invest no less than $1 billion into the resort casino project, with at least $300,000,000 in investment in the project and related improvements committed in an initial phase and the balance being committed over the following five years, neither of which amounts shall include the purchase or lease price of the land where the casino will be located;

(3) meets the licensee bonding requirement as set by the authority;

(4) has a debt to equity ratio of not more than 4:1 when the application is submitted;

(5) has ownership of land located in a market where the resort casino will be constructed and that all or some portion of the land is zoned to allow gaming as-of right or by special permit;

(6) shall demonstrate that it is able to pay and shall commit to paying (y) the licensing fee of $225,000,000, as established in section 6, and (z) the operating licensing payments of 27 percent of all gross gaming revenues;

(7) has submitted certified copies of resolutions adopted after the effective date of this act by the legislative bodies of a majority of the municipalities in the applicable county, following recommendations from the respective chief executive municipal officials, which resolutions affirm that such legislative bodies approve the establishment of a resort casino within such county;

(8) shall provide for a community impact fee for the local host community;

(9) shall pay for infrastructure costs of the host and surrounding communities incurred in direct relation to the construction and operation of a resort casino;

(10) shall provide to the authority a signed agreement between the host community and the applicant to have a resort casino located within the host community; provided that the agreement shall include the community impact fee for the local host community and all stipulations of responsibilities between the local host community and the applicant;

(11) shall be able to comply with state and local building codes; and

(12) shall formulate for authority approval and abide by an affirmative-action program of equal opportunity whereby the applicant guarantees to provide equal employment opportunities to all employees qualified for licensure in all employment categories, including a person with a disability, in accordance with Massachusetts law.

(c) Bid Procedure for Each Market

(1) The authority shall request bids for the purpose of awarding casino licenses in each market.

(2) The authority shall accept bids only from applicants who have met the initial eligibility requirements pursuant to subsection (b) of this section.

(3) Before applications are received, the authority shall adopt regulations setting forth criteria by which each bid shall be evaluated in each region.

(4) The bids shall be evaluated to determine which proposal provides the highest and best value to the market and to the commonwealth. The criteria for determining the highest and best value to each market and the commonwealth shall include, but shall not be limited to, the following:

(i) the overall economic benefit to the commonwealth;

(ii) the amount of the operating licensing payment projected by the application based on payment of 27 percent of gross gaming revenue;

(iii) the proposed infrastructure improvements and economic development opportunities to the commonwealth, the local host community and the region where the resort casino is located and the timeline for commencement and completion of such improvements and opportunities;

(iv) the extent to which the applicant shall contract with Massachusetts business owners for the provision of services and goods at the casino;

(v) the extent to which the proposed project is consistent with the commonwealth's sustainable development principles.  For purposes of this section, consistency with these principles means at a minimum the following:

(A) the resort casino has been certified or is capable of being certified as gold or higher pursuant to the U.S. Green Building Council Neighborhood Development Rating System. The authority may prescribe an alternative, independent, third-party rating after consultation with the secretary of the executive office and energy and environmental affairs, if, for example, that rating system is not in effect at the time of the license application;

(B) the resort casino's proposed buildings have been certified or are capable of being certified as gold or higher pursuant to the green building rating system established by Leadership in Environmental and Energy Design (LEED). The authority may prescribe an alternative independent, third-party rating after consultation with the secretary of the executive office of energy and environmental affairs, if, for example, that rating system is not in effect at the time of the license application;

(C) the electrical equipment and appliances used by the casino meet United States Environmental Protection Agency efficiency standards;

(D) the casino shall procure 10 percent of its annual electricity consumption from renewable sources identified by the division of energy resources pursuant to section 11F of chapter 25A. This requirement may be achieved through procurement of renewable energy supply, through the production of on-site renewable power, and/or the purchase of renewable energy certificates;

(E) should the casino develop open space land, the applicant shall purchase, or impose a conservation restriction upon, open space land of equal or greater size to the open space land developed by the casino. Any such conservation restriction shall comply with section 32 of chapter 184; and

(F) there are alternative transportation options for patrons to access the casino so that carbon emissions are minimized.

(vi) the number of permanent jobs created by the casino licensee; provided, that the licensee shall create at least 5,000 new permanent jobs at the casino, or through casino service providers, over a 5-year period;

(vii) whether the applicant agrees to work collaboratively with the Massachusetts workforce development system, including the appropriate local workforce entities, to create a workforce development plan to recruit and train residents of the commonwealth for the casinos, including those who face barriers in finding employment, such as people with low incomes or receiving public assistance, the long-term unemployed, veterans, individuals with disabilities, and participants in federal and state workforce programs;

(viii) whether the applicant shall establish, fund, and maintain internal human resource hiring and training practices that promote the development of a skilled and diverse workforce with access to promotion opportunities by a workforce-training program designed to foster a skilled and diverse workforce by:

(A) establishing transparent career paths with measurable criteria within the casinos that lead to increased responsibility and higher pay grades that are designed to allow employees to pursue career advancement and promotion;

(B) establishing employee access to additional resources, such as tuition reimbursement or stipend policies, to enable employees to acquire the education or job training needed to advance career ladders based on increased responsibility and pay grades;

(C) establishing an on-site child day care program;

(D) establishing a program to train the casino workforce in the identification of and intervention with customers exhibiting problem gaming behavior;

(E) where appropriate, applying for and using workforce training funds grants established under section 2RR of chapter 29 to enhance employee skills; and

(F) establishing access to "career coaches" to assist employees with understanding career advancement opportunities within the resort casino, as well as where appropriate, establishing an employee mentoring program to train and retain entry level employees.

(ix) the architectural plans or site plans of all structures and facilities to be used as part of the resort casino;

(x) whether the applicant is including in its application contracts with labor organizations and a provision assuring labor harmony during all phases of such construction, renovation, or reconstruction of the resort casino;

(xi) whether all contracts and subcontracts to be awarded in connection therewith shall contain appropriate provisions by which contractors and subcontractors or their assignees agree to afford an equal employment opportunity to all prospective employees and to all actual employees to be employed by the contractor or subcontractor in accordance with an affirmative action program approved by the authority and consonant with the provisions of Massachusetts and federal law; and

(xii) the extent to which the applicant shall mitigate public safety effects;

(xiii) the extent to which the applicant shall provide funding for the  marketing of Massachusetts as a tourist destination.

(5) In assessing the highest and best value to the commonwealth, the authority shall take into account the commonwealth's policy determination that the commonwealth shall have no more than 3 gaming establishments.

(6) It shall be the burden of the applicant to provide convincing evidence in its application, to the satisfaction of the authority, that a resort casino shall provide the highest and best value to the market in which it is located and to the commonwealth.

(7) As part of its determination for licensure, the authority shall investigate and consider the positive and negative effects a casino facility will have to the host community and communities impacted by the project, provided further, that factors to consider include, but are not limited to, the regional and local economy, the number and location of resort casinos, job creation or loss, road and traffic, public access (including public transportation), water, drainage, sewer, fire department coverage, police department coverage and other public safety coverage, emergency access, housing, public education influx, state and municipal creation or reduction and other infrastructure related issues.

Section 6.Awarding of and Conditions of Licenses

(a) The authority may award casino licenses based on the applications and bids submitted to the authority.

(b) Number of Casino Licenses. Notwithstanding any general or special laws to the contrary, the authority shall award no more than 3 casino licenses in the commonwealth, with no more than 1 license awarded per market; subject to the limitations set forth in Section 6(j)(2).

(c) Nothing in this chapter shall require the awarding of a license to a market. If the authority is not convinced that an applicant has both met the eligibility criteria and provided convincing evidence that the applicant shall provide the highest and best value to the market in which the resort casino is located and to the commonwealth, no casino license may be awarded in that market.

(d) For the purposes of determining which applicant may be awarded a license, each applicant's bid shall be evaluated to determine which will provide the highest and best value to the market and to the commonwealth based on the criteria set out in section 5, and any other terms the authority determines by regulation.

(e) If there is more than 1 applicant in a market who is determined by the authority to be eligible for a casino license pursuant to section 5, the authority shall determine which application presents the highest and best value to the market and the commonwealth according to the criteria set forth in section 5.

(f) If an applicant is awarded a casino license, the casino licensee shall pay the commonwealth the following fees:

(1) a licensing fee in the amount of $225,000,000;

(2) an annual operating licensing payment in the amount equal to 27 percent of all gross gaming revenues. Following the initial issuance of a casino license, so long as the casino license remains in good standing, and to enable the applicant to secure commercially reasonable financing of the project, no casino licensee shall be required to make annual operating license payments at a rate in excess of the amount set forth in the preceding sentence.

(g) Provided that a casino licensee has first entered a memorandum of understanding with the Secretaries of Transportation and Environmental Affairs regarding the gaming establishment, related public infrastructure improvements and environmental impacts, and except for any permit or approval required by local zoning and a building permit and certificate of occupancy with respect to matters directly regulated by the state building code, notwithstanding any general or special laws to the contrary an applicant receiving a casino license shall not be required to apply for, file for, obtain or maintain any permit, license or approval from, and shall not be required to apply for, file for or undergo any impact or other review process with or by the commonwealth or any political subdivision thereof or any agency, department, commission or authority of any of the foregoing, for or directly or indirectly in connection with the permitting, financing, construction, renovation, maintenance, use and occupation of a resort casino and related site improvements and amenities on the approved site of the gaming establishment and related public infrastructure improvements.

(h) No person or affiliate may be awarded more than 1 license and no person directly, or indirectly through an affiliate, may have an interest in more than 1 license.

(i) Each license is renewable every 10 years, from the date of first issuance. The first 10-year renewal shall be automatic and shall not require any gaming license fee or renewal fee.  The authority shall adopt regulations to establish standards and the process concerning the renewability of licenses subsequent to the second 10-year term.

(j) Conditions of Casino Licensure.

(1) Every casino licensee shall have an affirmative obligation to abide by every statement made in its application to the authority and every statement made in its bid submission to the authority pursuant to subsection (c) of section 5.

(2) The authority shall make an assessment in each fiscal year against each licensee operating a casino in the commonwealth. This assessment is in addition to the licensing fee and the operating licensing payment paid by each licensee. This assessment shall be reasonable and made at a rate as shall be reasonably determined and certified annually by the authority as sufficient to produce revenue to reimburse the commonwealth for funds appropriated for the operation of the authority and the division, including the dedicated state police units attached to the division, and public safety costs, including amounts sufficient to cover the cost of fringe benefits as established by the secretary of administration and finance under section 6B of chapter 29. This assessment shall be made proportionately against each licensee based on the proportionate number of gaming devices and tables operated by that licensee. Each licensee against whom an assessment is made shall pay over daily to the authority a pro rata share of the assessment as determined by the authority. If the authority fails to expend in any fiscal year the total amount assessed under this section, any amount unexpended shall be credited against the assessment to be made in the following year and the assessment in such following year shall be reduced by that unexpended amount.

(3) Each licensee shall pay the total amount of the licensing fee set forth in subsection 6(f)(1) in three equal annual installments, the first such installment to be paid within 60 days of the grant of the resort casino license and receipt of all other licenses and permits reasonably necessary (as determined by the authority) for the applicant to secure commercially reasonable financing of the project, the second installment to be paid on or before the first anniversary of the first payment, and the third installment to be paid on or before the second anniversary of the first payment.

(4) Each licensee shall pay daily to the commissioner of the department of revenue as the agent of the authority, the operating licensing payment, as provided in section 5.

(5) No licensee shall operate, invest or own, in whole or in part, another licensee's license or casino. If a licensee is found in violation of this section, they will be fined up to $5,000 per day for violations.

(6) No licensee shall be permitted to transfer its casino license or any interest such licensee may have in the gaming establishment or the real property upon which it is located, and no substantial party in interest shall be permitted to transfer its interest in the licensee, whether through a sale, option contract, or other agreement or contract providing for such transfer in the present or future, without the notification of and approval by the authority. The authority shall adopt rules and regulations for determination of the approval of any such transfer.  In the event that within the first five years following the issuance of a casino license to a licensee there is either (i) a transfer by a licensee of its casino license or any interest such licensee may have in the gaming establishment or the real property upon which it is located, or (ii) a transfer by a substantial party in interest of a controlling interest in the licensee, the authority may require either the transferor or transferee or both, as determined by the authority, to pay to the commonwealth an amount representing the increased value attributable specifically to the casino license; provided, that the authority shall consider as a factor in determining the amount of the payment the difference in value of the licensee’s property and the improvements thereon (which shall be excluded from the value of the license) between the time when the licensee received the license and the time of or anticipated time of the transfer through the average of 3 separate assessments made by the licensee, the authority and an independent assessor chosen by the authority, and the cost of that assessment shall be part of the payment of the transfer; provided further, that the authority shall consider as a factor in determining the amount of the payment the increased value of the property, land, establishment, management agent, entity or business value as a result of possessing a gaming operator’s license; provided further, that the authority shall consider as a factor in determining the amount of the payment the prior capital investments made by the licensee, the marketing and other business development expenses incurred by the licensee, the financing costs incurred by the licensee prior to such transfer, and any additional economic value created by the licensee. In no event shall a transfer of any rights to a bona fide commercial financial institution pursuant to any commercially reasonable financing be deemed to be a transfer; provided further, that the authority may reject such transfer if it deems the transferee to be unsuitable. The authority shall adopt rules and regulations for the reasonable determination of the payment which serves the best interest of the commonwealth as a result of the transfer; provided that the authority may consider the actual increase or decrease in the pecuniary value of the license, the real property, and the shares of interest among the time it was initially purchased, the time of receiving a license and the time of the transfer; provided further, that any payments collected by the authority on behalf of the Commonwealth are deposited in the same manner as license fees are deposited with the commonwealth.

The authority may place any condition or restriction on the transfer of a license or interest held by a substantial party in interest, and in all instances it shall consider whether additional compensation is owed to the Commonwealth pursuant to the foregoing paragraph.

No casino licensee shall be permitted to change its form of business governing structure on file with the secretary of state as of the date of its license application without the notification and approval of the authority.

The authority shall monitor the conduct of all licensees and other persons having a material involvement, directly or indirectly, with a licensee for the purpose of ensuring that licenses are not issued to, or held by, and there is no direct or indirect material involvement with a licensee by unqualified, disqualified, or unsuitable persons.

(7) Each licensee shall be required to have an office available to the authority. The authority shall establish the minimum requirements for the office.

(8) Each licensee shall be required to have an office available for the division's state police personnel. The authority shall establish the minimum requirements for square footage for the state police office, office furnishings, and parking space.

(9) All licensees shall make readily available all documents, materials, equipment, personnel and any other items that the attorney general may desire to conduct an investigation. A licensee may withhold material that may be considered a trade secret or detrimental to the licensee if it were made public and have it adjudicated before the authority as to its protected status, and require non-disclosure agreements between the attorney general and the authority for such material.

(10) The licensee shall cooperate with the division with respect to the investigation of any criminal matter that is discovered on its property. The licensee shall, upon receipt of criminal or civil process compelling testimony or production of documents in connection with any civil or criminal investigation, immediately disclose such information to the authority. This section does not prohibit private persons or public entities from seeking any remedy or damages against a licensee.

(11) All licensees shall have a duty to inform the authority of any action which they reasonably believe would constitute a violation of this chapter, and shall assist the authority and any federal or state law enforcement agency in the investigation and prosecution of such violation. No person who so informs the authority shall be discriminated against by an applicant or licensee because of the supplying of such information.

(12) All licensees shall collect and annually report to the authority a statistical report on the number of candidates hired and retained in employment in connection with the workforce development plan and the affirmative action program respectively required by sections 5(b). Failure to comply with this section shall cause a licensee to forfeit any state workforce training funds or economic incentives.

(13) All licensees shall agree to make a good faith effort to identify and recruit candidates from the local labor market area and other nearby labor market areas to ensure a diverse workforce. Failure to comply with this section shall cause a licensee to forfeit any state workforce training funds or economic incentives.

(14) Every casino licensee shall keep conspicuously posted on his premises a notice containing the name and numbers of the council on compulsive gambling and a statement of its availability to offer assistance. The authority may require the licensee to provide this information in 1 or more languages.

Section 7.Storage of Documents and Non-Disclosure of Sensitive Documents and Materials

The authority shall maintain a file of applications for licenses under this chapter, together with a record of all action taken by the authority on those applications. Such applications shall be open to public inspection; provided however, that the executive director shall prohibit access to information that contains law enforcement or investigatory information, is a trade secret, or puts the applicant for a license at an unfair disadvantage with other applicants; provided further, that the executive director shall consult with the division on public records on the appropriate manner of distributing or withholding of such information. The authority may maintain any other files and records as it deems appropriate.

Section 8.Authority Operating Account

There shall be established upon the books of the commonwealth a separate fund to be known as the Massachusetts gaming control authority trust fund to be expended, without prior appropriation, by the Massachusetts gaming control authority. The fund shall consist of the application fees collected pursuant to section 5(a)(6), and all assessment payments collected from section 6. The executive director of the authority shall make necessary expenditures from this account for the shared administrative costs of the operations and programs of the authority. The executive director shall further direct that funds from the account shall be expended to provide services in an amount reasonably related to the functions of the authority and the comptroller may certify for payment amounts in anticipation of expected receipts; but no expenditure shall be made from the fund which shall cause the fund to be in deficit at the close of each fiscal year. The authority shall pay the attorney general the amount it requested under section 14(b) by July first of each year.

Section 9.Gaming License Fee Trust Fund

(a) There shall be established and set up on the books of the commonwealth a separate fund, to be known as the gaming license fee trust fund, in this section called the license fee trust fund. The license fee trust fund shall consist of all license fees received in consideration of the award of licenses under section 6, and all other monies credited or transferred to the fund from any other fund or source pursuant to law.

(b) The secretary of administration and finance shall be the trustee of the license fee trust fund, and shall transfer monies in the fund, without further appropriation, as of June 30 of each fiscal year, only as follows and in the following order:

(1) only if and to the extent determined by the secretary of administration and finance, initial payments to the authority and to the division for start-up expenses;

(2) the remaining one-half of the balance in the fund, to the general fund; and

(3) the other remaining one-half of the balance in the fund, to the local taxpayer relief aid trust fund established by section 14.

Section 10. Gaming Operating Licensing Payment Trust Fund

(a) There shall be established and set up on the books of the commonwealth a separate fund, to be known as the gaming operating license payment trust fund, in this section called the operating licensing payment fund. The operating licensing payment fund shall consist of all operating licensing payments received in consideration of the award of licenses under section 6, and all other monies credited or transferred to the fund from any other fund or source pursuant to law.

(b) The secretary of administration and finance shall be the trustee of the license proceeds fund, and shall transfer monies in the fund, without further appropriation, as of June 30 of each fiscal year, only as follows and in the following order:

(1) to the host community mitigation trust fund established by section 11, an amount that is 2 percent of all operating licensing payments made to the operating licensing payment fund under this section;

(2) to the regional community mitigation trust fund established by section 12, an amount that is 1 percent of all operating licensing payments made to the operating licensing payment fund under this section;

(3) to the public health trust fund established by section 13, an amount that is 2.5 percent of all operating licensing payments made to the operating licensing payment fund under this section, but in no event more than $45,000,000 in any fiscal year;

(4) to the public safety trust fund established by section 14, an amount that is 0.5 percent of all operating licensing payments made to the operating licensing payment fund under this section;

(5) to the tourism promotion trust fund established by section 15, an amount that is 0.5 percent of all operating licensing payments made to the operating licensing payment fund under this section;

(6) to the live racing industry preservation trust fund established by section 16, an amount that is 1 percent of all operating licensing payments made to the operating licensing payment fund under this section, but in no event more than $20,000,000 in any fiscal year;

(7) to the fund any reduction in local aid payments made by the state lottery, an amount that is the difference between the average of the total amounts funded to local cities and towns in the three fiscal years prior to enactment of this Act, adjusted in each fiscal year after fiscal year 2009 by the average increase for the above period, and the total amount local aid payments made by the state lottery in the current fiscal year if less than that adjusted average amount;

(8) half of the remaining balance in the fund, to the general fund;

(9) the remaining balance in the fund, to the local taxpayer relief aid trust fund established by section 17.

Section 11.Host Community Mitigation Trust Fund

(a) There shall be established and set up on the books of the commonwealth a separate fund, to be known as the host community mitigation trust fund, in this section called the mitigation fund. The mitigation fund shall consist of the monies transferred under sections 10, and all other monies credited or transferred to the fund from any other fund or source pursuant to law.

(b) The secretary of administration and finance shall be the trustee of the mitigation fund and shall expend monies in the fund, without further appropriation, to assist the local host communities in which any resort casino facilities are located, to address any increases in police, fire, transportation, water, sewer, enforcement and prosecution costs, or other services directly related to the construction and operation of the facilities. The secretary of administration and finance may adopt regulations, after a public hearing, governing these expenditures.

Section 12.Regional Community Mitigation Trust Fund

(a) There shall be established and set up on the books of the commonwealth a separate fund, to be known as the regional community mitigation trust fund, in this section called the mitigation fund. The mitigation fund shall consist of the monies transferred under section 10, and all other monies credited or transferred to the fund from any other fund or source pursuant to law.

(b) The secretary of administration and finance shall be the trustee of the mitigation fund and shall expend monies in the fund, without further appropriation, to assist the local host community, cities, towns (other than the specific municipalities in which any resort casino facilities are located, which shall be eligible for funds from the host community mitigation fund under section 11) and district attorneys in the vicinity of resort casino facilities, to address any increases in police, fire, transportation, water, sewer, enforcement and prosecution costs, or other services directly related to the construction and operation of the facilities; provided, however, that the authority shall determine which towns and cities will be affected by construction and operation of the facilities. The secretary of administration and finance may adopt regulations, after a public hearing, governing these expenditures.

Section 13.  Public Health Trust Fund

(a) There shall be established and set up on the books of the commonwealth a separate fund, to be known as the public health trust fund, in this section called the public health fund. The public health fund shall consist of the monies transferred under section 10, and all other monies credited or transferred to the public health fund from any other fund or source pursuant to law.

(b) The secretary of health and human services shall be the trustee of the public health fund and shall expend monies in the fund, without further appropriation but subject to approval of an annual spending plan by the secretary of administration and finance, to meet increased demand for social service and public health programs resulting from gaming, including but not limited to gambling prevention and new substance abuse and addiction services, services to address other problems such as domestic violence and child welfare services, an educational campaign to mitigate the potential addictive nature of gambling, and on an annual basis, a comprehensive study and evaluation system to ensure proper and most effective mitigation of any negative public health costs. The secretary of health and human services may adopt regulations, after a public hearing, governing these expenditures.

Section 14.Public Safety Trust Fund

(a) There shall be established and set up on the books of the commonwealth a separate fund, to be known as the public safety trust fund, in this section called the public safety fund. The public safety fund shall consist of the monies transferred under section 10, and all other monies credited or transferred to the fund from any other fund or source pursuant to law.

(b) The commissioner of public safety shall be the trustee of the public safety fund and shall expend monies in the fund, without further appropriation, to address any increases in police, fire, enforcement and prosecution costs, or other services directly related to the operation of the facilities. The commissioner of public safety may adopt regulations, after a public hearing, governing these expenditures.

Section 15.  Tourism Promotion Trust Fund

(a)  There shall be established and set up on the books of the commonwealth a separate fund, to be known as the tourism promotion trust fund, in this section called the tourism fund. The tourism fund shall consist of the monies transferred under section 10, and all other monies credited or transferred to the fund from any other fund or source pursuant to law.

(b) The secretary of housing and economic development shall be the trustee of the tourism fund and shall expend monies in the fund, without further appropriation, to assist with the promotion of tourism in the commonwealth. The secretary of housing and economic development may adopt regulations, after a public hearing, governing these expenditures.

Section 16.  Live Racing Industry Preservation Trust Fund

(a) There shall be established and set up on the books of the commonwealth a separate fund, to be known as the live racing industry preservation trust fund, in this section called the live racing fund. The live racing fund shall consist of the monies transferred under section 10, and all other monies credited or transferred to the fund from any other fund or source pursuant to law.

(b) The secretary of housing and economic development shall be the trustee of the live racing fund and shall expend monies in the fund, without further appropriation, to assist with the promotion and preservation of the live racing industry in the commonwealth, including by making payments to the purse accounts of racing facilities licensed pursuant to Chapter 128A and to Massachusetts based breeders associations. The secretary of housing and economic development may adopt regulations, after a public hearing, governing these expenditures.

Section 17.Local Taxpayer Relief Aid Trust Fund

(a)  There shall be established and set up on the books of the commonwealth a separate fund, to be known as the local taxpayer relief aid trust fund, in this section called the local taxpayer relief aid fund. The local taxpayer relief aid fund shall consist of the monies transferred under sections 9 and sections 10 of this act, and all other monies credited or transferred to the local taxpayer relief aid fund from any other fund or source pursuant to law.

(b) The secretary of administration and finance shall be the trustee of the local taxpayer relief aid fund and shall allocate monies in the fund to municipalities, without further appropriation, to supplement local aid payments otherwise made by the commonwealth pursuant to section 18C of chapter 58.

Section 18.  Division of Gaming Investigation and Enforcement

(a) There is hereby established in the department of the attorney general a division of gaming investigation and enforcement. The attorney general shall designate an assistant attorney general as director of the division. The director of the division may appoint and remove, subject to the approval of the attorney general, such expert, clerical or other assistants as the work of the division may require. The attorney general may purchase any necessary equipment for the purpose of conducting an investigation. Subject to the approval of the secretary of public safety and security, the colonel of the state police shall assign such supervisory and investigative personnel and other resources to the division as may be necessary to fulfill its obligations under this chapter. The powers and duties of the division shall be as follows:

(1) investigate allegations of crimes committed on the premises, crimes involving or impacting the operation of the casino or games, and violations of this chapter;

(2) be on the premises at any time that it deems appropriate and inspect and examine all operations, books, records, and any other documents;

(3) inspect all gaming devices and equipment used or to be used in a resort casino at any time it deems appropriate;

(4) have access to all records of the authority;

(5) investigate all applications, certificates and permits issued pursuant to the provisions of this chapter;

(6) conduct all background checks on applicants for employment by the authority and any gaming establishment in a resort casino and applicants for licensure, including obtaining criminal record information, and share such information as necessary with the authority; provided that such background checks shall be conducted by the state police unit assigned to the division;

(7) conduct audits of casino operations at such times, under such circumstances, and to such extent as the director shall determine, including reviews of accounting, administrative and financial records, and management control systems, procedures and records utilized by a casino licensee;

(8) receive and take appropriate action on any referral from the authority relating to any evidence of a violation of this chapter or the regulations adopted thereunder;

(9) initiate, prosecute, intervene and defend proceedings before the authority, or appeals therefrom, as the division may deem appropriate;

(10) investigate and enforce the provisions of this chapter and any regulations adopted hereunder or any gaming related statutes, rules or regulations adopted by any agency, department, board, commission, division or authority of the commonwealth or any political subdivision thereof that is involved in controlled gaming pursuant to this chapter, and prosecute all proceedings for violations of this chapter or any regulations adopted hereunder;

(11) be entitled to request and receive information, materials and any other data from any licensee or registrant, or applicant for a license or registration under this chapter;

(12) ensure that there is no duplication of duties and responsibilities between it and the authority; and

(13) report to the attorney general recommendations that promote more efficient operations of the division.

(b) The division shall be compensated for its duties through the assessment pursuant to section 6. The attorney general shall submit a budget to the authority by January first for an annual appropriation, and the authority shall make such appropriation to the division by July first of each year.

Section 19.  Penalties for Licensing and Gaming Violations

(a) Willful evasion of license fees; other acts and omissions.

(1) any person who willfully fails to report, pay, or truthfully account for and pay over any license fee or tax imposed by the provisions of this chapter or by the regulations adopted by the authority, or willfully attempts in any manner to evade or defeat any such license fee, tax, or payment thereof shall be punished by imprisonment in state prison for not more than 5 years or in a house of correction for not more than 2 and one-half years, or a fine of not more than $100,000, or both, and in the case of a person other than a natural person, the amount of a fine may be up to $5,000,000.

(2) any person who willfully resists, prevents, impedes, interferes with, or makes any false, fictitious, or fraudulent statement or representation to the authority or to the division or to their agents or employees in the performance of duties pursuant to this chapter shall be punished by imprisonment in state prison for not more than 5 years or in a house of correction for not more than 2 years and one-half years, or a fine of not more than $25,000, or both.

(b) Unlicensed gaming unlawful.

(1) any person who conducts or operates, or permits to be conducted or operated, any game, electronic gaming device, or gaming equipment in violation of the licensing provisions of this chapter or the regulations adopted by the authority shall be punished by imprisonment in state prison for not more than 5 years or imprisonment in a house of correction for not more than 2 and one-half years, or a fine of not more than $25,000, or both such fine and imprisonment, and in the case of a person other than a natural person, the amount of a fine may be up to $100,000.

(2) any licensee who, without the permission of the authority, (1) places controlled games, electronic gaming devices, or gaming equipment into play or displays such controlled games, electronic gaming devices, or gaming equipment in a casino or gaming establishment or (2) receives, directly or indirectly, any compensation or reward or any percentage or share of the revenue, for keeping, running, or carrying on any controlled game, or owning the real property or location in which any controlled game occurs, shall be punished by imprisonment in a house of correction for not more than 2 and one-half years, or a fine of not more than $25,000, or both, and in the case of a person other than a natural person, the amount of a fine may be up to $100,000.

(3) any person who conducts or operates any controlled game, electronic gaming device, or gaming equipment after his license has expired and prior to the actual renewal thereof shall be punished by imprisonment in a house of correction for not more than 1 and one-half years, or a fine of not more than $25,000, or both, and in the case of a person other than a natural person, the amount of a fine may be up to $100,000.

(c) Swindling and cheating.

(1) In addition to the provisions of section 75 of chapter 266, a person is guilty of swindling and cheating if the person purposely or knowingly by any trick or sleight of hand performance or by a fraud or fraudulent scheme, cards, dice, or other gaming equipment, for himself or for another, wins or attempts to win money or property, or a representative of either, or reduces a losing wager or attempts to reduce a losing wager in connection to controlled gaming.

The penalties for swindling and cheating offenses shall be as follows:

(i) any person who swindles or cheats where the amount involved is $75,000 or more shall be punished by imprisonment in state prison for not more than 10 years, or a fine of not more than $1,000,000, or both.

(ii) any person who swindles or cheats where the amount involved is $10,000 or more and less than $75,000 shall be punished by imprisonment in state prison for not more than 5 years, or a fine of not more than $500,000, or both.

(iii) any person who swindles or cheats where the amount involved is $1,000 or more and less than $10,000 shall be punished by imprisonment in state prison for not more than 3 years or imprisonment in a house of correction for not more than 2 and one-half years, or a fine of not more than $100,000, or both such fine and imprisonment.

(iv) any person who swindles or cheats where the amount involved is less than $1,000 shall be punished by imprisonment in a house of correction for not more than 2 and one-half years, or by a fine of not more than $10,000, or both.

(d) Each episode or transaction of swindling or cheating may be the subject of a separate prosecution and conviction. In the discretion of the prosecutor, multiple episodes or transactions of swindling and cheating committed as part of a single scheme or course of conduct may be treated as a single offense, and the amounts involved in acts of swindling and cheating committed pursuant to a scheme or course of conduct, whether by the same person or several persons, may be aggregated in determining the amount involved in the offense.

(e) Unlawful use or possession of devices to obtain an advantage.

(1) Any person who in playing, conducting or operating a game in a licensed casino or gaming establishment, uses or assists another in the use of (1) a computerized, electronic, electrical, or mechanical device, which is designed, constructed, or programmed specifically for use in obtaining an advantage in any game in a licensed casino or gaming establishment or (2) any other cheating or thieving device, including, but not limited to, bogus or counterfeit chips, coins or dice; coins or tokens attached to strings or wires; marked cards; electronic or magnetic devices; or tools, drills, wires, keys, or devices designed for the purpose of and suitable for opening, entering, or affecting the operation of any gaming equipment, or for removing money or other contents therefrom, shall be punished by imprisonment in state prison for not more than 5 years or imprisonment in a house of correction for not more than 2 and one-half years, or a fine of not more than $25,000, or both such fine and imprisonment.

(2) Any person who possesses any computerized, electronic, electrical, or mechanical device or other cheating or thieving device described in subsection (1) with the intent to defraud, cheat, or swindle shall be punished by imprisonment in a house of correction for not more than 2 and one-half years, or a fine of not more than $10,000, or both. Possession of any computerized, electronic, electrical, or mechanical device or other cheating or thieving device described in subsection (1) within a casino or gaming establishment shall constitute prima facie evidence of an intent to defraud, cheat or swindle, except that possession by any licensee, or employee of a licensee, acting in furtherance of his employment within a licensed casino or gaming establishment shall not constitute such prima facie evidence.

(3) Any cheating or thieving device used or possessed in violation of this section shall be subject to seizure and forfeiture by the division.

(f) Unlawful operation of cheating games and devices by a licensee or employee; penalties.

(1) It shall be unlawful for any licensee or employee to:

(i) knowingly conduct or operate, or allow to be conducted or operated, any cheating or thieving game or device; or

(ii) knowingly conduct or operate or expose for play any game or games played with cards, dice, or any electronic or mechanical device, or any combination of games or devices, which have in any manner been marked or tampered with, or placed in a condition, or operated in a manner, the result of which tends to deceive the public or tends to alter the normal random selection of characteristics or the normal chance of the game or to alter the result of the game.

(2) Any person who violates this section shall be punished by imprisonment in state prison for not more than 5 years or imprisonment in a house of correction for not more than 2 and one-half years, or a fine of not more than $25,000, or both such fine and imprisonment, and in the case of a person other than a natural person, the amount of a fine may be up to $100,000.

(3) Any cheating or thieving game or device used in violation of this section shall be subject to seizure and forfeiture by the division.

(g) Unlawful manufacture, distribution, sale, or service of gaming equipment; penalties.

(1) Any person who manufactures, distributes, sells, or services any gaming equipment in violation of the provisions of this chapter or the regulations adopted by the authority for the purposes of defrauding, cheating, or swindling any person playing, operating, or conducting a controlled game at a casino or gaming establishment shall be punished by imprisonment in state prison for not more than 5 years or imprisonment in a house of correction for not more than 2 and one-half years, or a fine of not more than $25,000, or both such fine and imprisonment.

(2) Any such unlawfully manufactured, distributed, sold, or serviced gaming equipment shall be subject to seizure and forfeiture by the division.

(h) Employment without license or registration; penalties.

(1) Any person who, without obtaining the requisite license or registration as provided in this chapter, works or is employed in a position whose duties would require licensing or registration under the provisions of this chapter shall be punished by imprisonment in a house of correction for not more than 6 months, or a fine of not more than $10,000, or both.

(2) Any person who employs or continues to employ an individual not duly licensed or registered under the provisions of this chapter in a position whose duties require a license or registration under the provisions of this chapter shall be punished by imprisonment in a house of correction for not more than 6 months, or a fine of not more than $10,000, or both, and in the case of a person other than a natural person, the amount of a fine may be up to $100,000.

(i) Gaming by certain persons prohibited; penalties.

(1) Any person under the age of 21 who plays, places wagers at, or collects winnings from, whether personally or through an agent, any co0ntrolled game shall be punished by imprisonment in a house of correction for not more than 6 months, or a fine of not more than $1,000, or both.

(2) Any licensee or employee who knowingly allows a person under the age of 21 to play, place wagers at, or collect winnings, whether personally or through an agent, shall be punished by imprisonment in a house of correction for not more than 1 year, or a fine of not more than $10,000, or both, and in the case of a person other than a natural person, the amount of a fine may be up to $500,000. A subsequent violation of this section shall subject the licensee or employee to imprisonment in a house of correction for not more than 2 years, or a fine of not more than $50,000, or both, and in the case of a person other than a natural person, the amount of a fine may be up to $1,000,000.

(j) Placing, sending, transmitting, relaying wagers to another person prohibited under certain circumstances; penalties.

Any person who, except in accordance with section 5C of chapter 128A, knowingly transmits or receives a wager of any type by any telecommunication device, including telephone, cellular phone, Internet, local area network, including wireless local networks, or any other similar device or equipment or other medium of communication, or knowingly installs or maintains said device or equipment for the transmission or receipt of wagering information shall be punished by imprisonment in a house of correction for not more than 2 years, or a fine of not more than $25,000, or both.

This section shall apply to any person who, from within this commonwealth, transmits a wager to, or receives a wager from, another person or gaming establishment within or outside of this commonwealth and any person who, from outside this commonwealth, transmits a wager to, or receives a wager from, another person or gaming establishment within this commonwealth.

This section shall not apply to the use of a local area network as a means to place authorized wagers in a licensed gaming establishment, or use of said devices or equipment by the authority in it duties in regulating, enforcing, or auditing a licensed gaming operator.

(k) Post employment restrictions; penalties.

Any person who knowingly violates any of the provisions contained in subsection (a) or subsection (c) of section 4 shall be punished by imprisonment in state prison for not more than 5 years or in a house of correction for not more than 2 and one-half years, or a fine of not more than $100,000, or both.

Section 20.  Withholdings from Winnings for Child Support and Tax Payments

Prior to disbursement of gambling winnings in excess of $600, all licensed casinos shall review information furnished by the IV-D agency, as set forth in chapter 119A, and the department of revenue to ascertain whether the individual collecting such winnings owes past-due child support to the commonwealth or to an individual to whom the IV-D agency is providing services, and to ascertain whether the individual owes any past-due tax liability to the commonwealth. If the individual owes past-due child support or a past-due tax liability, after withholding state and federal taxes pursuant to this section, the casino shall first disburse to the IV-D agency the full amount of the winnings or such portion of the winnings that satisfies the individual's past-due child support obligation and, if funds remain available after that disbursement, the casino shall disburse to the department of revenue the full amount of the winnings or such portion of the winnings that satisfies the individual's past-due tax liability, and the casino shall notify the IV-D agency or the department of revenue, respectively, of the individual's name, address, and social security number. The casino shall disburse to the individual only that portion of the winnings, if any, remaining after the individual's past-due child support obligation and the individual's past-due tax liability have been satisfied.

Section 21.  Other Tax Benefits Unavailable to Resort Casinos

A casino or business located on casino property cannot be a certified project within the meaning of section 3F of chapter 23 A. Resort casinos may not be designated an economic opportunity area within the meaning of section 3E of chapter 23 A. Resort casinos are not eligible for tax increment financing as set forth in section 59 of chapter 40 or special tax assessments set forth in section 3E of chapter 23 A. Resort casinos may not be classified and taxed as recreational land under the provisions of chapter 61B. Resort casinos may not be designated as a development district within the meaning of chapter 40Q. Unless otherwise provided, a resort casino or any business located or to be located within a resort casino is not eligible for the following credits or deductions listed in chapter 62 or chapter 63: the investment tax credit under section 31A of chapter 63, the employment credit under section 31C of chapter 63, the van pool credit under section 31E of chapter 63, the deduction for expenditures for industrial waste treatment or air pollution control under section 38D of chapter 63, the deduction for compensation paid to an eligible business facility's employees domiciled in a section of substantial poverty under section 38F of chapter 63, the alternative energy sources deduction under section 38H of chapter 63, the research expense credit under section 38M of chapter 63, the economic opportunity area credit under section 6(g) of chapter 62, and section 38N of chapter 63, the abandoned building deduction under section 3B(a)(10) of chapter 62, and section 380 of chapter 63, the harbor maintenance tax credit under section 38P of chapter 63, the brownfields credit under section 6(j) of chapter 62, and section 38Q of chapter 63, the historic rehabilitation tax credit under section 6J of chapter 62 and section 38R of chapter 63, the automatic sprinkler system depreciation deduction under section 38S of chapter 63, and the credit for a solar water heating system under section 38T of chapter 63.

Section 22. Economic Assistance to Racing Licensees Not Obtaining Licenses

Notwithstanding any general or special law to the contrary, any race track licensed in accordance with section 3 of chapter 128A that is not selected for a casino license under this Act and that is no longer conducting racing meetings in accordance with chapter 128A or accepting paramutuel wagers in accordance with chapter 128C, shall automatically be:

(a) designated as an economic opportunity area within the meaning of section 3E of chapter 23A,

(b) eligible for infrastructure financing for the purpose of stimulating economic development pursuant to:

(i) the Public Works Economic Development (PWED) Program, as regulated by 7.01 CMR 5.00 et seq.;

(ii) the Infrastructure Investment Incentive (I-Cubed) program, as established by St. 2006, c. 293 §§ 5 - 12, as amended by St. 2008, c. 129; and

(c) granted a property tax exemption of up to 100% of the tax increment, as authorized by section 59 of chapter 40, for any added value of new construction, rehabilitation or new equipment or machinery.

Employees displaced by the termination of racing meetings at any such race track will receive reasonable priority job placement opportunities at any resort casino licensed under this Act during the two years immediately following said termination, and shall automatically be eligible for all state job training and education programs.

The host municipality of said site, and if two or more municipalities host said site, then all such host municipalities, shall automatically:

(a)  qualify for a grant of not less than $1,000,000, pursuant to the Community Development Action Grant (CDAG) program, to support activities including but not limited to workforce housing development, streetscape upgrades, publicly-owned infrastructure rehabilitation and construction, and local utility improvements; and

(b) receive certification from the State Economic Assistance Coordinating Council to utilize tax increment District Improvement Financing (DIF), as authorized by chapter 40Q, for activities including but not limited to acquiring land, reconstructing improvements, and incurring indebtedness to finance development projects.

SECTION 7. Subsection (d)(1) of section 2 of chapter 62, as appearing in the 2006 Official Edition, is hereby amended by inserting after paragraph (P) the following paragraph:-

(Q) Any deduction for losses from wagering transactions allowed by section 165 of the Code.

SECTION 8. Subsection (k) of section 6 of chapter 62, as appearing in the 2006 Official Edition, is hereby amended by inserting after subsection (9) the following subsection :-

(10) A person who is otherwise eligible to claim the credit under subsection (m) of this section may elect the credit available under this subsection or under subsection (m), but not both.


Budget Amendment ID: FY2012-S3-39

OTH 39

Cost-Effective Network Offerings

Mr. Pacheco moved that the proposed new text be amended by inserting, after SECTION __, the following new section:-

 

"SECTION __. Section 9A of chapter 176O of the General Laws, as created by Chapter 288 of the Acts of 2010, is hereby amended by striking out subsection (a), and replacing it with the following:-

(a) (i) limits the ability of the carrier to introduce or modify a select network plan or tiered network plan by granting the health care provider a guaranteed right of participation; (ii) requires the carrier to place all members of a provider group, whether local practice groups or facilities, in the same tier of a tiered network plan; or (iii) requires the carrier to include all members of a provider group, whether local practice groups or facilities, in a select network plan on an all-or-nothing basis; or"


Budget Amendment ID: FY2012-S3-40-R1

Redraft OTH 40

JOB CREATION TAX CREDIT

Messrs. Tarr and Richard T. Moore moved that the proposed new text be amended <w:p><w:r><w:t xml:space="preserve">SECTION__. Section 67D of Chapter 62C of the General Laws is hereby amended by inserting after subsection (g) the following new sections:-

 

(h) when used in section (i)-(n), the following words shall have the following meaning:

“Application year”, the calendar year for which a business submits the information required for a determination as to a jobs incentive credit.

“Business”, a corporation, sole proprietorship, partnership, limited liability company or any other form of business organization.

“Commissioner”, the commissioner of revenue.

“Eligible Jobs”, a number determined by first multiplying each of the local jobs created by a business during a single calendar year by the job qualifier for that job, and then totaling the number for all of the local jobs created.

“Full time employee”, a person who is employed for consideration for at least 35 hours per week and whose salary is subject to withholding as provided in chapter 62B.

“Job qualifier fraction”, in the case of either a full-time employee or a part-time employee of a business, the figure that determines the extent to which that employee is employed in the commonwealth during a single calendar year. The job qualifier fraction for each employer shall be determined by multiplying the following percentages together: (i) the percentage of time that an employee worked while employed by the company expressed as average hours worked per week out of 35 hours, not to exceed 100 per cent; (ii) that employee’s time attributable to work in the commonwealth, as a portion of that employee’s total work for the company; and (iii) the portion of the year the employee worked for the company.

“Jobs incentive credit”, a business employment incentive credit for companies as provided for in this section.

“Local jobs created”, the total number of jobs created by a business during a single calendar year in which the new employees perform qualified services in at least 1 in-state location, including jobs performed by persons that are transferred within the company to work at an in-state location from a location based outside the state.

“Part-time employee”, a person who is employed for consideration for less than 35 hours a week and whose salary is subject to withholding as provided in chapter 62B.

“Credit years”, in the case of a business that is determined to be eligible for a jobs incentive credit, the 3 calendar years following the application year.

“Weighted, average employment”, for a calendar year, the total number of jobs maintained by a business in which the employees performed employment services in at least 1 in-state location. The number is to be determined by first multiplying each of the individual jobs maintained by the company for that year by the job qualifier fraction for that job and then totaling the number for all of these jobs.

(i) A business that creates an eligible job in the commonwealth during its application year shall be entitled to a jobs incentive credit, spread equally over three calendar years, if its weighted average employment for such application year reflects a net increase over the company’s weighted average employment for the prior calendar year.  The total jobs incentive credit shall be equal to 50 per cent of the amount paid by the company as salary attributable to eligible jobs created by the company in such year to the extent that the salary was subject to Massachusetts withholding pursuant to chapter 62B for such year, multiplied by the applicable Massachusetts income tax rate for such salary, and such credit shall be applied toward the company’s liability imposed by Chapter 62B, Section 2.  A company shall take a jobs incentive credit for no more than 50 jobs created over its weighted average employment for the prior calendar year.  For companies creating greater than 50 jobs over the weighted average employment for the prior calendar year, the total tax credit, which will be taken in three equal installments subject to the terms and conditions in the following sections, shall be determined by the salary of the first 50 eligible jobs created.  For the purposes of this provision, an eligible job shall be deemed created in the commonwealth on the first day for which Massachusetts withholding is required in connection with the compensation paid to the employee.

(j) The jobs incentive credit shall be taken by a business in 3 equal installments in each of the 3 calendar years commencing with the calendar year subsequent to the application year.  If, for the first or second credit year, the company’s weighted average employment falls below its weighted average for the application year, the company shall be disqualified from taking its second installment credit.  It may still take its third installment credit if its weighted average employment for its second credit year is above its weighted average employment for the application year.

(k) A company that seeks a jobs incentive credit shall apply to the commissioner to receive permission to take such a credit on a form prescribed by the commissioner.  This form shall reference the necessary information concerning the eligible jobs created by the company in the Commonwealth during the application year and also the company’s weighted average employment for such year and the prior calendar year.  The commissioner shall advise the company of his determination in writing.

(l)  Not later than March 1 of each calendar year for which a company has been approved to take a job incentives credit , the company shall submit to the commissioner, in a form prescribed by the commissioner, the information necessary to evaluate the company’s prior year weighted employment average.

(m)  A company that has previously been approved to take a job incentive credit is entitled to re-apply for an additional credit for a second or third application year.  In such cases, the company may be entitled to take a job incentive credit that relates to different application years in the same calendar year.  When a company has previously been granted permission to take a jobs incentive credit for 3 application years, it shall not request an additional jobs incentive credit.  In no case shall a company take a jobs incentive credit after June 30, 2014, when all provisions in (i)-(m) shall sunset and no longer be in effect.

(n) Following the termination of the job creation tax credit program, the commissioner of the department of revenue, in consultation with one or more institutes of higher learning, shall conduct a cost benefit analysis of said program, which shall take into consideration the total number of permanent in-state jobs created under the program, the total amount of tax credits provided, and any other factors that would be useful in measuring the success of the program.  The commissioner shall prepare a report on the findings, which shall be filed with the clerk of the house of representatives and the clerk of the senate, the chairs of the house and senate committees on ways and means, and the house and senate chairs of the joint committee on revenue no later than September 30, 2014.  Said report shall include the commissioner’s findings as to the feasibility of extending the job creation tax credit program beyond the sunset date, along with any recommendations for revising the program to make it more effective in enhancing the creation of jobs.

 


Budget Amendment ID: FY2012-S3-41

OTH 41

Telecommunications Equipment

Ms. Creem moved that the proposed new text be amended by inserting, after Section __, the following new section:-

"SECTION X: Section 5 of chapter 59 of the General Laws, as appearing in the 2008 Official Edition, is hereby amended by inserting after the word “than”, in line 220, the following words:- a telephone or telegraph corporation subject to tax under section 52A of chapter 63 or.

 

SECTION 2: Said section 5 of said chapter 59 of the General Laws, as so appearing, is hereby further amended by inserting after the words “two A”, in line 223, the following words:- , other than a telephone or telegraph corporation,

 

SECTION 3: Clause Sixteenth of said section 5 of said chapter 59 of the General Laws is hereby further amended by striking out paragraph (2), as inserted by SECTION 2 of chapter 173 of the acts of 2008, and inserting in place thereof the following paragraph:-

 

(2) In the case of (a) a business corporation subject to tax under section 39 of chapter 63 that is not a manufacturing corporation, or (b) a telephone or telegraph corporation subject to tax under section 52A of chapter 63, all property owned by the corporation other than the following:- real estate, poles, underground conduits, wires and pipes, and machinery used in the conduct of the business, which term, as used in this clause, shall not be considered to include stock in trade or any personal property directly used in connection with dry cleaning or laundering processes or in the refrigeration of goods or in the air-conditioning of premises or in any purchasing, selling, accounting or administrative function. Notwithstanding the preceding sentence, a telephone or telegraph corporation shall be subject to property tax assessment on machinery used in the conduct of its business and leased to it by a corporation that is not a telephone or telegraph corporation, and the telephone or telegraph corporation shall include such property on its list to the board of assessors where the property is situated under section 29 of this chapter."


Budget Amendment ID: FY2012-S3-42

OTH 42

Rate Convergence & DOI Reporting for Carriers on DSH rates of payment

Messrs. Hart and Finegold moved that the proposed new text be amended section 1 Chapter 118 G insert the following:

 

Notwithstanding any general or special law to the contrary, each health plan carrier shall be required to report and explain to the Division of Insurance what actions they have taken to remedy the disparity identified in the Attorney General's March 16, 2010 Examination of Health Care Costs and Driver Trends in Health Care Cost Trends and Cost Drivers which concluded that acute care hospitals defined in section 1 Chapter 118 G are paid considerably less than other hospital providers.  Further, a contract or agreement between a health plan carrier and a disproportionate share health care provider, including a hospital or its affiliated physician group practice, entered or renewed on or after September 1, 2011, shall not contain rates that are less than the carrier’s statewide average rate in the previous year beginning July 2010 through June 2011.


Budget Amendment ID: FY2012-S3-43

OTH 43

Active Duty Public Employees

Messrs. Richard T. Moore, Tarr and Knapik, Ms. Candaras and Mr. DiDomenico moved that the proposed new text be amended by inserting, after Section X, the following new Section:--

SECTION X. Chapter 137 of the Acts of 2003, as amended by section 2 of chapter 182 of the acts of 2008, is hereby further amended by striking out section 21 and inserting in place thereof the following section:--

Section 21.  Section 1 shall expire on September 11, 2014.  Sections 2 and 3 shall expire on September 11, 2005.


Budget Amendment ID: FY2012-S3-44

OTH 44

Homeowners Consolidation & Relief

Messrs. Kennedy and Keenan moved that the proposed new text be amended Mr. Kennedy moves that the bill be amended by inserting, after Section ___, the following new Section:-

 

“SECTION ___.  Notwithstanding any general or special law to the contrary, there shall be a commission to study the feasibility of providing home mortgage refinancing assistance to non-delinquent homeowners.  The commission shall consist of the following members: the executive director of Massachusetts Housing Finance Agency, who shall serve as chair of the commission; the treasurer of the commonwealth, or his appointee; the senate chair of the joint committee on financial services; the house chair of the joint committee on financial services; a member to be appointed by the house minority leader; a member to be appointed by the senate minority leader; a representative of the Massachusetts credit union league; and a representative of the Massachusetts bankers association. The commission shall conduct a comprehensive review and evaluation of providing refinancing assistance for residents of the Commonwealth who, due in part to a loss of income, a depreciation in the value of their real estate, or the current refinancing exposure criteria as established by the Federal National Mortgage Association and the Federal Home Loan Mortgage Corporation, are unable to refinance at a lower market interest rate. The commission’s study shall include, but may not be limited to, the feasibility of establishing a fund encumbered by the commonwealth to be pledged to the Massachusetts Housing Finance Agency as a mortgage refinance guarantee.  The commission shall submit its findings and recommendations, together with drafts of legislation or regulations necessary to carry those recommendations into effect by filing the same with the governor, the clerks of the house of representatives and senate, and the joint committee on financial services, not later than December 31, 2012.”


Budget Amendment ID: FY2012-S3-46

OTH 46

Special Commission to Honor Women of the Commonwealth

Ms. Chandler moved that the proposed new text be amended by inserting, after Section ___, the folowing new Section:-

 

"SECTION ___. There shall be a special commission to identify women who have made an extraordinary contribution to the commonwealth and offer recommendations on providing appropriate recognition for these women in the State House. The commission shall consist of: 3 members of the house of representatives, 1 of whom shall be appointed by the minority leader; 3 members of the senate, 1 of whom shall be appointed by the minority leader; and 2 persons to be appointed by the governor.  The Commission shall issue a report of its findings to the Clerks of the House and Senate by December 31, 2011. "


Budget Amendment ID: FY2012-S3-47-R1

Redraft OTH 47

Corrective Amendment

Mr. Brewer moved that the proposed new text be amended in section 2, in item 0321-1500, by striking out, in line 2, the words “begin the process of moving toward” and inserting in place thereof the following words:- “develop and implement”; and

in said section 2, in said item 0321-1500, by striking out, in line 3, the word “are” and inserting in place thereof the following words:- “shall be”; and

in said section 2 by striking out item 0340-2100 and inserting in place thereof the following item:-

“0340-2100 For the operation of the Massachusetts District Attorneys Association, including the implementation and related expenses of the district attorneys’ offices automation and case management and tracking system; provided, that expenses associated with the system may be charged directly to this item; provided further, that the 11 district attorneys may contribute a portion of their fiscal year 2012 appropriation to the Massachusetts District Attorneys Association in order to alleviate the cost of the system and the cost of data lines associated with the district attorneys’ computer network;  provided further, that the department shall work in conjunction with the disabled persons protection commission and the 11 district attorneys' offices to prepare a report that shall include, but not be limited to: (a) the number of abuse cases that are referred to each district attorney’s office for further investigation; (b) the number of those referrals resulting in the filing of criminal charges, delineated by type of charge; (c) the number of cases referred to each district attorney's office that remains open as of the date for submission of the report; and (d) the number of cases that resulted in a criminal prosecution and the disposition of each such prosecution; provided further, that the report shall be submitted to the house and senate committees on ways and means and the clerks of the house of representatives and the senate not later than March 14, 2012; provided further, that the association shall work in conjunction with the 11 district attorneys' offices to prepare and submit a report to the house and senate committees on ways and means and the clerks of the house of representatives and the senate not later than February 28, 2012, summarizing the number and types of criminal cases managed or prosecuted by all district attorneys' offices in calendar year 2011 and the disposition or status thereof which shall be delineated by each jurisdiction of the district, juvenile, probate, superior, appeals and supreme judicial courts in which the cases were managed or prosecuted; provided further, that for each jurisdiction of the courts, the report shall include, but not be limited to: (a) the type of criminal case; (b) the total number of defendants charged under the type of case; and (c) a summary of the dispositions or statuses thereof; provided further, that the association shall work in conjunction with the 11 district attorneys' offices to prepare and submit a report to the house and senate committees on ways and means and the clerks of the house of representatives and the senate not later than February 28, 2012, detailing all district attorneys’ offices' use of drug forfeiture funds collected pursuant to chapter 94C of the General Laws; provided further, that the report shall include, but not be limited to: (a) the amount of the funds deposited into an office's special law enforcement trust fund in fiscal years 2009, 2010 and 2011; (b) how the funds were used in those fiscal years; and (c) the balance in the fund as of January 2, 2012; provided further, that the department shall work together with the 11 district attorneys' offices to submit a report to the house and senate committees on ways and means and the clerks of the house of representatives and the senate not later than January 31, 2012, detailing the total number and use of private attorneys participating in any volunteer prosecutor program; and provided further, that the report shall include, but not be limited to: (a) the total number of personnel from private law firms participating in the program at each of the 11 district attorney’s offices; (b) the name and address of the law firms; (c) the duties performed by the personnel; and (d) the benefits and cost savings associated with the program………………………………………………….$1,660,006”; and

in said section 2, by striking out item 0340-8908 and inserting in place thereof the following item:-

“0340-8908  For the costs associated with maintaining the Massachusetts District Attorneys Association’s wide area network ................................................$1,317,090”; and

in said section 2, in item 1599-0026, by inserting after the word “municipalities”, in line 8, the following words:- “; provided further, that funds may be expended to reimburse municipalities for planning costs associated with municipal infrastructure improvements incurred in fiscal year 2011”; and

in said section 2, in item 2000-0100, by adding the following words:-  “; provided, that the executive office shall expend not less than $150,000 for a program of collaborative research with academic institutions that apply satellite and other technologies in an innovative manner to an existing methodological model previously used in other fisheries to assess the biomass of groundfish in the region managed by the New England Fishery Management Council; provided further, that the executive office shall execute a memorandum of agreement with any such academic institution not later than 30 days after the effective date of this act; and provided further, that the memorandum shall require the timely production of information for use in the fisheries management process”; and

in said section 2, in said item 2000-0100, by striking out the figure “$5,545,430” and inserting in place thereof the following figure:- “$5,695,430”; and

in said section 2, in item 4000-0300, by adding the following words:-  “; and provided further, that the executive office shall conduct a study to determine whether individuals in the Greater Brockton area who are receiving MassHealth benefits through a health maintenance organization under contract with the executive office have adequate access to those health care providers that have historically served those individuals”  and

in said section 2, in item 4120-4000, by adding the following words:-  “; provided, that all independent living centers identified in item 4120-4000 of section 2 of chapter 182 of the acts of 2008 shall receive the same amount in fiscal year 2012 as they received in said chapter 182”; and

in said section 2, in said item 4120-4000, by striking out the figure “$11,851,933” and inserting in place thereof the following figure:-  “$12,176,933”; and

in said section 2, in item 4400-1100, by adding the following words:- “, prior appropriation continued"; and

in said section 2, in item 4590-1507, by adding the following words:- “provided further, that the Alliance of Massachusetts YMCAS shall distribute funds to all YMCAs that received grants from this item in fiscal year 2011”; and

by inserting 4513-1020 the following item:-

"4513-1023.. For the universal newborn hearing screening program; provided, that funds appropriated in this item shall be expended for the notification of and follow through with affected families, primary care providers and early intervention programs upon the department's receipt of data indicative of potential hearing disorders in newborns….$65,494"; and

in said section 2, in item 4800-0015, by adding the following words:-  “; and provided further, that no funds shall be transferred from 4800-0040 to any of those items”; and

in said section 2, by inserting before item 7003-0702 the following item:-

“7003-0605..For the operation and maintenance of the Massachusetts Manufacturing Extension Partnership for the purpose of maintaining and promoting manufacturing as an integral part of the economy and for programs designed to assist small and mid-sized manufacturing companies........$325,000”; and

in said section 2, in item 7004-0101, by striking out, in line 89, the words “available housing or housing assistance necessary to maintain housing”, inserted by amendment 254, and inserting in place thereof the following words:-  “housing assistance”; and

in said section 2, in item 7027-0019, by adding the following words:- “, prior appropriation continued"; and

in said section 2, in item 8900-0001, by adding the following words:-“; and provided further, that an amount of funding that was allocated to the program for mothers who have been incarcerated in item 8900-0001 of section 2 of chapter 131 of the acts of 2010 shall be consistent with allocations relative to MCI Cedar Junction in item 8900-0001 of section 2 of chapter 61 of the acts of 2007”; and

in said section 2, in item 8910-8200, by adding the following words:- "provided, that funds may be expended for the continued operation of the centralized emergency medical dispatch system"; and

in said section 2, in said item 8910-8200, by striking out the figure "$21,517,391" and inserting in place thereof the following figure:- $21,617,391"; and

in said section 2, in item 8910-8700, by adding the following words:- "provided, that funds may be expended for the continued operation of the Plymouth Bristol emergency alert/notification system"; and

in said section 2, in said item 8910-8700, by striking out the figure "$24,810,825" and inserting in place thereof the following figure:- $24,910,825.; and

in section 2E, in item 1595-5819, by adding the following words:-  “; provided further, that the commonwealth health insurance connector authority shall conduct a study to determine whether individuals in the Greater Brockton area who are receiving Commonwealth Care subsidized health insurance benefits through a health maintenance organization under contract with the connector authority have adequate access to those health care providers that have historically served those individuals”  and

in said section 2E, in said item 1595-5819, by adding the following words:- “; and provided further, that notwithstanding said section 7A of said chapter 176Q, for fiscal year 2012, the connector shall provide an annual health insurance wellness subsidy not to exceed 15 per cent of eligible employer health care costs as calculated by the employer for credit by the federal government under the federal Patient Protection and Affordable Care Act”; and

in section 13, by striking out, in line 3, the figure "2" and inserting in place thereof the following figure:- "3"; and

by inserting after section 32 the following section:-

“SECTION 32A.  Section 5 of chapter 23I of the General Laws, as so appearing, is hereby amended by inserting after subsection (c) the following subsection:-

(d)  There shall be established a life sciences tax incentive program. The center, in consultation with the department, may annually authorize incentives, including incentives carried forward or refunded pursuant to subsections (m), (n) and (r) of section 6 of chapter 62, paragraph 17 of section 30 of chapter 63, the second time it appears, section 31M of said chapter 63, the second time it appears, paragraph 6 of subsection (f) of section 38 of said chapter 63, subsection (j) of section 38M of said chapter 63, section 38U of said chapter 63, section 38V of said chapter 63, section 38W of said chapter 63, section 38CC of said chapter 63, the second paragraph of subsection (c) of section 42B of said chapter 63 and subsection (xx) of section 6 of chapter 64H in a cumulative amount, including the current year cost of incentives allowed in previous years, that shall not exceed $25,000,000 annually.  The center may, in consultation with the department, limit any incentive to a specific dollar amount or time duration or in any other manner deemed appropriate by the department; provided, however, that the department shall only allocate any such incentives among commonwealth certified life sciences companies pursuant to subsection (b) and shall award such tax incentives pursuant to subsection (c).

The center shall provide an estimate to the secretary of administration and finance of the tax cost of extending benefits to a proposed project before certification, as approved by the commissioner of revenue, based on reasonable projections of project activities and costs.  Tax incentives shall not be available to a certified life sciences company unless expressly granted by the secretary of administration and finance in writing.”; and

in section 36, in subsection (e) of proposed section 29K, by striking out the first and second sentences and inserting in place thereof the following sentence:-  “The commonwealth shall not subsidize the health insurance, pension and other post-employment benefits of state authority employees and retirees.”; and

in section 40, by inserting after the word “reduction”, in line 21, the following words:-  “, but the commission shall not alter the contribution ratios provided in the most recent applicable appropriation act”; and

in section 45, by striking out, in line 60, the word “employees” and inserting in place thereof the following word:-  “subscribers”; and

by inserting after section 51 the following section:-

“SECTION 51A.  Section 6 of chapter 62 of the General Laws is hereby amended by striking out, in line 495, as appearing in the 2008 Official Edition”, the words “in subsection (n)” and inserting in place thereof the following words:-  subsections (n) and (r).”; and

by inserting after section 52 the following section:-

“SECTION 52A.  Said section 6 of said chapter 62, as most recently amended by section 37 of chapter 454 of the acts of 2010, is hereby further amended by adding the following subsection:-

(r)(1) A taxpayer, to the extent authorized by the life sciences tax incentive program established in section 5 of chapter 23I, may be allowed a refundable jobs credit against the tax liability imposed under this chapter in an amount determined by the Massachusetts Life Sciences Center in consultation with the department.

(2) A taxpayer taking a credit under this subsection shall commit to the creation of a minimum of 50 net new permanent full-time jobs in the commonwealth.

(3) A credit allowed under this subsection shall reduce the liability of the taxpayer under this chapter for the taxable year.  If a credit claimed under this subsection by a taxpayer exceeds the taxpayer’s liability as otherwise determined under this chapter for the taxable year, 90 per cent of such excess credit, to the extent authorized by the life sciences tax incentive program shall be refundable to the taxpayer.   Excess credit amounts shall not be carried forward to other taxable years.

(4) The department shall issue the refundable portion of the jobs credit without further appropriation and in accordance with the cumulative amount, including the current year costs of incentives allowed in previous years, that shall not exceed $25,000,000 annually as set forth in subsection (d) of said section 5of said chapter 23I.”; and

by inserting after section 53 the following section:-

“SECTION 53A.  Said chapter 63 is hereby further amended by inserting after section 38BB the following section:-

Section 38CC.  (a) A taxpayer, to the extent authorized by the life sciences tax incentive program established in section 5 of chapter 23I, may be allowed a refundable jobs credit against the tax liability imposed under this chapter in an amount determined by the Massachusetts Life Sciences Center in consultation with the department.

(b) A taxpayer taking a credit under this subsection shall commit to the creation of a minimum of 50 net new permanent full-time jobs in the commonwealth.

(c) A credit allowed under this section shall reduce the liability of the taxpayer under this chapter for the taxable year.  If a credit claimed under this section by a taxpayer exceeds the taxpayer’s liability as otherwise determined under this chapter for the taxable year, 90 per cent of such excess credit, to the extent authorized pursuant to the life sciences tax incentive program established in section 5 of chapter 23I, shall be refundable to the taxpayer.  Excess credit amounts shall not be carried forward to other taxable years.

(d) The department shall issue the refundable portion of the jobs credit without further appropriation and in accordance with the cumulative amount, including the current year costs of incentives allowed in previous years, that shall not exceed $25,000,000 annually as set forth in subsection (d) of said section 5 of said chapter 23I.”; and

in section 66A, by striking out the last paragraph and inserting in place thereof the following paragraph:-

“An owner or operator of an elevator shall not be assessed a fine for having violated this section if: (i) 30 days prior to the expiration of a certificate, the owner or operator has, in writing or in any manner prescribed by the department, requested an inspection of such elevator by the department and an inspection was not completed within such 30-day period; and (ii) such elevator was not determined to be unsafe at any time during such 30-day period, notwithstanding that the results of an inspection was rendered beyond such 30-day period.”; and

by inserting, after section 66A the following section:-

“SECTION 66B.  Section 64 of said chapter 143, as so appearing, is hereby amended by striking out the third sentence.”; and

by inserting after section 78A the following section:-

“SECTION 78C.  Subsection (f) of said section 6 of said chapter 176J, as appearing in section 78B, is hereby repealed.”; and

in section 97, by striking out, in line 6, the words “that the” and inserting in place thereof the following words:- “that beginning in fiscal year 2012, the”; and

by inserting after section 95 the following section:-

“SECTION 95A.  Item 6033-0417 of section 2A of chapter 291 of the acts of 2004, as most recently amended by section 84 of chapter 139 of the acts of 2006, is hereby further amended by striking out the words “relocation of the Amesbury department of public works barn in the town of Amesbury to the site formerly known as Microfab” and inserting in place thereof the following words:- “redevelopment and revitalization of the Lower Mill yard in the town of Amesbury.”; and

by inserting after section 101 the following section:-

“SECTION 101A. Item 6035-0817 of section 2A of chapter 303 of the acts of 2008, as amended by section 30 of chapter 26 of the acts of 2009, is hereby further amended by striking out the words “$350,000 shall be expended for lighting improvements to the new Parker river bridge or the North and South approaches to the bridge on route 1A in the town of Newbury” and inserting in place thereof the following “$250,000 may be expended for the town’s rehabilitation of a portion of River road in the town of Merrimac; provided further, that $50,000 may be expended for the improvement of the DPW garage, located at 197 High road in the town of Newbury; provided further, that such sum shall be placed into the town of Newbury’s chapter 90 account in the event that improvements are made prior to the release of funds in this item.”

by inserting after section 103 the following 2 sections:-

“SECTION 103A. Item 4000-0640 of section 2 of chapter 131 of the acts of 2010is hereby amended by striking out the words  “notwithstanding any general or special law to the contrary, contingent upon receipt of not less than $27,200,000 in TANF contingency funds authorized by Title IV, section 403(b) of the Social Security Act, the division shall establish nursing facility supplemental Medicaid rates and that a sum of $27,200,000 shall be distributed as supplemental nursing facility Medicaid rates for fiscal year 2011”, inserted by section 51A of chapter 359 of the acts of 2010, and inserting in place thereof the following words:-  the division shall establish additional nursing facility supplemental Medicaid rates that cumulatively total $27,000,000 which shall be distributed as supplemental nursing facility Medicaid rates; provided further, that not less than $2,800,000 shall be expended as incentive payments to nursing facilities meeting the criteria determined by the MassHealth Nursing Facility Pay for Performance (P4P) Program in 114.2 CMR 6.07 and that have established and participated in a cooperative effort in each qualifying nursing facility between representatives of employees and management that is focused on implementing that criteria and improving the quality of services available to MassHealth members; and provided further, that any unexpended funds in this item shall not revert but shall be made available for the purposes of this item until June 30, 2012.”

SECTION 103B. Said item 4000-0640 of said section 2 of chapter 131, as most recently amended by said section 51A of said chapter 359, is hereby further amended by striking out the figure $288,500,000 and inserting in place thereof the following figure:- $318,300,000.”; and

in section 109, by striking out, in lines 2 to 4, inclusive, the words “shall not take effect for any group of employees covered by a collective bargaining agreement in effect as of July 1, 2011 by a governmental unit prior to” and inserting in place thereof the following words:- “which are inconsistent with specific dollar amount limits on co-payments, deductibles or other health care plan design features that are included in a collective bargaining agreement in effect on July 1, 2011 or an agreement under section 19 of said chapter 32B between an appropriate public authority and a public employee committee in effect on July 1, 2011 shall not take effect until”; and

in section 132A, by striking out subsections (a) and (b) and inserting in place thereof the following 2 subsections:-

“(a) There shall be a special commission to identify and evaluate potential sites suitable for the location of a replacement jail facility in Middlesex county, consistent with chapter 304 of the acts of 2008. The commission shall establish whether such sites are appropriate to adjoin facilities to house related criminal justice functions, including courts, pre-arraignment lockup facilities and special population facilities.

(b) The special commission shall also identify and evaluate potential sites in Middlesex county suitable for the placement of a correctional facility to house female pretrial detainees and female offenders sentenced to incarceration in the house of correction for 2½ years or less. The commission shall document the needs of the communities in the vicinity of such sites and of the individuals in those communities, and make recommendations relative to the most efficient and effective investment of public resources to meet all of those needs.”; and

by striking out section 140 and inserting in place thereof the following section:-

“SECTION 140. There shall be a special commission to study the commonwealth’s criminal justice system, to consist of: the secretary of public safety and security, who shall serve as the chair; the attorney general or a designee; the chief justice of the supreme judicial court or a designee; the president of the Massachusetts Sheriffs Association or a designee; the president of the Massachusetts District Attorneys Association or a designee; the chief counsel of the committee for public counsel services or a designee; a representative from the Massachusetts Bar Association; a representative from the Boston Bar Association; a representative from the Massachusetts Association of Criminal Defense Lawyers; 3 members of the house of representatives, 1 of whom shall be appointed by the minority leader; 3 members of the senate, 1 of whom shall be appointed by the minority leader; and 3 persons to be appointed by the governor, 1 of whom shall have experience in mental health and substance abuse and addiction treatment, 1 of whom shall have experience in providing services or supervision for offenders, and 1 of whom shall have experience in juvenile justice.

In reviewing the commonwealth’s criminal justice system, the commission shall examine a variety of areas including, but not limited to: the prisoner classification systems, mandatory minimum sentences, sentencing guidelines, the provision of cost-effective corrections’ healthcare, the probation system, the parole system, the operations of the sheriffs’ offices, overcrowding in prisons and houses of correction, recidivism rates, the treatment of juveniles within the criminal justice system, the role that mental health and substance abuse issues play, and best practices for reintegrating prisoners into the community.

The commission shall investigate the feasibility of developing an application for technical assistance from nationally recognized criminal justice reform programs with a data driven approach in order to develop bipartisan legislation that would reduce corrections spending and utilize the savings to reduce crime, strengthen public safety and fund other budget priorities; provided, however, that the commission shall give priority in applying for technical assistance to that which comes at no cost to the commonwealth.

The commission shall have access to information related to both adults and juveniles including, but not limited to, crime, arrest, conviction, jail, prison and probation and parole supervision data provided by state and local agencies.  As necessary, the commission shall: (i) meet with other affected stakeholders; (ii) partner with nongovernmental organizations that have expertise that can benefit the commission; and (iii) create advisory subgroups that include affected stakeholders as necessary.

The commission shall convene its first official meeting not later than September 1, 2011. The commission shall submit to the house and senate committees on ways and means, the joint committee on the judiciary, the joint committee on public safety and homeland security and the secretary of administration and finance quarterly reports that include the dates of its meetings, meeting participants not named to the commission and whether it has identified, applied for or been selected for any federal or other funds.

The commission shall issue a report not later than March 31, 2012, which shall include recommendations for legislation to reduce recidivism, improve overall public safety outcomes, provide alternatives for drug addicted and mentally ill defendants, increase communication and cooperation among public safety entities, reduce overcrowding of facilities, increase reliance upon evidence-based criminal justice methods, improve the collection and reporting of data on adults and juveniles, contain correction costs and otherwise increase efficiencies within the state’s public safety entities.”; and

by inserting after section 143 the following section:-

“SECTION 143A. Notwithstanding any general or special law, rule or regulation or performance standard to the contrary and in order to promote the protection of shorelines, coastal banks and beaches and coastal properties from the growing dangers of coastal erosion and to further gain experience necessary for the evaluation of innovative coastal protection technologies that have not previously been used in the commonwealth, the department of environmental protection may issue required permits, certifications or approvals for a pilot project to deploy a coastal bank and beach protection technology; provided, however, that such pilot project shall be required to seek and obtain all permits, certifications or approvals otherwise required by law, subject to the modifications authorized by this act; and provided further, that the pilot project shall be required to comply with existing laws, rules and regulations, performance standards and requirements to the maximum extent feasible. In issuing such permits, certifications or approvals, the department of environmental protection may issue reasonable permit conditions to minimize adverse impacts from the construction and operation of the pilot project and to protect down-drift properties and property owners including, but not limited to, conditions requiring the pilot project’s owners and operators to indemnify others for any property damage caused by the pilot project or requiring the establishment of a financial assurance mechanism to provide funds for the costs of decommissioning the pilot project or for repairing any property damage caused by the pilot project. The department of environmental protection, in conjunction with the office of coastal zone management in the executive office of energy and environmental affairs, shall monitor the success of the pilot project undertaken pursuant to this section and shall report its findings and recommendations for further regulatory or statutory changes to promote the use of innovative coastal protection technologies to the joint committee on environment, natural resources and agriculture not later than 2 years after the deployment of the pilot project.”; and

by striking out section 148 and inserting in place thereof the following section:-

SECTION 148. Nothing in this act shall be construed to alter, amend or affect chapter 36 of the acts of 1998, chapter 423 of the acts of 2002, chapter 27 of the acts of 2003 or chapter 247 of the acts of 2004.

by inserting after Section 149 the following section:-

“SECTION 149A.  Section 32A shall take effect as of January 1, 2009”; and

in section 150, by striking out, in line 1, the figure “2012” and inserting in place thereof the following figure:- “2011”; and

by inserting after section 150 the following 3 sections:-

“SECTION 150A. Sections 51A, 52A and 53A shall be effective for tax years beginning on or after January 1, 2011.

SECTION 150B.  Sections 66A and 66B shall take effect 180 days after the effective date of this act.

SECTION 150C.  Section 78C shall take effect on October 1, 2012.”