120-RICR-00-00-1
120-RICR-00-00-1. Employees’ Retirement System of Rhode Island and Municipal Employees’ Retirement System Regulations (version Amendment, 03/09/2017 to 03/09/2017)
120-RICR-10-00-1
TITLE 120 - TREASURY DEPARTMENT
CHAPTER 10- EMPLOYEES’ RETIREMENT SYSTEM OF RHODE ISLAND AND
MUNICIPAL EMPLOYEES’ RETIREMENT SYSTEM OF RHODE ISLAND
PART 1 - EMPLOYEES’ RETIREMENT SYSTEM OF RHODE ISLAND AND MUNICIPAL
EMPLOYEES’ RETIREMENT SYSTEM REGULATIONS
Table of Contents
1.1
General Administrative Rules of the Retirement Board .................................. 3
1.2
Rules Concerning the Procurement of Supplies .......................................... 15
1.3
Rules Concerning the Selection of Consultants ........................................... 31
1.4
Rules of Practice and Procedure for Hearings in Contested Cases ............. 37
1.5
Rules of Elections to Employees Retirement Board ..................................... 42
1.6
Service Credit Purchase Regulations .......................................................... 48
1.7
Rules Regarding the Use of R.I.G.L. 36-10-18 Multiple Beneficiaries .......... 75
1.8
Rules Regarding the Operation and Administration of Rhode Island General Laws
36-10-18, 36-10-19, 45-21-30 and 45-21-51 concerning the right to revoke or
modify a retirement option after retirement .................................................. 77
1.9
Rules pertaining to the application to receive an Ordinary or Accidental Disability
Pension ........................................................................................................ 79
1.10 Rules Regarding the Operation and Administration of Rhode Island General Laws
16-16-1(12) and 16-16-5 regarding creditable service as a teacher member of the
Employees Retirement System of Rhode Island .......................................... 85
1.11 Rules Regarding the Operation and Administration of Rhode Island General Laws
16-16-8.1, 36-9-41 and 45-21-64 regarding Purchase of service credits payable by
installment .................................................................................................... 86
1.12 Rules regarding Rhode Island General Laws §36-10-14 and §16-16-16 concerning
retirement for accidental disability and the definition of the terms of “aggravation”
and “reinjury”. ............................................................................................... 89
1.13 Definitions for Use in Administration of the Employees’ Retirement System of the
State of Rhode Island and the Municipal Employees’ Retirement System of the
State of Rhode Island, Regarding Rhode Island General Laws Title 45, Chapter
21.2, and the definitions of Police Official, Police Officer and Firefighter. ..... 90
1.14 Rhode Island Retirement Security Act of 2011 Regulations ........................ 93
1.15 Access to Public Records ............................................................................ 95
1.16 Regulation Regarding the Election of Rhode Island General Law §36-10-10.3 and
§45-21-17.2 Social Security Supplemental Option....................................... 97
1.17 Rules for Exceeding the Allowable Monetary Limits at a State College, University or
State School and State Operated Facility .................................................... 99
The rules and regulations published herein have been adopted by the Employees
Retirement Board pursuant to statutory authority found in R.I.G.L. 36-8-3. This manual is
not a substitute for the General Laws nor will its rules prevail should a conflict arise
between this manual and Chapters 16, 36 and 45 of the Rhode Island General Laws.
Finally, rules governing retirement are subject to change periodically either by statute of
the Rhode Island Legislature or by regulation of the Employees’ Retirement Board of
Rhode Island.
1.1
General Administrative Rules of the Retirement Board
1.1.1 General
A.
Definitions
1.
The word “board” or “Board” means the independent Retirement Board
created by Chapter 8 of Title 36 of the Rhode Island General Laws.
2.
The word “member” means a member of the independent Retirement Board
created by Chapter 8 of Title 36 of the Rhode Island General Laws.
3.
The word “fiduciary” means any person who exercises any discretionary
authority or discretionary control respecting management of the funds of any
retirement system managed or administered by the Retirement Board, or
who exercises any authority or control respecting management or
disposition of its assets, including, without limitation: any retirement board
member, alternate member, or any retirement board staff member who
exercises such authority or control.
4.
The word “alternate member” means an individual who is a designee of a
“member”, who is sworn in by the Board to either serve on the Board as
provided by RIGL§ 36-8-4 or a Subcommittee as provided by Section
1.1.1(K) of this regulation, when a member is unable to participate. The
alternate member possesses all the powers and responsibilities of the
member. All existing provisions of law and ERSRI regulations relating to
fiduciary duty, training, continuing education, attendance, conflict of interest,
eligibility and removal shall apply to alternate members in the same manner
as they apply to members. The alternate member’s designation must also
be entered into the minutes of the board or subcommittee meeting at which
the designation is made.
B.
Creation and Purpose
1.
There is created an Employees’ Retirement System of the State of Rhode
Island, and a Municipal Employees’ Retirement System of the State of
Rhode Island, for the purpose of providing retirement, survivor and disability
benefits for state employees, public school teachers and participating
municipal employees. The systems are governed and administered by the
Retirement Board, which is chaired by the General Treasurer.
2.
Statutory References: R.I.G.L. §§36-8-2, 36-8-3; 36-8-4, 36-8-4.1, 45-21-
32, 45-21.2-1 et seq., and 16-16-1 et seq.
C.
Membership
1.
The Board is authorized, created and established in the office of the general
treasurer as an independent retirement board which shall hold and
administer, in trust, the funds of the retirement systems in accordance with,
and as authorized by law.
2.
The board is composed of fifteen members in accordance with state law who
by virtue of their duties are to be considered fiduciaries of the system. The
membership of the retirement board shall consist of:
a.
the general treasurer or his or her designee who shall be a
subordinate within the general treasurer's office;
b.
the director of administration or his or her designee who shall be a
subordinate within the department of administration;
c.
a representative of the budget office or his or her designee from
within the budget office, who shall be appointed by the director of
administration;
d.
the president of the league of cities and towns or his or her designee;
e.
two (2) active state employee members of the retirement system or
officials from state employee unions to be elected by active state
employees;
f.
two (2) active teacher members of the retirement system or officials
from a teachers union to be elected by active teachers;
g.
one active municipal employee member of the retirement system or
an official from a municipal employees union to be elected by active
municipal employees;
h.
two (2) retired members of the retirement system to be elected by
retired members of the system;
i.
four (4) public members, all of whom shall be competent by training or
experience in the field of finance, accounting or pensions.
3.
Statutory References: R.I.G.L. §36-8-4.
D.
Board Terms
1.
Two (2) of the public members shall be appointed by the governor, one of
whom shall serve an initial term of three (3) years and one of whom shall
serve an initial term of four (4) years and until his or her successor is
appointed and qualified.
2.
Two (2) of the public members shall be appointed by the general treasurer,
one of whom shall serve an initial term of three (3) years and one of whom
shall serve an initial term of four (4) years and until his or her successor is
appointed and qualified.
3.
Thereafter, the term of these four (4) public members shall be for four (4)
years or until their successors are appointed and qualified.
4.
Ex-officio members serve until such time as their successors are appointed
and qualified. Subject to sections 1.1.1(D)(1) and (2) above, all appointed
members serve a term of 4 years or until such time as their successors are
appointed and qualified. The term of office for elected members shall be for
four (4) years, and election of their successors shall be administered by the
board prior to the expiration of the terms of the incumbent elected members.
5.
Statutory Reference: R.I.G.L. §36-8-4
E.
Board Authority and Duties
1.
The board shall:
a.
oversee and be responsible for the proper operation of the
Retirement System, including strategic planning and enterprise risk
management;
b.
establish all rules and regulations for the administration of the system;
c.
appoint the Executive Director, who shall serve at its pleasure,
establish goals for and evaluate the Executive Director, and make
recommendations as to the compensation of the Executive Director;
d.
approve and subscribe to the code of Fiduciary Responsibility as
outlined in these rules;
e.
approve all applications for ordinary and accidental disability
retirement;
f.
rule on administrative decisions as provided for in Section 1.4 of the
promulgated rules of the Employees’ Retirement System;
g.
approve submission to the governor on or before December 1st of
each year, an annual financial report for the prior fiscal year;
h.
rule on any negotiated agreement entered into after June 1, 1992,
between any state or municipal agency or department and an
employee or employees, whose conditions are contrary to the general
laws or the rules, regulations, and policies as adopted and
promulgated by the retirement board and shall be null and void unless
and until approved by formal action of the retirement board for good
cause shown;
i.
oversee and approve the securing of the services of an actuary and
physicians;
j.
approve actuarial policies (including expected rate of return);
k.
approve the assumptions for the yearly preparation of an actuarial
valuation;
l.
monitor interaction between actuarial assumptions and investment
practices;
m.
approve a yearly budget of the retirement system, excluding those
monies allocated for Treasury personnel assigned to the retirement
system;
n.
review yearly audits of the retirement system;
o.
designate such subcommittees as may be necessary to carry out the
duties and obligations of the Board;
p.
oversee communications with System participants, employers and
other stakeholders;
q.
approve topics for board discussion with the State Investment
Commission; and
r.
monitor litigation and legal issues involving the Board.
s.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4, 36-8-4.1, 36-
8-8, 36-8-9, 36-8-10, 36-8-
2.
The Board has retained the authority described above unless such authority
has been delegated to subcommittees or the Executive Director. Regarding
Board delegation of authority, the following definitions shall apply:
a.
the words "conduct" "appoint," "designate" or "rule" when ascribed to
the Board, mean that the Board performs the task described.
b.
The words "approve" or "set," when ascribed to the Board, mean that
the Board retains final decision authority on prudently delegated
activities to approve or set policies and limits. Once approved, the
Board must then oversee to ensure that actual practice reflects the
Board's policies.
c.
The word "oversee," when ascribed to the Board, means that the
Board has a minimum legal duty to monitor and question. The Board
reserves with power (with subcommittee assistance) to oversee that
prudently delegated authorities are properly exercised, appropriate
policies and controls are in place and delegates are held accountable
for
performance. "Oversee" does not constitute close supervision
and day-to-day management.
F.
Retirement Board Attendance
1.
Board members, elected or appointed, shall be required to attend a
minimum of 2/3rds of regularly scheduled meetings on a calendar basis, to
be evaluated at the annual meeting. Excused absences shall be granted
under the following conditions:
a.
The member has notified the Executive Director at least 10 business
days before the scheduled meeting;
b.
The member is involved in an emergency beyond their control; or
c.
The member contracts an illness the day of the meeting and notifies
the Executive Director before the start of the meeting.
d.
The member count of absences will not be on a cumulative basis.
The attendance requirement shall separately apply to the meetings of
the Retirement Board, and to the meetings of any subcommittee that
the member serves on, e.g., members are expected to attend a
minimum of 2/3rds of regularly scheduled monthly Retirement Board
meetings, and 2/3rds of the regularly scheduled meetings of any
subcommittee the member may serve on.
e.
If a Board member does not meet the attendance standard, either
with respect to attendance at Board meetings or attendance at
subcommittee meetings, the Board shall direct the Executive Director
to put the member on official notice of the excessive absenteeism,
and will take the following actions for a first offense:
f.
The Executive Director shall furnish the Board with a schedule of
attendance of the affected member at the annual meeting, as of the
annual meeting.
g.
Upon review, the Board will officially notify the member in writing of
the excessive absenteeism. The official notification shall state the
members’ deficient attendance record, and shall direct the member to
comply with the attendance standard for the following year.
2.
The official notification shall also state that if the member does not comply
with the attendance standard during the next year, the Board will seek to
notify either the appointing authority or constituent body, whichever is
applicable, of the deficiency in attendance.
3.
If a member has a second offense, the Board shall again officially notify the
member in writing of the excessive absenteeism. The official notification
shall state the members’ deficient attendance record and shall direct the
member to comply with the attendance standard. Additionally, the Board
shall direct the Executive Director to notify either the appointing authority or
constituent body, whichever is applicable, of the continuing deficiency in
attendance.
4.
With respect to public members, continued unexcused excessive
absenteeism shall be considered cause for removal by the chair under
R.I.G.L. §36-8-4(e).
5.
Statutory Reference: R.I.G.L. §§36-8-2; 36-8-3 and 36-8-4.
G.
Reimbursement of Board Expenses
1.
Board members may be reimbursed for special expenses incurred as a
result of his/her membership on the board, but may not be reimbursed for
travel to and from all regular meetings of the Board or its Subcommittees.
2.
Statutory Reference: R.I.G.L. §36-8-7.
H.
Board Education and Professional Development
1.
The Retirement Board’s education policy shall be established and updated
from time to time, as deemed necessary and appropriate by the Retirement
Board Governance Subcommittee with approval of the Retirement Board.
Such education shall be required of all members and alternate members of
the Board and its subcommittees. The Executive Director shall implement
the policy and develop a budget as directed by the Governance
Subcommittee, with approval of the Retirement Board. The Executive
Director shall maintain a list of selected conferences and workshops that will
increase understanding of public pension administration and the Board
members’ roles as fiduciaries of the Retirement System.
2.
Board members shall be reimbursed for necessary expenses incurred as a
result of attendance at such approved conferences or workshops, but in no
event shall expenses in excess of $1,500 per fiscal year per member be
considered necessary, unless advance approval is obtained from the Board
Chair.
3.
Statutory Reference: R.I.G.L. §36-8-2, 36-8-3, 36-8-4.1 and 36-8-7.
I.
Duties of the Executive Director
1.
The Executive Director shall:
a.
be in charge of administration of the Retirement System, and shall
serve as secretary to the Retirement Board;
b.
be responsible for the formulation of a monthly agenda and board
minutes;
c.
be responsible for the day-to-day administration of the retirement
system including the promulgation of administrative decisions;
d.
submit to the Board for its approval an annual budget for the
administrative operation of the retirement system;
e.
provide an organizational chart of the retirement system to the board;
f.
make available to the Board the findings of all external and internal
audits of the Retirement System;
g.
secure the services of a medical advisor and such physicians, as
required, to conduct medical examinations as required by law or as
requested by the Retirement Board or the Disability Subcommittee;
h.
secure the services of lawyers, as necessary, to serve as hearing
officers in conjunction with Section 1.4 of the promulgated rules of the
Employees’ Retirement System;
i.
represent the system as necessary before the Legislature and the
State Investment Commission (SIC);
j.
represent the system and the State of Rhode Island within the
National Association of State Retirement Administrators and other
national public retirement organizations;
k.
appoint an Assistant Executive Director, who shall serve at the
pleasure of the Executive Director; establish goals for and evaluate
the Assistant Executive Director on an annual basis; and make
recommendations as to the compensation of the Assistant Executive
Director, all in consultation with the Board prior to any final action;
l.
perform such other duties as assigned by the Board or required by its
committees.
2.
Statutory Reference: R.I.G.L. §36-8-9.
J.
Officers
1.
There shall be a Vice-Chairperson of the board who shall be elected by the
Board membership no later than July of the year following the Board
elections. The Vice-Chairperson shall serve a four-year term.
2.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4, 36-8-9.
K.
Committees
1.
Subcommittee Composition.
a.
The Board Chairperson, after consultation with the Board, will appoint
five board members to each of the standing committees and special
committees, and shall serve on all committees ex-officio. The Board
Chairperson shall recommend a chairperson for each of the standing
committees and special committees, with the advice and consent of
the Board. Each committee shall select a vice chairperson. The
chairperson shall preside at all meetings. In the absence of the
chairperson, the vice chairperson shall preside. All board members
except the public representatives will be allowed to send an alternate
member to represent him/her on such standing committees, with the
exception of the Disability Subcommittee which shall be subject to
Section 1.9(K) and to vote provided a written proxy statement has
been entered. In the case of all elected members, the alternate
member must be a member of the membership group of the elected
member. At any time the Board may amend committee charters to
increase or decrease the number of members to standing or special
committees. For the avoidance of doubt, the terms “subcommittee”
and “committee” are used interchangeably.
b.
Committee assignments shall be made no later than July following an
election of elected retirement board members. Committee
assignments may be made every two years or at other times as
deemed necessary by the Board Chairperson.
2.
Standing Subcommittees.
a.
To facilitate the operation of the Board, the following standing
committees are established:
(1)
Disabilities Subcommittee: the Subcommittee on Disabilities
shall review all applications for ordinary and accidental
disability allowances, and make recommendations for the
disposition of claims, and shall conduct hearings as required.
(2)
Governance Subcommittee: the Governance Subcommittee
formulates rules and regulations that govern the policy,
practices, and procedures of the Retirement System, and
periodically reviews such; reviews all such recommendations
and suggestions regarding amendments to the retirement laws
and shall make such recommendations as it deems
appropriate, with approval of the Retirement Board, to
interested legislators for consideration by the General
Assembly; oversees policies and requirements for training and
evaluating Board members; and oversees other Board
governance matters.
(3)
Administration Subcommittee: The Administration
Subcommittee shall have those responsibilities as set forth in
the Retirement System’s Regulations Sections 1.2 and 1.3.
The Administration Subcommittee shall also assist the Board in
fulfilling its oversight responsibilities with respect to
procurement, financial planning, budgeting, accounting,
business continuity, and information technology and data
security. In addition, the Administration Subcommittee is to
assist the Board in fulfilling its oversight responsibilities with
respect to the financial reporting processes; the system of
internal controls; and the internal and external audit processes.
The Administration Subcommittee’s responsibility is one of
oversight, recognizing that the System is responsible for
preparing the financial statements and that the Auditor General
is statutorily responsible for compliance auditing consistent
with R.I.G.L. §36-8-19.
(4)
Member Services Subcommittee: The primary purpose of the
Member Services Subcommittee is to assist the Board in
fulfilling its oversight responsibilities with respect to retirement
benefit administration; retirement system performance; and
communications with members, employers and other
stakeholders.
3.
Subcommittee Authority.
a.
The subcommittees shall have such authority as described herein, in
their respective subcommittee charters, and as the Board may
determine from time to time. The subcommittees may propose certain
actions to the Board for approval but shall not have authority to act on
behalf of the Board unless specifically authorized to do so by the full
Board. Notwithstanding anything else provided herein, neither the
Board nor any subcommittee shall take any action that is inconsistent
with applicable law.
4.
Strategic Plan.
a.
At least annually, the Executive Director shall lead the Board in
developing and/or updating a comprehensive strategic plan which
identifies the Board's strategic long and short-term priorities (the
"Strategic Plan"). Upon approval of the Strategic Plan by the Board,
the Executive Director shall coordinate with the Board and
subcommittees to implement the Plan. The Board shall identify
reasonable timeframes for completion. The subcommittee chairs shall
oversee the work identified in the Strategic Plan being conducted by
their respective subcommittees.
5.
Agenda Calendar.
a.
The Executive Director shall collaborate with the Chair and
subcommittee chairs to develop an annual calendar of Board and
subcommittee meetings (the "Agenda Calendar"). The Agenda
Calendar shall identify one-time and recurring Board and
subcommittee obligations, including, without limitation, those
obligations identified in Chapters 8-10 of Title 36 of the Rhode Island
General Laws, System Regulations, the Strategic Plan, subcommittee
charters and Board policies. The Agenda Calendar shall be annually
approved by the Board. The Governance Subcommittee shall
generally oversee development and maintenance of the Agenda
Calendar.
6.
Subcommittee Reporting
a.
Subcommittee chairs shall report to the Board on subcommittee
deliberations, recommendations and actions. Subcommittee meeting
minutes shall be distributed to all Board Members.
7.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4, 36-8-9, 36-8-10.
L.
Special Committees
1.
The Board may establish special committees to deal with particular issues
as they arise. Any such special committee established by the Board will be
discharged once its tasks have been completed. Any Board Member may
propose formation of a special committee for the Board’s consideration.
2.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4, 36-8-9, 36-8-10.
M.
Code of Ethics for Fiduciaries
1.
Anyone deemed to be a fiduciary shall subscribe and conform to the
following code of ethics:
a.
Fiduciaries should conduct themselves with integrity and act in an
ethical manner in their dealings with the public, retirement board,
employers, employees, and fellow fiduciaries.
b.
Fiduciaries should conduct themselves and should encourage other
fiduciaries to perform their functions in a professional and ethical
manner that will reflect credit on themselves and the other fiduciaries.
c.
Fiduciaries should act with competence and should strive to maintain
and improve their competence and that of other fiduciaries.
d.
Fiduciaries should use proper care and exercise independent
professional judgment.
e.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4, 36-8-4.1, 36-
8-17.
N.
Standard of Conduct for Fiduciaries
1.
Every fiduciary shall:
a.
Discharge his or her duties for the exclusive purpose of providing
benefits to retirement system members and their beneficiaries;
b.
Act with the care, skill, prudence and diligence under the
circumstances then prevailing that a prudent person acting in a like
capacity and familiar with such matters would use in the conduct of an
enterprise of like character and with like aims;
c.
Operate in accordance with the Rhode Island General Laws on
retirement as well as promulgated regulations by the Retirement
Board.
d.
No fiduciary shall:
(1)
Deal with retirement system assets for his or her own account
or in his or her own interest;
(2)
Act in any manner affecting the retirement systems on behalf
of any person or organization whose interests are adverse to
the interests of the systems, their members or beneficiaries;
(3)
Receive anything of value for his or her own personal account
from any person or organization in connection with a
transaction involving retirement system assets. A fiduciary who
is a member of a retirement system shall not be deemed to
have dealt with retirement system assets for his or her own
account, or in his or her own interest or to have received
anything of value for his or her own personal account, to the
extent that the fiduciary derives a benefit as a result of his/her
membership which is not unique and is no greater than the
benefit derived by other similarly situated members of the
retirement systems.
2.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4, 36-8-4.1, 36-8-17.
1.1.2 Meetings
A.
Meeting Conduct
1.
The Board Chairperson will preside at all Board meetings, unless he/she
chooses to relinquish the chair to the Vice-Chairperson. In the absence of
the Chairperson, the Vice-Chair shall assume all of the duties and
responsibilities of the Chair. The Chairperson may speak in discussion
without relinquishing the chair and may make motions and vote on all
questions put to the members.
2.
All meetings of the Board shall be conducted in accordance with R.I.G.L.
§42-46-1, et seq. Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-3.1,
36-8-4, 36-8-6.
B.
Annual Meeting
1.
One Board meeting each year, as designated by the meeting schedule
approved annually by the Board, shall be known as the annual meeting of
the Board. The Board may change the date of the annual meeting by a
majority vote of the members present and voting at a meeting at which a
quorum is present, subject to advance notice requirements imposed by
R.I.G.L. §42-46-6.
2.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4.
C.
Regular Meetings
1.
Regular meetings of the Board shall be held on the second Wednesday of
each month unless re- scheduled by the Chairperson. The Board may
change the date of any regular meeting by a majority vote of the members
present and voting at a meeting at which a quorum is present, subject to
advance notice requirements imposed by R.I.G.L. §42-46-6.
2.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4.
D.
Special Meetings
1.
Special meetings of the Board may be called upon affirmative vote by a
majority of the Board or by the Board Chairperson by written notice to the
Board. The date, time, place, and purpose of any special meeting shall be
given to every board member at least three (3) days prior to the meeting
whenever practicable.
2.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4
E.
Meeting Notice, Minutes and Agenda
1.
The Executive Director shall cause a notice of each regular or annual Board
meeting along with the previous month's minutes, agenda, and draft
agendas for any upcoming subcommittee meeting (subject to Section
1.1.1(K) above), to be mailed or made available electronically to each
member at least seven (7) days prior to such meeting. Additionally, the
Executive Director shall distribute meeting minutes of the Board and any of
its Subcommittees to all members of the Board within twenty (20) days of
any meeting held whether in draft or final form.
2.
Statutory Reference: R.I.G.L. §§36-8-2, 36-8-3, 36-8-4.
F.
Quorum and Decision
1.
Each member of the board shall be entitled to one vote. A majority of the
board shall constitute a quorum and all actions of the board shall be by a
majority vote of the members present and voting at a meeting at which a
quorum is present. The board shall keep a record of all the proceedings
which shall be open to public inspection.
2.
Statutory Reference: R.I.G.L. §36-8-6
G.
Tie Votes
1.
In the event of a tie vote of a quorum present and voting on a contested
matter, the matter will automatically be placed on the agenda of the next
Retirement Board meeting.
2.
In the event of a tie vote of a quorum present and voting on a contested
matter rescheduled from a prior meeting, the Retirement Board may vote to
postpone and re-consider the matter at a subsequent hearing, when a larger
number of voting members may be present. If no such vote to postpone and
re-consider is taken, or if a vote to postpone and re-consider the matter at a
later date fails, the underlying action appealed from will be deemed affirmed.
1.2
Rules Concerning the Procurement of Supplies
1.2.1 General Provisions
A.
Introduction.
1.
The Employees’ Retirement System of the State of Rhode Island and the
Municipal Employees’ Retirement System of the State of Rhode Island (the
“System”) is authorized to enter into contracts for the procurement of supplies
and services. The purpose of these Rules is to create an equitable and
efficient procurement system.
B.
Definitions.
1.
The words defined in this subsection shall have the following meanings
wherever they appear in these Rules, unless the context in which they are
used clearly requires a different meaning.
a.
“Business” shall mean any corporation, partnership, individual, sole
proprietorship, joint stock company, joint venture, or any other legal
entity through which business is conducted.
b.
“Change order” shall mean a written order of the System or a vendor
directing or allowing the vendor to make changes authorized by the
contract without the consent of the vendor or the System.
c.
“Contract” shall mean all types of agreements, including orders, for
the purchase or disposal of supplies, services, construction or any
other items. It shall include awards; contracts of a fixed-price, cost,
cost-plus-a-fixed fee, or incentive type but shall not mean a cost plus
a percentage of cost, contracts providing for the issuance of job or
task orders, leases; letter contracts and purchase orders. “Contract”
shall include supplemental agreements with respect to any of the
foregoing. “Contract” does not include any labor contract with
employees of the System or employees of any state agency.
d.
“Contract modification” shall mean any written alteration in the
specifications, delivery point, rate of delivery, contract period, price,
quantity, or other contract provisions of any existing contract, whether
accomplished by unilateral action in accordance with a contract
provision, or by mutual action of the parties to the contract. It shall
include bilateral actions such as change orders, such as supplemental
agreements, and unilateral actions, administrative changes, notices of
termination, and notices of the exercise of a contract option.
e.
“Established catalog price” shall mean the price included in the most
current catalog, price list, schedule, or other form that is regularly
maintained by the manufacturer or vendor of an item, is either
published or otherwise available for inspection by customers, states
prices at which sales are currently or were last made to a significant
number of buyers constituting the general buying public for that item
and states prices which are obtained from the most recent industry
wide publications and informational journals if any.
f.
“Executive Director” shall mean the person appointed by the
Retirement Board as executive director pursuant to Section 36-8-9 of
the Rhode Island General Laws.
g.
“Evaluated bid price” shall mean the dollar amount of a bid after bid
price adjustments are made pursuant to objective measurable criteria,
set forth in the invitation for bids, which affect the economy and
effectiveness in the operation or use of the product, such as reliability,
maintainability, useful life and residual value.
h.
“Invitation for bids” shall mean all documents, whether attached or
incorporated by reference, utilized for soliciting bids in accordance
with the procedures set forth in Section 1.2.2(A)(2) of these Rules.
i.
“Negotiation” shall mean contracting by either the method set forth in
Sections 1.2.2(A)(3), 1.2.2(A)(4), or 1.2.2(A)(5).
j.
“Person” shall mean any business, individual, organization or group of
individuals.
k.
“Procurement” shall mean the purchasing, buying, renting, leasing or
otherwise obtaining of any supplies or services, and all functions that
pertain to the obtaining of any supply or service item, including all
phases of contract administration.
l.
“Procurement Committee” means a committee composed of five (5)
members of the Retirement Board who shall be appointed by the Chair
of the Retirement Board for terms of one (1) year in January of each
year, provided, however, that the members of such committee first
appointed after the adoption of these regulations shall serve until
December 31st of the year next following the year of their
appointment. Any vacancies in the committee shall be filled by the
Chair. The committee shall act by majority vote and a majority shall
constitute a quorum.
m.
“Request for proposals” shall mean all documents, whether attached
or incorporated by reference, utilized for soliciting proposals in
accordance with the procedures set forth in Sections 1.2.2(A)(3),
1.2.2(A)(4), or 1.2.2(A)(5) of these Rules.
n.
“Responsible bidder or offeror” shall mean a qualified bidder who has
the capability in all respects including financial responsibility to
perform fully the contract requirements, and the integrity and reliability
which will assure good faith performance.
o.
“Responsive bidder” shall mean a person who has submitted a bid or
proposal which conforms in all material respects to the invitation for
bids, so that all bidders may stand on equal footing with respect to the
method and timeliness of submission and as the substance of any
resulting contract. A bidder who submits a bid based on alternative
specifications to those contained in the invitation to bid will be
responsive only if, in the judgment of the System, the alternative
specifications meet the performance objectives of the System with
respect to the item or service to be purchased and the invitation to bid
states that alternative specifications will be considered.
p.
“Retirement Board” or “Board” means the board established pursuant
to Section 36-8-3 of the Rhode Island General Laws to administer the
System.
q.
“Services” shall mean the rendering, by a vendor, of its time and effort
rather than the furnishing of a specific-end product, other than reports
which are merely incidental to the required performance of services.
“Services” does not include labor contracts with employees of state
agencies.
r.
“Small business” shall mean a person, partnership, corporation or
other form of business entity independently owned and operated, not
dominant in its field and which employs 500 or fewer employees and
has its principal place of business in the State.
s.
“State” shall mean the State of Rhode Island and any of its
departments or agencies and public agencies.
t.
“Supplemental agreement” shall mean any contract modification
which is accomplished by the mutual action of the parties.
u.
“Supplies” shall mean all property, excluding real property or leases
thereof.
v.
“Vendor” shall mean any person who provides supplies, services, or
construction under a contract.
C.
Application of Rules.
1.
These Rules shall apply to all expenditures of funds by the System under a
contract, except labor contracts between the System and employees of the
System or employees of the State, or other contracts between the System
and the State or other governments. The provisions of these Rules shall be
considered to be incorporated in all contracts of the System to which they
apply.
2.
Notwithstanding anything contained in this Section 1.2.1(C), the “Rules of
the Employees’ Retirement System of the State of Rhode Island and the
Municipal Employees’ Retirement System of the State of Rhode Island for
the Selection of Consultants” shall govern the selection of consultants by the
System.
D.
Procurement Responsibilities of the System.
1.
For purchases equal to or in excess of 50 thousand dollars ($50,000), the
Retirement Board shall have all of the authority of the “chief purchasing
officer” of the System under Chapter 2 of Title 37 of the General Laws of
Rhode Island and shall retain ultimate decision-making authority over
procurements. For purchases equal to or in excess of twenty thousand
dollars ($20,000), but not more than fifty thousand dollars ($50,000), a
majority of the Procurement Committee shall have all of the authority of the
“chief purchasing officer” of the System under Chapter 2 of Title 37 of the
General Laws of Rhode Island and shall retain ultimate decision-making
authority over procurements. For purchases of twenty thousand dollars
($20,000) or less, the Executive Director shall have all of the authority of the
Chief Purchasing Officer. Accordingly, the term “System” shall be used in
these Rules to designate: (a) the Executive Director for purchases of twenty
thousand dollars ($20,000) or less, or (b) the Procurement Committee or the
Retirement Board acting in the capacity of chief purchasing officer of the
System.
E.
Public Access to Procurement Records.
1.
Except as otherwise provided for herein, all procurement information of the
System shall be a public record to the extent provided in Chapter 2 of Title
38 (Access to Public Records) of the General Laws of Rhode Island and
shall be available to the public as provided in such Act.
F.
Procurement Decisions of the System.
1.
Every determination required by these Rules shall be in writing and based
upon written findings of fact by the System. These determinations and
written findings shall be retained in an official contract file in the offices of the
System.
1.2.2 Source Selection and Contract Formation
A.
Source Selection.
1.
Methods of Source Selection. Except as otherwise authorized by law or by
Rule of the System, all contracts of the System shall be awarded by:
a.
competitive-sealed bidding (Section 1.2.2(A)(2));
b.
competitive negotiation (Sections 1.2.2(A)(3) and 1.2.2(A)(4));
c.
noncompetitive negotiation (Section 1.2.2(A)(5));
d.
small purchase procedures (Section 1.2.2(A)(6)); or
e.
master price agreements (Section 1.2.2(A)(7));
2.
Competitive-Sealed Bidding.
a.
Contracts exceeding the amount provided by Section 1.2.2(A)(6) of
these Rules shall be awarded by competitive-sealed bidding unless
the System determines in writing that this method is not practicable.
Factors to be considered in determining whether competitive-sealed
bidding is practicable shall include whether:
(1)
specifications can be prepared that permit an award on the
basis of either the lowest bid price or the lowest responsible
evaluated bid price; and
(2)
the available sources, the time and place of performance, and
other relevant circumstances as are appropriate for the use of
competitive-sealed bidding.
b.
The invitation for bids shall state whether an award shall be made on
the basis of the lowest responsible bid price or the lowest responsible
evaluated or responsive bid price. If the latter basis is used, the
objective measurable criteria to be utilized shall be set forth in the
invitation for bids, if available.
c.
Public notice of the invitation for bids shall be given by publication in a
newspaper of general circulation in the State or a consortium of
newspapers, which publish their newspapers at least once each week
and have a circulation in one or more communities, not less than
seven (7) days nor more than twenty-one (21) days before the date set
for the opening of the bids. The System may make a written
determination that the twenty-one (21) day limitation needs to be
waived. The written determination shall state the reason why the
twenty-one (21) day limitation is being waived and shall state the
number of days, giving a minimum and maximum, before the date set
for the opening of bids when public notice is to be given.
d.
Bids shall be opened publicly at the time and place designated in the
invitation for bids. Each bid, together with the name of the bidder,
shall be recorded and an abstract made available for public
inspection. Subsequent to the awarding of the bid, all documents
pertinent to the awarding of the bid shall be made available and open
to public inspection and retained in the bid file.
e.
The contract shall be awarded with reasonable promptness by written
notice to the responsive and responsible bidder whose bid is either
the lowest bid price or lowest evaluated bid price.
f.
Correction or withdrawal of bids will be allowed only in the following
circumstances:
(1)
a bidder will not be permitted to correct a bid mistake after bid
opening that would cause such bidder to have the low bid
unless the mistake is clearly evident from examining the bid
document, for example, errors in addition.
(2)
an otherwise low bidder may be permitted to correct a material
mistake of fact in its bid, including price, when the intended bid
is
(3)
obvious from the bid document or is otherwise supported by
proof that has evidentiary value. A low bidder will not be
permitted to correct a bid for mistakes or errors in judgment.
(4)
in lieu of bid correction, a low bidder alleging a material
mistake of fact will be permitted to withdraw its bid when there
is reasonable proof that a mistake was made and the intended
bid cannot be ascertained with reasonable certainty.
(5)
after bid opening, an otherwise low bidder shall not be
permitted to make exceptions to the bid conditions or
specifications which affect price or substantive obligations;
however, such bidder shall be permitted the opportunity to
furnish other information called for by the invitation for bids and
not supplied due to oversight, so long as it does not affect
responsiveness.
3.
Competitive Negotiation.
a.
When the System determines in writing that the use of competitive-
sealed bidding is not practicable, and except as provided in
Sections 1.2.2(A)(5), 1.2.2(A)(6) and 1.2.2(A)(7) of these Rules, a
contract may be awarded by competitive negotiation.
b.
Adequate public notice of the request for proposals shall be given in
the same manner as provided in Section 1.2.2(A)(2)(c) of these
Rules.
c.
The request for proposals shall indicate the relative importance of
price and other evaluation factors.
d.
Award shall be made to the responsible offeror whose proposal is
determined in writing to be the most advantageous to the System
taking into consideration price and the evaluation factors set forth in
the request for proposals.
e.
Written or oral discussions shall be conducted with all responsible
offerors who submit proposals determined in writing by the System to
be reasonably susceptible of being selected for award. Discussions
shall not disclose any information derived from proposals submitted
by competing offerors. Discussions need not be conducted:
(1)
with respect to prices, where such prices are fixed by law or
regulation, except that consideration shall be given to
competitive terms and conditions; or
(2)
where time of delivery or performance will not permit
discussions; or
(3)
where it can be clearly demonstrated and documented from
the existence of adequate competition or accurate prior cost
experience with
(4)
the particular supply, service, or construction item, that
acceptance of an initial offer without discussion would result in
fair and reasonable prices, and the request for proposals
notifies all offerors of the possibility that award may be made
on the basis of the initial offers.
4.
Negotiations After Unsuccessful Competitive-Sealed Bidding.
a.
Contracts may be competitively negotiated when it is determined in
writing by the System that the bid prices received by competitive-
sealed bidding under Section 1.2.2(A)(2) of these Rules either are
unreasonable as to all or part of the requirements, or were not
independently reached in open competition, and for which:
(1)
each competitive bidder has been notified of the intention to
negotiate and is given reasonable opportunity to negotiate; and
(2)
the negotiated price is lower than the lowest rejected bid by
any competitive bidder; and
(3)
the negotiated price is the lowest negotiated price offered by a
competitive offeror.
b.
In the event that all bids submitted pursuant to competitive-sealed
bidding under Section 1.2.2(A)(2) of these Rules result in bid prices in
excess of the funds available for the purchase, and the System
determines in writing:
(1)
that there are no additional funds available from any source so
as to permit an award to the lowest responsive and
responsible bidder, and
(2)
the best interest of the System will not permit the delay
attendant to a resolicitation under revised specifications, or for
revised quantities, under competitive-sealed bidding as
provided in Section 1.2.2(A)(2) of these Rules, then a
negotiated award may be made as set forth in subsection (c)
or (d) of this Section 1.2.2(A)(4).
c.
Where there is more than one bidder, competitive negotiations
pursuant to Section 1.2.2(A)(3) of these Rules shall be conducted
with the three (two if there are only two) bidders determined in writing
to be the lowest responsive and responsible bidders to the
competitive-sealed bid invitation. Such competitive negotiations shall
be conducted under the following restrictions:
(1)
if discussions pertaining to the revision of the specifications or
quantities are held with any potential offeror, all other potential
offerors shall be afforded an opportunity to take part in such
discussions; and
(2)
a request for proposals, based upon revised specifications or
guaranties, shall be issued as promptly as possible, shall
provide for an expeditious response to the revised
requirements, and shall be awarded upon the basis of the
lowest bid price or lowest evaluated bid price submitted by any
responsive and responsible offeror.
d.
When after competitive-sealed bidding it is determined in writing that
there is only one responsive and responsible bidder, a
noncompetitive negotiated award may be made with such bidder in
accordance with Section 1.2.2(A)(5) of these Rules.
5.
Sole Source Procurement and Emergency Procurements.
a.
A contract may be awarded for a supply or service item without
competition when the System determines, in writing, that there is only
one source for the required supply or service item.
b.
Notwithstanding any other provision of these Rules, the System may
make emergency procurements when there exists a threat to public
health, welfare or safety under emergency conditions, provided that
such emergency procurements shall be made with such competition
as is practicable under the circumstances. A written determination of
the basis for the emergency and for the selection of the particular
vendor shall be included in the contract file.
6.
Small Purchases. Procurements, not to exceed an aggregate amount of
seventy-five hundred dollars ($7,500) for all purchases other than
construction may be made at the established catalogue or market price of
commercial items sold in substantial quantities to the general public. In the
case of all other small purchases as defined in this section, the System shall
procure items in any manner it believes reasonable. Where practicable, the
System shall make inquiries from at least three sources to determine what is
a reasonable price. The inquiries may be made by telephone. No such
inquiries are required when the price of the item or service is not expected to
exceed one hundred dollars ($100). Procurement requirements shall not be
artificially divided by the System so as to constitute a small purchase under
this section.
7.
Master Price Agreements. Anything in these Rules to the contrary
notwithstanding where any supplies to be purchased by the System are
covered by a Master Price Agreement between a vendor and the Division of
Purchasing of the Department of Administration of the State, such supplies
may be purchased by the System without notice or otherwise following the
procedures set forth in Sections 1.2.2(A)(2) to 1.2.2(A)(6), inclusive, hereof.
8.
Waiver of Information in Bids and Offers. The System may waive
informalities in any bid or offer.
B.
Cancellation of Invitation for Bids and Requests for Proposals.
1.
The System may cancel an invitation for bids, a request for proposal, or
negotiations in connection with the procurement of any item or service, or
may reject all bids or proposals if the System determines that such action is
in the best interests of the System. No such cancellation or rejection shall
prevent the System from resoliciting supplies and services for the same
project on the same or different terms.
C.
Responsibility of Bidders and Offerors.
1.
Determination of Responsibility. A written determination of responsibility of a
bidder or offeror shall be made by the Executive Director in connection with
the award of any contract. The Executive Director may make reasonable
inquiries to determine responsibility. The failure of any bidder or offeror to
promptly supply information in connection with such inquiries may be
grounds for determining that such person is not responsible. Except as
otherwise provided by law, information furnished by any bidder or offeror
pursuant to this Section 1.2.2(C)(1) may not be disclosed by the System to
any other person without the prior written consent of such person.
2.
Annual Statement of Qualifications. Persons interested in contracting with
the System shall be encouraged by the Executive Director to submit to the
System annually a statement of qualifications. Solicitation mailing lists of
potential vendors shall include but need not be limited to vendors who have
submitted annual statements of qualifications.
3.
Cost or Pricing Data.
a.
A vendor shall submit to the System cost or pricing data and shall
certify that, to the best of its knowledge and belief, any cost or pricing
data required to be submitted was accurate, complete, and current as
of a mutually determined specified date prior to the date of the pricing
of any negotiated contract where the total contract price is expected
to exceed fifty thousand dollars ($50,000), or the pricing of any change
order or contract modification which is expected to exceed twenty-five
thousand dollars ($25,000).
b.
The System may require vendor certified cost or pricing data in
connection with any bid, proposal or contract without regard to the
price ceilings set forth above if the System determines that such cost
or price data is necessary to ensure a fair and reasonable contract
price to the System.
c.
Where certified cost or pricing data must be submitted in connection
with any contract, change, or modification thereto, the price to the
System, including profit or fee, shall be adjusted to exclude any
significant sums by which the System finds that such price was
increased because the vendor furnished cost or pricing data, as of the
date agreed upon between the parties, that was inaccurate,
incomplete, or not current.
d.
The System may elect not to require certified cost or pricing data
where the price negotiated is based on adequate price competition,
established catalog or market prices of commercial items sold in
substantial quantities to the general public, prices set by law or
regulation, or in exceptional cases where the System determines that
the requirements of this section may be waived by the System, and
the reasons for such waiver are stated in writing.
D.
Contracts.
1.
Types of Contracts. The System may enter into any type of contract which
will promote the best interests of the System subject to the following rules:
a.
Cost plus percentage of cost-type contracts shall not be awarded to
any person.
b.
No contract providing for the reimbursement of the vendor’s cost plus
a fixed fee (herein referred to as a cost-reimbursement-type contract)
shall be awarded to any person unless the System determines that
this type of contract is likely to be less costly to the System than any
other type of contract or that it is impracticable to obtain supplies or
services of the kind or quality required except under such a contract.
Each vendor under a cost-reimbursement-type contract shall obtain
the consent of the System, as provided for in the contract, before
entering into:
(1)
a cost-reimbursement type subcontract; or
(2)
any other type of subcontract involving more than ten thousand
dollars ($10,000) or ten percent (10%) of the estimated cost of
the prime contract. All cost-reimbursement-type contracts shall
permit reimbursement only of allowable costs as determined in
accordance with cost principles set forth in Article V of these
Rules.
2.
Approval of Accounting System. Except with respect to firm-fixed- price-type
contracts, no contract type shall be used by the System unless the System
has determined that the proposed vendor’s accounting system will permit
timely development of all necessary cost data in the form required by the
specific contract type contemplated and that the vendor’s accounting system
is adequate to allocate costs in accordance with generally accepted
accounting principles.
3.
Partial, Progressive and Multiple Awards.
a.
A contract may provide for payments as work progresses under the
contract, upon the basis of costs incurred, percentage of completion
accomplished or of a particular stage of completion.
b.
A contract may provide for payments upon submission of proper
invoices or vouchers for supplies delivered and accepted or services
rendered and accepted where such supplies and services are only
part of total contract requirements.
c.
The System may reserve the right to split a contract between two or
more responsive and responsible bidders and to make an award for all
or only part of the items, services or construction specified in the
solicitation, if so stated in the invitation to bid or the request for
proposal.
4.
Annual Appropriations. All contracts awarded by the System shall be subject
to the availability of annual appropriations by the General Assembly unless
prior to the award an amount equal to the contract price has been
administratively set aside by the System from then available appropriated
funds.
E.
Inspection of Facilities and Audits of Records.
1.
The System may inspect the plant or place of business of the vendor or any
subcontractor under any contract awarded or to be awarded by the System.
2.
The System shall be entitled to audit the books and records of a vendor or
any subvendor under any negotiated contract other than a firm-fixed-price-
type contract, at any time until the period of retention provided for herein
expires. Such books and records shall be maintained by the vendor for a
period of three (3) years from the date of final payment under the prime
contract and by the subcontractor for a period of three (3) years from the
date of final payment under the subcontract.
F.
Reporting of Anti-Competitive Practices.
1.
If for any reason the System suspects collusion among bidders or offerors,
the System shall transmit a written notice of the facts giving rise to such
suspicion to the Attorney General of the State (the “Attorney General”).
2.
All documents involved in any procurement in which collusion is suspected
shall be retained by the System until the Attorney General notifies the
System that they may be released. All such documents shall be made
available to the Attorney General or his or her designee upon request,
notwithstanding any other provision of this Rule.
1.2.3 Specifications
A.
Issuance of Specifications.
1.
The Executive Director shall establish and maintain to the extent practicable
standards and specifications approved by the Department of Administration
of the State, the U.S. Government, and industry and professional
associations, relating to the development and use of purchasing
specifications and for the inspection, testing and acceptance of supplies and
services not inconsistent with the Rules of the System.
2.
The System shall develop to the extent practicable “General Conditions” to
be used in various types of contracts entered into by the System.
3.
The System shall from time to time, review those standards and
specifications and “General Conditions” which it utilizes, with a view to
conforming such standards, specifications and “General Conditions” to all
technical and scientific advances and to reflect changes in the System’s
requirements and to the extent practicable to maximize competition in the
fulfillment of the System’s requirements.
1.2.4 Modification and Termination of Contracts
A.
Modification of Contracts.
1.
The System may require clauses in its contracts to which it is a party
permitting changes or modifications by the System.
B.
Termination of Contract - Default of Vendor.
1.
The System may provide that a contract may be terminated for default of the
vendor and may provide for liquidated damages.
C.
Termination of Contract - Convenience.
1.
The System may provide that contracts may be terminated for the
convenience of the System or the vendor and in such cases shall provide for
appropriate adjustments in price including, where applicable, reimbursement
for the reasonable value of any nonrecurring costs incurred but not amortized
in the price of any item or service delivered under the contract.
1.2.5 Cost Principles
A.
Cost and Pricing Principle.
1.
Except as otherwise provided by contract, the System shall use generally
accepted accounting principles:
a.
as guidelines in the negotiation of estimated costs for contracts when
the absence of open-market competition precludes the use of
competitive-sealed bidding, as adjustments for changes or
modifications in contract performance requested by the System, and
as settlements of contracts which have been terminated;
b.
to determine the allowability of incurred costs for the purposes of
reimbursing costs under contract provisions which provide for the
reimbursement of costs; and
c.
as appropriate in any other situation where determinations of
estimated or incurred costs of performing a contract may be required.
1.2.6 Dispute Resolution and Debarment
A.
Resolution of Protested Solicitation and Award.
1.
Any actual or prospective bidder, offeror, or vendor who is aggrieved in
connection with the solicitation or award of any contract may file a protest
with the System. A protest must be filed in writing not later than two (2)
calendar weeks after such aggrieved person knows or should have known of
the facts giving rise thereto.
2.
The System shall promptly issue a decision in writing regarding such protest.
A copy of that decision shall be furnished to the aggrieved party and shall
state the reasons for the action taken.
3.
In the event a protest is filed in a timely manner under this Section, the
System shall not proceed further with the solicitation or award which is the
subject of the protest until it has issued a decision on the protest, or
determined that continuation of the procurement is necessary to protect a
substantial interest of the System.
B.
Debarment and Suspension.
1.
After reasonable notice to the person involved and reasonable opportunity
for that person to be heard, the System may debar a person for cause from
consideration for award of contracts contemplated by these Rules. The
debarment shall not be for a period of more than three years. The System
may suspend a person from consideration for award of contracts if there is
probable cause for debarment. The suspension shall be for a period of not
less than three months.
2.
Causes for debarment or suspension include the following:
a.
conviction of a criminal offense in connection with obtaining or
attempting to obtain a public or private contract or subcontract, or in
the performance of such contract or subcontract;
b.
conviction under state or federal statutes of embezzlement, theft,
forgery, bribery, falsification or destruction of records, stolen property,
or any other offense indicating a lack of business integrity or business
honesty which currently, seriously, and directly affects responsibility as
a vendor with the System;
c.
conviction under state or federal antitrust statutes arising from the
submission of bids or proposals;
d.
violation of contract provisions, as set forth below, of a character
which is regarded by the System to be so serious as to justify
debarment action:
(1)
deliberate failure without good cause to perform in accordance
with the specifications or within the time limit provided in a
contract with the System; or
(2)
recent record of failure to perform or of unsatisfactory
performance in accordance with the terms of one or more
contracts with the System or the State; provided that failure to
perform or unsatisfactory performance caused by acts beyond
the control of the vendor shall not be considered to be a basis
for debarment;
e.
any other cause the System determines to be so serious and
compelling as to affect responsibility as a vendor, including
debarment by a governmental entity.
3.
The System shall issue a written decision to debar or suspend. The decision
shall state the reasons for the action taken and inform the debarred or
suspended person of its rights to judicial review.
4.
A copy of the decision under Subsection (3) of this Section shall be
furnished promptly to the debarred or suspended person.
C.
Resolution of Contract Disputes.
1.
If any claim or controversy arising under contracts to which these Rules
apply is not resolved by mutual agreement, the System shall promptly issue
a decision in writing regarding the subject matter of such claim or
controversy. A copy of that decision shall be furnished to the vendor. If the
System does not issue a written decision within thirty days after written
request for a final decision, or within such longer period as might be
established by the parties to the contract in writing, then the vendor may
proceed as if an adverse decision had been received from the System.
1.2.7 Additional Matters
A.
Equal Employment Opportunity.
1.
For all contracts for supplies and services exceeding ten thousand dollars
($10,000), vendors must comply with the requirements of federal executive
order 11246, as amended, and Section 28-5.1-10 of the General Laws of the
State. Failure to comply will be considered a substantial breach of the
contract subject to penalties prescribed on regulations administered by the
Department of Administration of the State.
B.
Conflict of Interest.
1.
No member or employee of the System shall have any interest, financial or
otherwise, direct or indirect, or engage in any activity which is in substantial
conflict with the proper discharge of his or her duties as a member or
employee of the System.
C.
Legal Counsel.
1.
Pursuant to the provisions of Section 36-8-9 and Section 45-21-35 of the
General Laws of Rhode Island, legal counsel to the System is chosen by the
General Treasurer of the State. Accordingly, nothing herein contained shall
be deemed applicable to the selection of legal counsel for the System.
1.2.8 Effective Date
A.
Effective Date.
1.
These Rules shall become effective upon their adoption by the Board.
Thereafter, the Board shall file a copy of these Rules with the Secretary of
State.
B.
Contracts in Effect on Effective Date.
1.
These Rules shall not change in any way a contract commitment by the
System or of a vendor to the System which was in existence on the effective
date of these Rules.
1.3
Rules Concerning the Selection of Consultants
1.3.1 General Provisions
A.
Introduction.
1.
The Employees’ Retirement System of the State of Rhode Island and the
Municipal Employees’ Retirement System of the State of Rhode Island (the
“System”) are authorized to employ consulting and other professional
services. The purpose of these rules is to adopt internal procedures
consistent with the requirements of Chapter 2 of Title 37 of the Rhode Island
General Laws (State Purchases Act) in connection with the procurement of
consulting services by the System.
B.
Definitions.
1.
All capitalized terms used herein shall have the same meaning as set forth
in the “Rules of the Employees’ Retirement System of the State of Rhode
Island and the Municipal Employees’ Retirement System of the State of
Rhode Island for the Procurement of Supplies and Services”. The words
defined in this subsection shall have the following meanings wherever they
appear in these Rules, unless the context in which they are used clearly
requires a different meaning.
a.
“Consultant” shall mean any person engaged to provide information
regarding a particular area of knowledge in which the person has
expertise, including, but not limited to, accountants, actuaries,
financial consultants, data processing consultants and physicians,
excluding, however, legal services.
C.
Application of Rules.
1.
These Rules apply to all expenditures of funds by the System under a
contract for consulting services, except contracts between the System and
the State of its political subdivisions, or between the System and other
governments. The provisions of these Rules shall be considered to be
incorporated in all contracts of the System to which they apply.
2.
Notwithstanding anything contained in this Section 1.3.1(C), the “Rules of
the Employees’ Retirement System of the State of Rhode Island and the
Municipal Employees’ Retirement System of the State of Rhode Island for
the Procurement of Supplies and Services” shall govern the procurement of
supplies and services.
D.
Procurement Responsibilities of the System.
1.
The Procurement Committee shall select persons or firms to render
consultant services pursuant to these Rules. Accordingly, the term “System”
shall be used in these Rules to designate the Procurement Committee.
E.
Public Access to Procurement Records.
1.
Except as otherwise provided for herein all procurement records of the
System shall be public record to the extent provided in Chapter 2 of Title 38
(Access to Public Records) of the General laws of Rhode Island and shall be
available to the public as provided in such Act.
F.
Procurement Decisions of the System.
1.
Every determination required by these Rules shall be in writing and based
upon written findings of fact by the System. These determinations and
written findings shall be retained in an official contract file in the offices of the
System.
1.3.2 Selection of Consultants
A.
General Policy.
1.
It shall be the policy of the System to publicly announce its requirements for
consulting services, which are reasonably estimated to exceed ten thousand
dollars ($10,000), and to negotiate contracts for such professional services
on the basis of demonstrated competence and qualifications and at fair and
reasonable prices.
B.
Annual Statement of Qualifications and Performance Data.
1.
Consultants shall be encouraged by the Executive Director to submit to the
System annually a statement of qualifications and performance data which
shall include, but not be limited to the following:
a.
The name of the firm and the location of its principal place of
business and all offices;
b.
The age of the firm and its average number of employees over the
past five years;
c.
The education, training, and qualifications of members of the firm and
key employees;
d.
The experience of the firm, reflecting technical capabilities and project
experience; and
e.
Such other pertinent information as requested by the Executive
Director.
C.
Public Announcement of Needed Consultant Services.
1.
The System shall give public notice in a newspaper of general circulation in
the State of the need for consultant services which are reasonably estimated
to exceed ten thousand dollars ($10,000). The System may publish such
additional notice as it deems necessary to assure response from qualified
individuals or firms. Such public notice shall be published sufficiently in
advance of the date when responses must be received in order that
interested parties have an adequate opportunity to submit a statement of
qualifications and performance data. The notice shall contain a brief
statement of the services required, describe the project and specify how a
solicitation containing specific information on the project may be obtained.
D.
Solicitation.
1.
A solicitation shall be prepared which describes the System’s requirements
and sets forth the evaluation criteria. It shall be distributed to interested
persons.
2.
The solicitation shall describe the criteria to be used in evaluating the
statement of qualification and performance data and in the selection of firms.
Criteria shall include, but are not limited to:
a.
competence to perform the services as reflected by
b.
technical training and education; general experience; experience in
providing the required services; and the qualifications and
competence of persons who would be assigned to perform the
services;
c.
ability to perform the services as reflected by workload
d.
and the availability of adequate personnel, equipment, and facilities to
perform the services expeditiously;
e.
past performance as reflected by the evaluation of private persons
and officials of other governmental entities that have retained the
services of the firm with respect to such factors as control of costs,
quality of work, and ability to meet deadlines; and the cost of such
services.
3.
For services reasonably estimated to exceed twenty thousand dollars
($20,000), a bidder’s conference shall be held which describes the criteria to
be used in evaluating the statement of qualification and performance data
and in the selection of firms. The scope of work shall be discussed and
further defined at such conference, including on-site visits, if appropriate.
E.
Evaluation of Statements of Qualifications and Performance Data.
1.
The consultant selection committee shall evaluate statements that may be
submitted in response to the solicitation of consultant services and
statements of qualifications and performance data, if required. All such
statements shall be evaluated in light of the criteria set forth in the
solicitation for consulting services. The consultant selection committee may
waive informalities in any such statements.
F.
Final Selection of Contractors.
1.
The consultant selection committee shall select no more than three (3) firms
(or two (2) if only two (2) apply) evaluated as being professionally and
technically qualified. The firms selected, if still interested in providing the
services, shall make a representative available to the consultant selection
committee at such time and place as it shall determine, to provide such
further information as it may require.
2.
The consultant selection committee shall negotiate with the highest qualified
firm for a contract for consulting services for the System at compensation
which the consultant selection committee determines to be fair and
reasonable. In making such determination, the consultant selection
committee shall take into account the professional competence and
technical merits of the offerors, and the price for which the services are
to be rendered. The consultant selection committee shall be responsible for
the final selection of the providers of consulting services.
G.
Contracts Not Exceeding $10,000.
1.
The Executive Director of the System shall be responsible for the final
decision on consulting contracts not expected to exceed ten thousand
dollars ($10,000). The Executive Director shall, however, notify the
Department of Administration, the Division of Purchases and the Division of
Budget of the State of its selection. The Executive Director shall use the
criteria set forth in Section 1.3.2(D)(2) in making such determinations. Each
determination shall be justified in writing.
1.3.3 Remedies
A.
Protest of Solicitation and Award.
1.
Any actual or prospective contractor who is aggrieved in connection with the
solicitation or award of any contract under these Rules may file a protest
with the System. A protest must be filed in writing not later than two (2)
calendar weeks after such aggrieved person knows or should have known of
the facts giving rise thereto.
2.
The System shall promptly issue a decision in writing regarding such protest.
A copy of that decision shall be furnished to the aggrieved party and shall
state the reasons for the action taken.
3.
In the event a protest is filed in a timely manner under this Section, the
System shall not proceed further with the solicitation or award which is the
subject of the protest until it has issued a decision on the protest, or
determined that continuation of the procurement is necessary to protect a
substantial interest of the System.
B.
Debarment and Suspension.
1.
After reasonable notice to the person involved and reasonable opportunity
for that person to be heard, the System may debar a person for cause from
consideration for award of contracts contemplated by these Rules. The
debarment shall not be for a period of more than three years. The System
may suspend a person from consideration for award of contracts if there is
probably cause for debarment. The suspension shall be for a period of not
less than three months.
2.
The causes for debarment or suspension include the following:
a.
conviction of a criminal offense in connection with obtaining or
attempting to obtain a public or private contract or subcontract, or in
the performance of such contract or subcontract;
b.
conviction under state or federal statutes of embezzlement, theft,
forgery, bribery, falsification or destruction of records, stolen property,
or any other offense indicating a lack of business integrity or business
honesty which currently, seriously, and directly affects responsibility
as a contractor with the System;
c.
conviction under state or federal antitrust statutes arising out of the
submission of bids or proposals;
d.
violation of contract provisions, as set forth below, of a character
which is regarded by the System to be so serious as to justify
debarment action, including,
(1)
deliberate failure without good cause to perform in accordance
with the specifications or within the time limit provided in the
contract; or
(2)
a recent record of failure to perform or of unsatisfactory
performance in accordance with the terms of one or more
contracts; provided that failure to perform or unsatisfactory
performance caused by acts beyond the control of the
contractor shall not be considered to be a basis for debarment;
e.
any other cause the System determines to be so serious and
compelling as to affect responsibility as a contractor, including
debarment by a governmental entity.
3.
The System shall issue a written decision to debar or suspend. The decision
shall state the reasons for the action taken; and inform the debarred or
suspended person of its rights to judicial review.
4.
A copy of the decision under Subsection (3) of this Section shall be furnished
promptly to the debarred or suspended person.
C.
Resolution of Contract Disputes.
1.
If any claim or controversy arising under contracts to which these Rules
apply is not resolved by mutual agreement, the System shall promptly issue
a decision in writing regarding the subject matter of such claim or
controversy. A copy of that decision shall be furnished to the contractor. If
the System does not issue a written decision within thirty 30) days after
written request for a final decision, or within such longer period as might be
established by the parties to the contract in writing, then the contractor may
proceed as if an adverse decision had been received from the System.
1.3.4 Additional Matters
A.
Equal Employment Opportunity.
1.
For all contracts for consultant services exceeding ten thousand dollars
($10,000), contractors must comply with the requirements of federal
executive order 11246, as amended, and Section 28-5.1-10 of the General
Laws. Failure to comply will be considered a substantial breach of the
contract subject to penalties prescribed in regulations administered by the
Department of Administration of the State.
B.
Conflict of Interest.
1.
No member or employee of the System shall have any interest, financial or
otherwise, direct or indirect, or engage in any activity which is in substantial
conflict with the proper discharge of his or her duties as a member or
employee of the System.
1.3.5 Effective Date
A.
Effective Date.
1.
These Rules shall become effective upon adoption by the Board. Thereafter,
the Board shall file a copy of these Rules with the Secretary of State.
B.
Contracts in Effect on Effective Date.
1.
These Rules shall not change in any way a contract commitment by the
System or of a contractor to the System which was in existence on the
effective date of these Rules.
1.4
Rules of Practice and Procedure for Hearings in Contested Cases
A.
Introduction
1.
These Rules of Practice and Procedure are promulgated pursuant to R.I.
General Laws Section 36-8-3. The Rules shall be in effect during any
hearing on a contested case before the Retirement Board or its duly
authorized representatives.
B.
Definitions
1.
The definitions set forth in R.I. General Laws Sections 36-8-1, 45-21-2, 45-
21.2-2 and 16-16-1, and as further set forth in Regulations promulgated by
the Retirement Board, are specifically incorporated by reference herein.
a.
"Contested case" means a matter for which a member requests a
hearing because he or she is aggrieved by an administrative action
other than a Disability decision. The term shall apply to hearings
conducted before Hearing Officers, and thereafter in proceedings
before the full Retirement Board.
b.
“Party” means any member, beneficiary, Retirement System, or such
other person or organization deemed by the Hearing Officer to have
standing.
c.
“Hearing Officer” means an individual appointed by the Retirement
Board to hear and decide a contested case.
C.
Request for Hearing and Appearance
1.
Any member aggrieved by an administrative action other than a Disability
decision, may request a hearing of such grievance. Upon such request, the
matter will be deemed a contested case. The procedure for Disability
decisions and appeals therefrom shall be governed by the procedures set
forth in Section 1.9, Rules Pertaining to the Application to Receive an
Ordinary or Accidental Disability Pension.
2.
Such request shall be in writing and shall be sent to the Retirement Board
within sixty (60) days of the date of a letter from the Executive Director or
Assistant Executive Director constituting a formal administrative denial.
3.
A request for hearing shall be signed by the member and shall contain the
following information:
a.
Name of member;
b.
Date and nature of decision being contested;
c.
A clear statement of the objection to the decision which must include
the reasons the member feels he or she is entitled to relief; and
d.
A concise statement of the relief sought.
4.
Requests for hearing should be sent to the Retirement Board at 50 Service
Avenue, 2nd Floor, Warwick, RI 02886-1021.
5.
Failure to strictly comply with the procedures outlined in this Section shall be
grounds to deny any request for a hearing.
D.
Contested Cases – Notice of Hearing
1.
Upon receipt of a request for hearing in matters other than Disability
decisions and appeals therefrom, the Retirement Board or its designee shall
appoint a Hearing Officer. The appointed Hearing Officer shall hear the
matter, find facts and offer conclusions of law to the Retirement Board. The
decision of a Hearing Officer shall be subject to approval by the full
Retirement Board. The Retirement System’s action shall not be deemed final
until such time as the Hearing Officer’s recommendation has been voted
upon by the Retirement Board.
2.
Within forty-five (45) days after receipt by the Retirement Board of a request
for hearing, the Retirement Board shall give notice that the matter has been
assigned to a Hearing Officer for consideration.
3.
In any contested case, all parties shall be afforded an opportunity to be
heard after reasonable notice.
4.
The notice described in subsection (2), above, shall include:
a.
A statement of the time, place, and nature of the hearing;
b.
A statement of the legal authority and jurisdiction under which the
hearing is to be held;
c.
A reference to the particular sections of the statutes and rules
involved;
d.
The name, official title and mailing address of the Hearing Officer, if
any;
e.
A statement of the issues involved and, to the extent known, of the
matters asserted by the parties; and
f.
A statement that a party who fails to attend or participate in the
hearing may be held to be in default and have his or her appeal
dismissed.
5.
The notice may include any other matters the Hearing Officer or the
Retirement Board considers desirable to expedite the proceedings.
E.
Contested Cases – Hearings in General
1.
All parties shall be afforded an opportunity to respond and present evidence
and argument on all issues involved.
2.
Members must appear at hearings either personally, or by appearance of
legal counsel. Members may represent themselves or be represented by
legal counsel at their own expense. Consistent with RIGL §11-27-2 entitled,
“Practice of law”, any person accompanying the member who is not a lawyer
(certified member of the bar of the State of Rhode Island) cannot represent
the member in the hearing.
3.
Continuances and postponements may be granted by the Hearing Officer or
the Retirement Board at their discretion.
4.
Disposition may be made of any contested case by stipulation, agreed
settlement, consent order or default.
5.
Should the Hearing Officer or Retirement Board determine that written
memoranda are required, the member will be notified by the Hearing Officer
or the Retirement Board of the need to file a written document which
discusses the issues of the case. Memoranda of law may always be offered
in support of arguments offered by the member or the representative of the
retirement systems.
6.
The Executive Director may, when he or she deems appropriate, retain
independent legal counsel to prosecute any contested case.
7.
A recording of each hearing shall be made. Any party may request a
transcript or copy of the tape at their own expense.
F.
Contested Cases - Conduct of Hearings before Hearing Officers
1.
Hearings shall be conducted by the Hearing Officer who shall have authority
to examine witnesses, to rule on motions, and to rule upon the admissibility of
evidence.
2.
The Hearing shall be convened by the Hearing Officer. Appearances shall
be noted and any motions or preliminary matters shall be taken up. Each
party shall have the opportunity to present its case generally on an issue by
issue basis, by calling and examining witnesses and introducing written
evidence.
3.
The Member shall first present his or her case followed by presentation of
the Retirement System’s case.
4.
The Hearing Officer shall have the authority to continue or recess any
hearing and to keep the record open for the submission of additional
evidence.
5.
If for any reason a Hearing Officer cannot continue on a case, another
Hearing Officer will be appointed who will become familiar with the record
and perform any function remaining to be performed without the necessity of
repeating any previous proceedings in the case.
6.
Each party shall have the opportunity to examine witnesses and cross-
examine opposing witnesses on any matter relevant to the issues in the
case.
7.
Any objections to testimony or evidence and the basis for the objection shall
be made at the time the testimony or evidence is offered.
8.
The Hearing Officer may question any party or any witness for the purpose
of clarifying their understanding or to clarify the record.
9.
The scope of hearing shall be limited to those matters specifically outlined in
the request for hearing.
10.
Written evidence will be marked for identification. If the original is not readily
available, written evidence may be received in the form of copies or
excerpts. Upon request, parties shall be given an opportunity to compare the
copy with the original.
11.
Findings of fact shall be based solely on the evidence and matters officially
noticed.
12.
If a member fails to attend or participate in the hearing as requested, the
Hearing Officer may default such member and dismiss his or her appeal with
prejudice.
G.
Contested Cases – Record of Proceedings before Hearing Officers
1.
The record in a contested case shall include:
a.
All pleadings, motions, intermediate rulings;
b.
Evidence received or considered;
c.
A statement of matters officially noticed;
d.
Questions and offers of proof and rulings thereon;
e.
Proposed findings and exceptions;
f.
Any decision, opinion, or report by the Hearing Officer at the hearing;
and
g.
All staff memoranda or data submitted to the Hearing Officer in
connection with their consideration of the case.
H.
Ex Parte Communications (Communications by one party)
1.
There shall be no communications between the Hearing Officer and either a
member, the Retirement System or the Retirement Board, or any of their
representatives regarding any issue of fact or law in a case, without notice
and opportunity for all parties to participate. There shall be no written
communications by any party that are not transmitted at the same time to all
parties.
I.
Rules of Evidence in Contested Cases:
1.
Irrelevant, immaterial, or unduly repetitious evidence shall be excluded. The
rules of evidence as applied in civil cases in the superior courts of this state
shall be followed. Evidence not usually admitted under the rules of evidence
for civil cases may be admitted where it is shown that such evidence is
necessary to ascertain facts not capable of being proved otherwise. The
Hearing Officer and the Retirement Board shall give effect to the rules of
privilege (such as attorney/client privilege) recognized by law. Objections to
evidence may be made and shall be noted in the record. Any part of the
evidence may be received in written form when a hearing needs to be
expedited and the interests of the parties will not be hurt substantially.
J.
Final Decision and Member Right of Appeal
1.
Within twenty-five (25) days after receipt of the Hearing Officer’s
recommendation, a copy thereof shall be served upon all parties to the
proceeding and each party shall be notified of the time and place when the
matter shall be considered by the Retirement Board. Each party to the
proceeding shall be given the right to make exceptions, to file briefs and to
make oral arguments before the Retirement Board. No additional evidence
will be considered by the Retirement Board once the Hearing Officer has
issued a recommendation. A party wishing to file a brief or make exceptions
to the recommendation of the Hearing Officer shall be required to submit the
same to the Executive Director not later than ten (10) days prior to the date
when the Retirement Board is scheduled to hear and act upon the
recommendation of the Hearing Officer. The aggrieved party and his or her
representative shall have the right to appear before the Retirement Board
and make oral argument at the time of such hearing. No new testimony will
be taken, or evidence considered at this time. Consistent with RIGL §11-27-2
entitled, “Practice of law” any person accompanying the member who is not a
lawyer (certified member of the bar of the State of Rhode Island), cannot
represent the member before the Retirement Board. After consideration of
the decision of the Hearing Officer and such other argument as shall be
presented by any party to the proceeding, the Retirement Board shall vote
on the recommendation of the Hearing Officer.
2.
In the event of a tie vote of a quorum present and voting on a contested
matter, the matter will automatically be placed on the agenda of the next
Retirement Board meeting.
In the event of a tie vote of a quorum present and voting on a contested
matter rescheduled from a prior meeting, the Retirement Board may vote to
postpone and re-consider the matter at a subsequent hearing, when a larger
number of voting members may be present. If no such vote to postpone and
re-consider is taken, or if a vote to postpone and re-consider the matter at a
later date fails, the underlying action appealed from will be deemed affirmed
K.
Requests for Rehearing
1.
A request for rehearing which is submitted prior to the issuance of the
Hearing Officer’s recommendation should be made in writing. The request
must detail the substance of any additional evidence to be offered, and the
reason for the failure of the party to offer it at the prior proceedings.
2.
A rehearing will be denied if the evidence does not bear on any issue in
contest in the original proceedings, will not likely affect the final
recommendation, or if the request appears to be merely for purposes of
delaying a final decision. A second request for rehearing after the granting or
denial of a prior request for rehearing will not be permitted.
1.5
Rules of Elections to Employees Retirement Board
1.5.1 Regular Elections
A.
Date of Election.
1.
Regular elections will be held in the January preceding the expiration of the
elected members’ term of office.
B.
Notice of Election.
1.
A notice of intent to hold elections to seat members of the state employees,
teacher, municipal employee and retiree groups shall be sent by regular mail
to each member of the system by September 15th of the year preceding the
election. Additional notices will be made available for posting in various
state and municipal agencies, schools, and related public offices. Each such
mailing shall be made to the last known address of the member, as provided
by the member’s employer or the member’s data file at the retirement
system.
C.
Eligibility to Vote and Candidacy.
1.
Each member, who is an active contributing member of the retirement system
on the date of the notice of election, or who has attained maximum service
credit and no longer contributes, or who is on a leave of absence status
without pay for up to one year, shall be eligible to vote for a candidate of his
respective group or be a candidate. An official of a state employee union,
municipal employee union, or teacher employee union may also be a
candidate for election.
2.
Each retired member who is receiving a retirement benefit as of the date of
notice of the election shall be eligible to vote for or be a candidate for the
retirees’ representative to the board.
D.
Nomination Papers.
1.
Each member who wishes to be a candidate for the board from his/her
respective group must file his/her intent for such office and obtain
nomination papers in person from the retirement system.
2.
Each candidate must secure at least 100 valid signatures on such
nomination papers and return them to the retirement office as of the date
identified within the notice of election. Such date must be between October
15th and October 30th of the year preceding the election.
3.
The Sub-Committee on Elections shall validate such signatures and certify
to the Retirement Board that the candidate has qualified for a place on the
ballot.
4.
Signatures of members appearing more than once on a set of nomination
papers are invalid as are signatures of non-members such as a candidate’s
spouse, family member or beneficiary.
5.
In the event that only one retired or municipal candidate qualifies under this
section, he/she shall be deemed elected and no election shall be necessary
for that group. If only two active state employees or teachers qualify under
this section, they shall be deemed elected and no election shall be
necessary.
6.
Any candidate who does not qualify because of invalidated signatures will be
accorded a hearing by the Elections Sub-Committee prior to the printing of
ballots.
E.
Ballots.
1.
Upon certification of the qualifying candidates in each respective group, the
Sub- Committee on Elections or its agent shall have ballots and return
envelopes printed in a coded scheme, to differentiate between the
respective voting groups.
2.
Each ballot shall contain a printer’s trademark to prevent the reproduction of
non-official ballots, and shall contain a list of the candidates, identification of
their department, division, city, town, or school and instructions as to the
method of correctly marking the ballot.
3.
The order of candidates’ names on the printed ballots within each respective
group shall be determined by a lottery held at the November board meeting
prior to the January election.
F.
Distribution and Contents of Ballots.
1.
Ballots will be mailed to each eligible member to the address on record as of
the date of the election notice. Each mailing envelope will contain a ballot,
instructions, and a return envelope.
2.
Duplicate ballots will be distributed only upon receipt of a written notarized
affidavit certifying that the member did not receive a ballot or wishes to
exchange a mutilated or erroneously marked ballot.
G.
Tabulation of Ballots.
1.
On the day following the end of the election, the Sub-Committee on
Elections or their designated agent shall tabulate the results. Any interested
person may attend the tabulation of the ballots. The Sub-Committee on
Elections shall cause the ballots to be safeguarded in an appropriate place
should the tabulation be suspended for any reason.
H.
Voided Ballots.
1.
The following ballots shall be deemed void:
a.
Ballots received after deadline date;
b.
Ballots delivered in person to the retirement system;
c.
Ballots not in an official return envelope;
d.
Multiple ballots in single envelope;
e.
Ballots torn or mutilated in the ballot area;
f.
Ballots containing more than one selection when only one is
appropriate; or more than two selections when only two selections are
appropriate:
g.
Ballots crossed out or erased;
h.
Copies or facsimiles of ballots; (i)Ballots with write-in candidates.
2.
The Sub-Committee on Elections or their agent shall hold voided ballots to
be evaluated by the board in the event that they may change the outcome of
the election.
I.
Explanations, Challenges, and Recounts.
1.
Any candidate may request an explanation of voided ballots, challenge
ballots, or seek a recount of ballots by making such request to the
Chairperson of the Retirement Board in writing by certified mail within
seventy-two (72) hours of legal notification of the results of tabulation of
ballots, excluding Saturday, Sundays, and holidays.
J.
Results of Election and Certification.
1.
Upon completion of the tabulation of ballots cast, the Sub-Committee on
Elections or its agent shall certify to the board the results and the names of
the candidates elected. The Board shall then certify and publish the results.
K.
Tie Votes.
1.
In the event of a tie vote in any election, the Sub-Committee on Elections or
its agent shall order an immediate recount of ballots and a review of all
voided ballots in that election. If a tie vote still results, the Sub-Committee on
Elections or its agent shall hold a run-off election between the tied
candidates.
L.
Destruction of Ballots.
1.
The Retirement Board shall keep the ballots cast in each election in sealed
cartons for three months following the certification of election, and then
destroy them.
1.5.2 Special Elections
A.
Date of Election.
1.
A special election will be held within seventy (70) days of a Board vacancy.
B.
Notice of Election.
1.
A notice of intent to hold an election to seat a vacancy on the Board shall be
sent by regular mail to each eligible member. Additional notices will be made
available for posting in various state and municipal agencies, schools, and
related public offices within ten (10) days of such vacancy. Each such mailing
shall be made to the last known address of the member, as provided by the
member’s employer or the member’s file at the retirement system.
C.
Eligibility to Vote and Candidacy.
1.
Each member, who is an active contributing member of the retirement system
on the date of the notice of election, or who has attained maximum service
credit and no longer contributes, or who is on a leave of absence status
without pay for up to one year, shall be eligible to vote for a candidate of
his/her respective group or be a candidate for election. An official of a state
employee union, municipal employee union, or teacher employee union may
also be a candidate for election.
2.
Each retired member who is receiving a retirement benefit as of the date of
notice of the election shall be eligible to vote for or be a candidate for the
retirees’ representative to the Board.
D.
Nomination Papers.
1.
Each member who wishes to be a candidate for the Board from his/her
respective group must file his/her intent for such office and obtain
nomination papers in person from the retirement system.
2.
Each candidate must secure at least 100 valid signatures on such
nomination papers and return them to the retirement office as of the date
identified within the notice of election.
3.
The Sub-Committee on Elections shall validate such signatures and certify
to the Retirement Board that the candidate has qualified for a place on the
ballot.
4.
Signatures of members appearing more than once on a set of nomination
papers are invalid as are signatures of non-members such as a candidate’s
spouse, family member or beneficiary.
5.
In the event that only one retired or municipal candidate qualifies under this
section, he/she shall be deemed elected and no election shall be necessary.
6.
Any candidate who does not qualify because of invalidated signatures will be
accorded a hearing by the Elections Sub-Committee prior to the printing of
ballots.
E.
Ballots.
1.
Upon certification of the qualifying candidates in each respective group, the
Sub- Committee on Elections or its agent shall have ballots and return
envelopes printed in a coded scheme, to differentiate between the
respective voting groups.
2.
Each ballot shall contain a printer’s trademark to forestall reproduction of
unofficial ballots, and shall contain a list of the candidates, identification of
their department, division, city, town, or school and instructions as to the
method of correctly marking the ballot.
3.
The order of candidates’ names on the printed ballots within each respective
group shall be determined by a lottery held at the next available Board
meeting.
F.
Distribution and Contents of Ballots.
1.
Ballots will be mailed to each eligible member to the address on record as of
the date of the election notice. Each mailing envelope will contain a ballot,
instructions, and a return envelope.
2.
Duplicate ballots will be distributed only upon receipt of a written notarized
affidavit certifying that the member did not receive a ballot or wishes to
exchange a mutilated or erroneously marked ballot.
G.
Tabulation of Ballots.
1.
On the day following the end of the election, the Sub-Committee on
Elections or their designated agent shall tabulate the results. Any interested
person may attend the tabulation of the ballots. The Sub-Committee on
Elections shall cause the ballots to be safeguarded should the tabulation be
suspended for any reason.
H.
Voided Ballots.
1.
The following ballots shall be deemed void:
a.
Ballots received after deadline date;
b.
Ballots delivered in person to the retirement system;
c.
Ballots not in an official return envelope;
d.
Multiple ballots in a single envelope;
e.
Ballots torn or mutilated in the ballot area;
f.
Ballots containing more than one selection when only one is
appropriate; or more than two selections when only two elections are
appropriate.
g.
Ballots crossed out or erased;
h.
Copies or facsimiles of ballots; (i)Ballots with write-in candidates.
2.
The Sub-Committee on Elections or their agent shall hold voided ballots to
be evaluated by the board in the event that they may change the outcome of
the election.
I.
Explanations, Challenges, and Recounts.
1.
Any candidate may request an explanation of voided ballots, challenge
ballots, or seek a recount of ballots by making such request to the
Chairperson of the Retirement Board in writing by certified mail within
seventy-two (72) hours of legal notification of the results of tabulation of
ballots, excluding Saturday, Sundays, and holidays.
J.
Results of Election and Certification.
1.
Upon completion of the tabulation of ballots cast, the Sub-Committee on
Elections or its agent shall certify to the board the results and the name of
the candidates elected. The Board shall then certify and publish the results.
K.
Tie Votes.
1.
In the event of a tie vote in any election, the Sub-Committee on Elections or
its agent shall order an immediate recount of ballots and a review of all
voided ballots in that election. If a tie vote still results, the Sub-Committee on
Elections or its agent shall hold a run-off election between the tied
candidates.
L.
Destruction of Ballots.
1.
The Retirement Board shall keep the ballots cast in each election in sealed
cartons for three months following the certification of election, and then
destroy them.
1.6
Service Credit Purchase Regulations
1.6.1 RIGL §16-16-6 Concerning the Purchase of Credit for Service in Private
Schools or as Federal Employee.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for
service in private schools or as federal employee is promulgated pursuant to
RIGL §36-8-3. The Regulation shall be applicable to all requests by teachers
to purchase credits for private teaching or teaching as a federal employee.
B.
Definitions
1.
Any non-profit private school or institution shall mean a school or institution
similar to a public school in Rhode Island.
2.
Public school in Rhode Island shall mean those schools teaching elementary
and secondary education, i.e. Kindergarten through grade twelve (12).
C.
Statutory Requirements
1.
In order to purchase private teaching or teaching as a federal employee
credit the following provisions shall apply as required by RIGL:
a.
The member must be a “teacher” as defined by RIGL §16-16-1(12),
i.e. holds a certificate of qualification, engaged in teaching as the
principal occupation and be regularly employed as a teacher in the
public schools in Rhode Island;
b.
The teacher must be an “active” member pursuant to RIGL §16-16-
1(1), i.e. a teacher for whom the retirement system is currently
receiving regular contributions;
c.
The teacher must be employed by a city or town in the State of Rhode
Island as a teacher;
d.
The time sought to be purchased must be for service as a teacher or
in a capacity essentially similar or equivalent to that of a teacher as
defined in RIGL §16-16-1(12);
e.
Service must have been rendered in any non-profit private school or
institution or in public schools paid by funds of the United States
government;
f.
The amount of private teaching credit purchase is limited to a
maximum of five (5) years;
g.
The purchase amount is at full actuarial cost based on the salary of
the member in effect at the date of application for the credit;
Consistent with RIGL §36-8-1(10), requests for the purchase of
service credit for service in private schools or as federal employee
received and date stamped after June 16, 2009 and prior to July 1,
2012 shall be at full actuarial value, and requests to purchase
received and date stamped after June 30, 2012 shall be at full
actuarial value which shall be determined using the system’s assumed
investment rate of return minus one percent (1%);
h.
Consistent with RIGL 16-16-12(d)(6), requests for the purchase of
service credit for time before the member’s date of hire must be
received and date stamped within 3 years of the initial date of hire.
For active members as of June 30, 2012, the purchase of service
credit request for time prior to June 30, 2012 must be received and
date stamped by June 30, 2015.
D.
Additional Requirements and Restrictions Regarding yhe Purchase Credit for
Service in Private Schools or as Federal Employee
1.
This Regulation does not apply to the purchase of service credit for out of
state teaching. Refer to Section 1.6.10 governing the purchase of out of
state teaching for the requirements.
2.
Time worked in an institution devoted toward community service and
vocational education for adults shall not be purchasable;
3.
Members electing to pay by installment shall pay consistent with Section 1.11;
4.
The purchase by a member who is currently in a part-time position will be
calculated using the member’s full annualized salary. A current part-time
salary shall not be used if the time prior to the application indicates the
member was regularly employed as a full time teacher; if the member was
regularly employed as a part-time teacher, the part-time salary will be used;
5.
The Private Teaching Credit Request form must be completed by the
member, current school official, and former employer and former retirement
system or pension plan and must be submitted to ERSRI;
6.
It shall be the responsibility of the member to see that all parties complete
the required form and the form must be submitted to ERSRI in a timely
manner. Incomplete or inaccurate forms will be returned to the member and
will result in a delay in processing the purchase and additional interest being
added to the cost of the purchase.
1.6.2 RIGL §36-9-31.1 and §16-16-7.2 Concerning the Purchase of Peace Corps,
Teacher Corps and VISTA (Volunteers in Service to America) by State Employees
and Teachers.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for Peace
Corps, Teacher Corps and VISTA is promulgated pursuant to RIGL §36-8-3.
The Rule shall be applicable to all requests to purchase credit for Peace
Corps, Teacher Corps and VISTA.
B.
Statutory Requirements
1.
In order to purchase Peace Corps, Teacher Corps or VISTA, the following
provisions shall apply as required by RIGL:
a.
employee must be an active member pursuant to RIGL §36-8-1(2) or
§16-16-1(1), i.e. an employee for whom the retirement system is
currently receiving regular contributions;
b.
Members on official leave of absence for illness or injury are also
eligible to purchase the time;
c.
The amount of Peace Corps, Teacher Corps and VISTA credits
purchased is limited to four years in the aggregate, i.e. no more than
four (4) years total for combined time in the Corps and/or VISTA;
d.
Requests to purchase Peace Corps, Teacher Corps and/or VISTA
credits which are received and date stamped on or before June 16,
2009 will be calculated at 10% of the first year’s wages plus interest
assessed from the date of enrollment into the system to the date of the
request to purchase. No interest will be assessed if the purchase is
made within the first five (5) years of membership or if purchased by a
member who was an active member of the system prior to July 1,
1980. Consistent with RIGL §36-8-1(10), purchase requests received
and date stamped after June 16, 2009 and prior to July 1, 2012 shall
be at full actuarial value, and requests received and date stamped
after June 30, 2012 shall be at full actuarial value which shall be
determined using the system’s assumed investment rate of return
minus one percent (1%);
e.
Consistent with RIGL §36-10-9 (1)(c)(iv) and 16-16-12(d)(6), requests
for the purchase of service credit for time before the member’s date of
hire must be received and date stamped within 3 years of the initial
date of hire. For active members as of June 30, 2012, the purchase of
service credit for time prior to June 30, 2012 must be received and
date stamped by June 30, 2015.
C.
Additional Requirements and Restrictions Regarding the Purchase of Peace Corps,
Teacher Corps, VISTA
1.
Members shall request the purchase by completing in full, signing and
submitting the appropriate Peace Corps, Teacher Corps, and/or VISTA form
along with a letter on the employer’s/agency’s official letterhead to ERSRI
stating the time the member served;
2.
It shall be the responsibility of the member to submit the required form and
letter to ERSRI in a timely manner. Incomplete forms will be returned to the
member and will result in a delay in processing the purchase and additional
interest being added to the cost of the purchase;
3.
Members electing to pay by installment shall pay consistent with Section 1.11.
1.6.3 RIGL §16-17.1-2 Concerning the Purchase of Time in Another Retirement
Program.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for time in
another retirement program is promulgated pursuant to RIGL §36-8-3. The
Rule shall apply to all requests to purchase credit for time in another
retirement program as defined by RIGL §16-17.1-1(4).
B.
Definitions
1.
Pursuant to RIGL §16-17.1-1(4), “Retirement program” and “program”
means any retirement program adopted by the board of regents for higher
education or its successor for any of its employees as defined in this section.
2.
Pursuant to RIGL §16-17.1-1(3), “Employees” means presidents, professors,
instructors, or other employees of the board who are eligible to participate in
any retirement program by virtue of the terms of the program and who are
exempt from the merit system; If an employee of the board who participates
in the program shall change classifications, he or she shall have the option to
remain with the program.
3.
Pursuant to RIGL §16-17.1-1(2), “Board” means the board of regents for
higher education or its successor.
4.
As defined in RIGL 36-8-1(14), “Regular interest” means interest at the
assumed investment rate of return, compounded annually, as may be
prescribed from time to time by the board.
C.
Statutory Requirements
1.
In order to purchase time in another retirement program the following
provisions shall apply as required by RIGL:
a.
The employee must be an “active member” pursuant to RIGL §36-
8-1(2) §16-16-1(1), or §45-21-2(2) i.e. a state employee, teacher, or
municipal employee for whom the retirement system is currently
receiving regular contributions;
b.
The employee must have participated in the program as defined in
Section (B) above;
c.
Employees of the board who were members of the program, and who
subsequently enter the employees’ retirement system by virtue of
employment, shall be allowed to purchase credit for any prior service
with the board under the program;
d.
Consistent with RIGL §36-8-1(10) purchase requests received and
date stamped after June 16, 2009 and prior to July 1, 2012 shall be at
full actuarial value, and requests received and date stamped after
June 30, 2012 shall be at full actuarial value which shall be
determined using the systems assumed investment rate of return
minus one percent (1%);
e.
The payment shall be made in a lump sum within the employee’s first
year of membership in the retirement system.
D.
Additional Requirements and Restrictions Regarding the Purchase of Time in
Another Retirement Program
1.
The request to purchase time in another program must be made in writing to
ERSRI;
2.
The purchase of time in another program is limited to five (5) years.
1.6.4 RIGL §36-9-20 AND §45-21-56 Concerning the Purchase of Non-Participating
Municipal Service Credit.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for non-
participating municipal service is promulgated pursuant to RIGL §36-8-3.
The Rule shall be applicable to all requests to purchase non-participating
municipal service credit.
B.
Statutory Requirements
1.
In order to purchase non-participating municipal service credit, the following
provisions shall apply as required by RIGL:
a.
This purchase is available to current state employees, teachers or
municipal employees as defined by RIGL §36-8-1(9), §16-16-1(12), or
§45-21-2(7) who were previously employed by a municipality that did
not elect to accept the provisions of Chapter 21 of Title 45;
b.
The employee must be an “active” member of ERSRI or MERS
pursuant to RIGL §36-8-1(2), §16-16-1(1), or §45-21-2(2), i.e. an
employee for whom the Retirement System, as defined in Title 36
chapters 8-10 and Title 45 chapter 21-21.2, is currently receiving
regular contributions;
c.
The employee while working for the non-participating municipality
must have met the definitional requirements of RIGL §45-21-2(7)
while working for the non-participating municipality, i.e. the employee
must have been regularly and permanently employed devoting a
minimum of twenty (20) hours per week every week on an annual
basis throughout the year to the service of the municipality. Those
working an average of 20 hours per week and/or participating in
casual and seasonal employment are considered not to have met the
definition of §45-21-2(5) and will be ineligible to purchase service
credits;
d.
The amount of non-participating municipal service credit purchase is
limited to a maximum of four (4) years for state employees and
teachers and five (5) years for municipal employees;
e.
Purchase amounts shall be calculated at full actuarial cost as defined
in §36- 8-1(10) and 45-21-2(10). Purchase requests received and date
stamped after June 16, 2009 and prior to July 1, 2012 shall be at full
actuarial value, and requests received and date stamped after June
30, 2012 shall be at full actuarial value which shall be determined
using the system’s assumed investment rate of return minus one
percent (1%);
f.
Consistent with RIGL §36-10-9 (1)(c)(iv), 16-16-12(d)(6), and 45-21-
16 (2)(v)(I) and (II) requests for the purchase of service credit for time
before the member’s date of hire must be received and date stamped
within 3 years of the initial date of hire. For active members as of
June 30, 2012, the purchase of service credit for time prior to June
30, 2012 must be received and date stamped by June 30, 2015. The
purchase of non-participating municipal service can include more
than one municipality.
C.
Additional Requirements and Restrictions Regarding the Purchase of Non-
Participating Municipal Service Credit
1.
Pursuant to RIGLs §36-9-47, §16-16-8.1 and §45-21-64 members electing
to pay by installment will have additional interest added to the cost of the
purchase;
2.
A member is prohibited from purchasing non-participating municipal service
credit which is being credited towards retirement benefits in another system
where there is an employer contribution or match. The other system may
consist of either a defined benefit and/or a defined contribution (e.g. 457,
403(b) etc.);
3.
Employment which was rendered on a substitute, temporary, casual or
seasonal basis is not purchasable;
4.
The Non-Participating Municipality Credit Request form must be completed
by the member, current employer, and former employer and former
retirement system or pension plan and must be submitted to ERSRI;
5.
It shall be the responsibility of the member to see that all parties complete
the required form and the form must be submitted to ERSRI in a timely
manner. Incomplete or inaccurate forms will be returned to the member and
will result in a delay in processing the purchase and additional interest being
added to the cost of the purchase.
1.6.5 Regulations Regarding Rhode Island General Laws (RIGL) §45-21.2-16, §45-
21.2-18, §45- 21.2-19 Concerning the Purchase of Call System Service Credit.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for Call
System service is promulgated pursuant to RIGL §36-8-3. The Regulation
shall apply to all requests to purchase Call System service credit.
B.
Definitions
1.
For the purposes of this rule, “any person” shall mean a municipal employee
including police and firefighter who is an “active member” of the retirement
system as defined by RIGL § §45-21-2(2) or §45-21.2-2, i.e. an employee
for whom the retirement system is currently receiving regular contributions.
2.
For the purposes of this Regulation, “three (3) years served” shall mean
thirty-six (36) consecutive months which do not contain any other time in
which contributions were being made.
C.
Statutory Requirements
1.
In order to purchase Call System service credit the following provisions shall
apply as required by RIGL:
a.
The person must have been a member of the Call System of North
Providence fire department as of January 1, 1960 and thereafter, a
member of the Call System of North Kingstown fire department as of
January 1, 1950 and thereafter or a volunteer member and/or
member of the Call System of the East Greenwich fire district as of
January 1, 1943 and thereafter;
b.
The person shall be credited with one year of service credit for every
three years served;
c.
In order to receive service credit, the person must pay into the system
an amount based on compensation received by that person in the last
year of each three year period at the time of the purchase. Minimum
compensation on which the purchase is calculated shall be three-
hundred dollars ($300.00) annually;
d.
Purchase costs shall include regular interest as defined in RIGL §36-8-
1(14) which states that regular interest shall mean interest at the
assumed investment rate of return, compounded annually, as may be
prescribed from time to time by the retirement board. Purchase
requests received and date stamped on or after July 1, 2012 shall be
at full actuarial value which shall be determined using the system’s
assumed investment rate of return minus one percent (1%);
e.
Consistent with 45-21-16 (2)(v)(I) and (II) requests for the purchase of
service credit for time before the member’s date of hire must be
received and date stamped within 3 years of the initial date of hire.
For active members as of June 30, 2012, the purchase of service
credit for time prior to June 30, 2012 must be received and date
stamped by June 30, 2015.
D.
Additional Requirements and Restrictions Regarding the Purchase of Call System
Service Credit
1.
Members electing to pay by installment shall pay consistent with Section 1.11;
2.
The purchase of Call System service credit is limited to a total of five (5)
years;
3.
The Call Firefighter Credit Request form must be completed and submitted
to ERSRI by the Employer;
4.
It shall be the responsibility of the member to see that the Employer
complete and submit the required form to ERSRI in a timely manner.
Incomplete or inaccurate forms will be returned to the member and will result
in a delay in processing the purchase and additional interest being added to
the cost of the purchase.
1.6.6 Regulations Regarding Rhode Island General Laws (RIGL) §16-16-6.4
Concerning the Purchase of Certified Nurse Teacher Credit.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for
certified nurse teacher service is promulgated pursuant to RIGL §36-8-3.
The Regulation shall be applicable to all requests to purchase certified nurse
teacher credit.
B.
Statutory Requirements
1.
In order to purchase certified nurse teacher credit the following provisions
shall apply as required by RIGL:
a.
The employee must be an “active” member of ERSRI pursuant to
RIGL §36-8-1(2), or §16-16-1(1), i.e. a state employee or teacher for
whom the retirement system is currently receiving regular
contributions;
b.
The member must have worked as a Registered Nurse (R.N.);
c.
The employee must be a certified nurse teacher employed by the
State or the public schools of the cities and towns in Rhode Island;
d.
The amount of certified nurse teacher credit is limited to a maximum of
four (4) years;
e.
Consistent with RIGL §36-8-1(10), purchase requests received and
date stamped after June 16, 2009 and prior to July 1, 2012 shall be at
full actuarial value, and requests received and date stamped after
June 30, 2012 shall be at full actuarial value which shall be determined
using the system’s assumed investment rate of return minus one
percent (1%).
f.
Consistent with RIGL §36-10-9 (1)(c)(iv) and 16-16-12(d)(6), requests
for the purchase of service credit for time before the member’s date of
hire must be received and date stamped within 3 years of the initial
date of hire. For active members as of June 30, 2012, the purchase of
service credit for time prior to June 30, 2012 must be received and
date stamped by June 30, 2015.
g.
Credit for time served as a certified nurse teacher may be purchased
and used toward the pension for the ordinary disability retirement only
if the certified nurse teacher has at least ten (10) years of creditable
service before the purchase;
h.
A member is prohibited from purchasing nurse teacher credit which is
being credited towards retirement benefits in another system;
i.
Appropriate work experience includes, but is not limited to, work as a
Registered Nurse in a hospital setting.
C.
Additional Requirements and Restrictions Regarding the Purchase of Certified
Nurse Teacher Service Credit
1.
When calculating the purchase cost, the cost will be based on the salary of
the member in effect at the date of application for credit;
2.
The purchase by a member who is currently in a part-time position will be
calculated using the member’s full annualized salary. A current part-time
salary shall not be used if the time prior to the application indicates the
member was regularly employed as a full time teacher; if the member was
regularly employed as a part-time teacher, the part-time salary will be used;
3.
Members electing to pay by installment shall pay consistent with Section 1.11;
4.
Members shall request the purchase by completing in full and signing the
Nurse Teaching Credit Request form and providing ERSRI with a copy of
their Department of Education Nurse Teacher Certificate;
5.
The form must also be completed by the member’s current employer and
former employer of registered nursing employment and be submitted to
ERSRI;
6.
It shall be the responsibility of the member to complete the required form,
see that the employers complete their sections of the form and to submit the
completed form and Department of Education Nurse Teacher certificate to
ERSRI in a timely manner. Incomplete or inaccurate forms will be returned to
the member and will result in a delay in processing the purchase and
additional interest being added to the cost of the purchase.
1.6.7 Regulations Regarding Rhode Island General Law (RIGL) §16-16-6.2
Concerning the Purchase of Service Credit for Appropriate Work Experience.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for
appropriate work experience is promulgated pursuant to RIGL §36-8-3. The
Regulation shall be applicable to all requests by public school vocational
education teachers to purchase service credit for appropriate work
experience.
B.
Statutory Requirements
1.
In order to purchase service credit for appropriate work experience, the
following provisions shall apply as required by RIGL:
a.
The employee must be an “active” member pursuant to RIGL §36-8-
1(2) or §16-16-1(1), i.e. a state employee or teacher for whom the
retirement system is currently receiving regular contributions;
b.
The vocational education teacher must currently be employed as a
vocational education teacher by the State of Rhode Island or a city or
town in the State of Rhode Island;
c.
The amount of vocational education purchase is limited to a
maximum of five (5) years;
d.
Credit for appropriate work experience may be purchased and used
toward the pension for the ordinary disability retirement only if the
vocational education teacher has at least ten (10) years of creditable
service before the purchase;
e.
The purchase amount is based on the salary of the member in effect
at the date of application for the credit. Consistent with RIGL §36-8-
1(10) purchase requests received and date stamped after June 16,
2009 and prior to July 1, 2012 shall be at full actuarial value, and
requests received and date stamped after June 30, 2012 shall be at
full actuarial value which shall be determined using the system’s
assumed investment rate of return minus one percent (1%);
f.
Consistent with RIGL §36-10-9 (1)(c)(iv) and 16-16-12(d)(6) requests
for the purchase of service credit for time before the member’s date of
hire must be received and date stamped within 3 years of the initial
date of hire. For active members as of June 30, 2012, the purchase of
service credit for time prior to June 30, 2012 must be received and
date stamped by June 30, 2015.
C.
Additional Requirements and Restrictions Regarding the Purchase Service Credit
for Appropriate Work Experience.
1.
The vocational education teacher must currently be teaching the subject for
which he or she is certified on his or her vocational education certificate;
2.
The purchase by a member who is currently in a part-time position will be
calculated using the member’s full annualized salary. A current part-time
salary shall not be used if the time prior to the application indicates the
member was regularly employed as a full time teacher;
3.
Members electing to pay by installment shall pay consistent with Section 1.11.
The Vocational Education Credit Request form must be completed by the
member and the current employer and must be submitted to ERSRI. In
addition to the form, the vocational education certificate for the vocational
education teachers current position and a letter on the past employer’s
official letterhead verifying the dates the member served shall be submitted
to ERSRI;
4.
It shall be the responsibility of the member to see that all parties complete
the required form, and the form and all documentation must be submitted to
ERSRI in a timely manner. Incomplete or inaccurate forms and insufficient
documentation will be returned to the member as well as failure to provide
all requested documentation will result in a delay in processing the purchase
and additional interest being added to the cost of the purchase.
1.6.8 Regulations Regarding Rhode Island General Laws (RIGL) §36-10-8 AND §45-
21-29, Concerning the Restoration of Credits.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of a refund of
contributions is promulgated pursuant to RIGL §36-8-3. The Regulation shall
be applicable to all requests to purchase a refund of contributions.
B.
Statutory Requirements
1.
In order to purchase a refund of contributions the following provisions shall
apply as required by RIGL:
a.
Member shall refer to “member” as defined in §36-8-1(12): any
person included in the membership of the retirement system as
provided in §§36- 9-1 – 36-9-7;
b.
The member must subsequently reenter service and again become a
member of the system for at least one (1) year of continuous service
and must make contributions for that one (1) year of continuous
service. Consistent with RIGL §36-10-9(1)(c)(iv), 16-16-12(d)(6), and
45-21-16 (2)(v)(I) and (II) requests for the restoration of service credit
must be received and date stamped within 3 years of the initial date
of re-hire. For active members as of June 30, 1012, the restoration of
service credit for time prior to June 30, 2012 must be received and
date stamped by June 30, 2015;
c.
The entire amount of years of service previously withdrawn must be
purchased in its entirety;
d.
Regular interest as defined in RIGL 36-8-1(14) and RIGL §45-21-
2(16), which states that regular interest shall mean interest at the
assumed investment rate of return, compounded annually, as may be
prescribed from time to time by the retirement board, which accrued
from the date of refund to the date of purchase request will be
calculated and added to the purchase cost;
e.
Upon the repayment of such a refund including accrued interest the
member shall again receive credit for the amount of total service.
C.
Additional Requirements and Restrictions Regarding the Purchase of the
Restoration of Credits
1.
There is no restriction as to the number of years to be purchased as a refund
payback;
2.
The purchase of a refund payback does not count toward the five (5) year
limit on purchases;
3.
If purchasing a restoration of service credit and any of the service credits are
other than contributory service, those service credits will be subject to the
five (5) year maximum purchase limit;
4.
Members may request the purchase by completing the Payback Request
form or may call, write, or email the request to the retirement system;
5.
Members with more than one (1) refund may purchase each refund
separately, provided however that the refund must be made consistent with
Section 1.6.8(B)(1)(b) above;
6.
A refund payback resulting in a member being credited with years of service
which exceed the maximum benefit shall not be required to purchase years
of service in excess of the maximum benefit.
7.
Members electing to pay by installment shall pay consistent with Section 1.11.
1.6.9 Regulations Regarding Rhode Island General Law (RIGL) §16-16-5
Concerning the Purchase of Part-Time Teaching.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase by a teacher of
credit for part-time teaching is promulgated pursuant to RIGL §36-8-3. The
Regulation shall apply to all requests by a teacher to purchase credit for
part-time teaching.
B.
Statutory Requirements
1.
In order to purchase part-time teaching the following provisions shall apply as
required by RIGL:
a.
The member must be a “teacher” within the meaning of RIGL §16-16-
1(12), i.e. hold a certificate of qualification, engaged in teaching as
the principal occupation and be regularly employed as a teacher in
the public school system;
b.
The teacher must be an “active member” RIGL §16-16-1(1), i.e. a
teacher for whom the retirement system is currently receiving regular
contributions;
c.
A teacher employed in a half-time program including a job-share shall
receive credit for that part-time service only. For example, a teacher
identified as a 0.60 teacher will only receive 0.60 X 180 (the required
number of school days every city or town shall establish and maintain
pursuant to RIGL §16-2-2) =108 days. No additional service credit will
be awarded or be eligible for purchase for the remaining portion of the
school year for which the member did not receive service credit.
C.
Additional Requirements and Restrictions Regarding the Purchase of Part-Time
Teaching
1.
In order to purchase part-time teaching, a teacher must have worked a
minimum of two-fifths (2/5’s) of a school year and must not have been
considered an “active member” pursuant to RIGL §16-16-1(1), i.e. no regular
contributions were made to the retirement system;
2.
The Part-Time Teacher Verification form must be completed and submitted to
ERSRI by the Employer;
3.
It shall be the responsibility of the member to see that the Employer
complete and submit the required form to ERSRI in a timely manner.
Incomplete or inaccurate forms will be returned to the member and will result
in a delay in processing the purchase and additional interest being added to
the cost of the purchase;
4.
The purchase of part-time teaching is limited to a total of five (5) years;
5.
Part-time teaching among school systems in the same school year may be
combined for purchase;
6.
The cost to purchase part time teaching service credit will be calculated at
regular interest as defined in RIGL 36-8-1(14), which states that regular
interest shall mean interest at the assumed investment rate of return,
compounded annually, as may be prescribed from time to time by the
retirement board, assessed from the date employment commenced to the
date of the request to purchase. Consistent with RIGL §36-8-1(10),
purchase requests received and date stamped after June 16, 2009 and prior
to July 1, 2012 shall be at full actuarial value, and requests received and
date stamped after June 30, 2012 shall be at full actuarial value which shall
be determined using the system’s assumed investment rate of return minus
one percent (1%);
7.
Consistent with RIGL §16-16-12(d)(6) requests for the purchase of service
credit for time before the member’s date of hire must be received and date
stamped within 3 years of the initial date of hire. For active members as of
June 30, 2012, the purchase of service credit for time prior to June 30, 2012
must be received and date stamped by June 30, 2015;
8.
Members electing to pay by installment shall pay consistent with Section 1.11.
1.6.10 Regulations Regarding Rhode Island General Law (RIGL) §16-16-6.1
Concerning the Purchase of Out of State Teaching.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for out of
state teaching is promulgated pursuant to RIGL §36-8-3. The Regulation
shall be applicable to all requests by public school teachers to purchase out
of state teaching credit.
B.
Statutory Requirements
1.
In order to purchase out of state teaching credit, the following provisions shall
apply as required by RIGL:
a.
The member must be a “teacher” as defined by RIGL §16-16-1(12),
i.e. holds a certificate of qualification, engaged in teaching as the
principal occupation and be regularly employed as a teacher in the
public schools in Rhode Island;
b.
The teacher must be an “active” member pursuant to RIGL §16-16-
1(1), i.e. a teacher for whom the retirement system is currently
receiving regular contributions;
c.
The teacher must be employed as a teacher by a city or town in the
State of Rhode Island;
d.
The amount of out of state teaching purchase is limited to a maximum
of five (5) years;
e.
The time purchased must be for employment in any state college,
state university, state school or public school outside the State of
Rhode Island or in any territory or possession of the United States
including the Philippines or any school under the jurisdiction of the
United States government;
f.
Credit for out of state teaching may be purchased and used toward
the pension for the ordinary disability retirement only if the teacher
has at least ten (10) years of creditable service before the purchase;
g.
The purchase amount is at full actuarial cost based on the salary of
the member in effect at the date of application for the credit.
Consistent with RIGL §36-8-1(10), purchase requests received and
date stamped after June 16, 2009 and prior to July 1, 2012 shall be at
full actuarial value, and requests received and date stamped after
June 30, 2012 shall be at full actuarial value which shall be
determined using the system’s assumed investment rate of return
minus one percent (1%);
h.
Consistent with RIGL §16-16-12(d)(6) requests for the purchase of
service credit for time before the member’s date of hire must be
received and date stamped within 3 years of the initial date of hire.
For active members as of June 30, 2012, the purchase of service
credit for time prior to June 30, 2012 must be received and date
stamped by June 30, 2015.
C.
Additional Requirements and Restrictions Regarding the Purchase of Out of State
Teaching Credit
1.
This Regulation does not apply to the purchase of service credit for private
teaching. Refer to the section under this Regulation governing the purchase
of private teaching;
2.
The purchase by a member who is currently in a part-time position will be
calculated using the member’s full annualized salary. A current part-time
salary shall not be used if the time prior to the application indicates the
member was regularly employed as a full time teacher; if the member was
regularly employed as a part-time teacher, the part-time salary will be used;
3.
Members electing to pay by installment shall pay consistent with Section 1.11.
A member is prohibited from purchasing out of state teaching credit which is
being credited towards retirement benefits in another system where there is
an employer contribution or match. The other system may consist of either a
defined benefit and/or a defined contribution (e.g. 457, 403(b) etc.);
4.
Employment which was rendered on a substitute, temporary, casual,
seasonal or emergency basis is not eligible for purchase;
5.
The Out of State Teaching Credit Request form must be completed by the
member, current school official, and former employer and former retirement
system or pension plan and must be submitted to ERSRI.
6.
It shall be the responsibility of the member to see that all parties complete
the required form and the form must be submitted to ERSRI in a timely
manner. Incomplete or inaccurate forms will be returned to the member and
will result in a delay in processing the purchase and additional interest being
added to the cost of the purchase.
1.6.11 Regulations Regarding Rhode Island General Law (RIGL) §16-16-5(C)
Concerning the Purchase by a Teacher of Substitute Teaching Time.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase by a teacher of
credit for substitute teaching time is promulgated pursuant to RIGL §36-8-3.
The Regulation shall apply to all requests to purchase credit for substitute
teaching time.
B.
Statutory Requirements
1.
In order to purchase substitute teaching time the following provisions shall
apply as required by RIGL:
a.
The member must be a “teacher” within the meaning of RIGL §16-16-
1(12);
b.
The teacher must be an “active member” RIGL §16-16-1(1), i.e. an
employee for whom the retirement system is currently receiving
regular contributions;
c.
The number of days served by a substitute teacher in any public
school of any city or town in the state may only be combined for the
same school year to reach required total number of days;
d.
Service credit will only be given to a teacher once the amount the
teacher would have contributed to the Plan plus interest has been
paid to the retirement system;
e.
Consistent with RIGL §36-8-1(10), purchase requests received and
date stamped after June 16, 2009 and prior to July 1, 2012 shall be at
full actuarial value, and requests received and date stamped after
June 30, 2012 shall be at full actuarial value which shall be
determined using the system’s assumed investment rate of return
minus one percent (1%);
f.
Consistent with RIGL §16-16-12(d)(6) requests for the purchase of
service credit for time before the member’s date of hire must be
received and date stamped within 3 years of the initial date of hire.
For active members as of June 30, 2012, the purchase of service
credit for time prior to June 30, 2012 must be received and date
stamped by June 30, 2015.
C.
Additional Requirements and Restrictions Regarding the Purchase of Substitute
Teaching Time
1.
The substitute teaching time does not count toward contributory service.
Teachers must have ten (10) years of contributing service to be vested. A
teacher with contributory service on or after July 1, 2012 must have 5 years
of contributing service to be vested;
2.
The teacher must have substituted a minimum of forty-five (45) days in one
school year in order to purchase the time. The substituting can be in more
than one (1) public school in more than one (1) city or town in the state but
must be in the same school year. The only exception to the forty- five (45)
day minimum requirement is in such cases where the teacher has
contributing time in the same school year in which they substituted. In this
instance, days substituted will be added to contributing service to determine
service credit;
3.
Service credit will be calculated as follows:
For service credits accrued prior to November 17, 2011, the following
schedule shall apply:
45 days
= 3 months service credit
67 days
= 6 months service credit
91 days
= 9 months service credit
135 days
= 1 year service credit
4.
For service credits accrued on and after November 18, 2011, the following
schedule shall apply:
45
= 3 months service credit
90 days
= 6 months service credit
135 days
= 9 months service credit
180 days
= 1 year service credit
5.
The purchase of substitute teaching time is limited by statute to public
schools in Rhode Island. State schools in Rhode Island, private school and
out of state school requests will be denied;
6.
The Substitute Teaching form must be completed and submitted to ERSRI
by the Employer;
7.
It shall be the responsibility of the member to see that the Employer
complete and submit the required form and letter to ERSRI in a timely
manner. Incomplete or inaccurate forms will be returned to the member and
will result in a delay in processing the purchase and additional interest being
added to the cost of the purchase;
8.
The purchase of substitute teaching time is limited to a total of five (5) years;
9.
Members electing to pay by installment shall pay consistent with Section 1.11.
1.6.12 Regulations Regarding Rhode Island General Laws (RIGL) §36-9-26 and §45-
21-58 Concerning the Purchase of Official Layoff.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for official
layoff is promulgated pursuant to RIGL §36-8-3. The Regulation shall be
applicable to all requests to purchase credit for official layoff.
B.
Statutory Requirements
1.
In order to purchase credit for official layoff the following provisions shall
apply as required by RIGL:
a.
The employee must be an “active” member of ERSRI pursuant to
RIGL §36-8-1(2), §36-8-1(12) or MERS pursuant to RIGL §45-21-
2(2), §45-21-2(12), i.e. an employee for whom the retirement system
is currently receiving regular contributions;
b.
The purchase of official layoff can only be made when the member
returns to active membership. Consistent with RIGL §36-10-
9(1)(c)(iv), §16-16- 12(d)(6), and 45-21-16 (2)(v)(I) and (II) requests
for the purchase of service credit for time before the member’s date of
hire must be received and date stamped within 3 years of the initial
date of hire. For active members as of June 30, 2012, the purchase of
service credit for time prior to June 30, 2012 must be received and
date stamped by June 30, 2015;
c.
Leave without pay does not qualify as official layoff;
d.
The member shall not have withdrawn his or her retirement
contributions during the official layoff;
e.
The amount of service credit for official layoff is limited to a maximum
of one (1) year;
f.
Consistent with RIGL §36-8-1(10) purchase requests received and
date stamped after June 16, 2009 and prior to July 1, 2012 shall be at
full actuarial value, and requests received and date stamped after
June 30, 2012 shall be at full actuarial value which shall be
determined using the system’s assumed investment rate of return
minus one percent (1%).
g.
For members of MERS, the cost to purchase official layoff is
calculated at regular interest as defined in Chapter 45-21-2(16) which
states that regular interest shall mean interest at the assumed
investment rate of return, compounded annually, as may be
prescribed from time to time by the retirement board. All requests
received and date stamped after June 30, 2012 shall be at full
actuarial value which shall be determined using the system’s
assumed investment rate of return minus one percent (1%).
C.
Additional Requirements and Restrictions Regarding the Purchase of Credit for
Official Layoff
1.
Members shall request the purchase by having the Employer complete and
sign the Official Layoff Verification form and submitting the form along with
the official documentation of the official layoff to ERSRI;
2.
Acceptable documentation includes official documentation from the
employer completed at the time that separation from service occurred which
clearly states the member was on “layoff”;
3.
It shall be the responsibility of the member to see that the Employer
complete the required form and submit the form to ERSRI in a timely
manner. Incomplete or inaccurate forms will be returned to the member and
will result in a delay in processing the purchase and additional interest being
added to the cost of the purchase;
4.
Members electing to pay by installment shall pay consistent with Sections
1.11.
1.6.13 Rhode Island General Laws (RIGL) §36-9-20, §16-16-8, and §45-21-12.1 -
Regulations Regarding the Purchase of Prior Time.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of credit for prior
time is promulgated pursuant to Rhode Island General Law §36-8-3. The
Regulation shall be applicable to all requests to purchase credit for prior
time.
B.
Definitions
1.
Probationary time shall mean time when a person was considered an
employee pursuant to §36-8-1(9) or §45-21-2(7) but for which the
employees’ retirement system was not receiving regular contributions and
which time period does not exceed six (6) months.
2.
The definition of “employee” for State Employees and Municipal Employees
is governed by RIGLs §36-8-1(9) and §45-21-2(7) which require a person to
devote twenty (20) business hours per week annually to the service of the
state or municipality to be an employee within the meaning of the retirement
statutes. “Annually” shall mean twenty (20) standard hours, every week on
an annual basis, throughout the year devoted to the service of the state or
municipality.
3.
Pursuant to RIGL §36-8-1(9) and §45-21-2(7) employment cannot be of a
casual, seasonal or emergency nature and cannot have earned less than
the equivalent of minimum wage compensation on an hourly basis for his or
her services.
C.
Statutory Requirements
1.
With respect to the purchase of prior time, the following provisions shall
apply as required by RIGL:
a.
The employee must be an “active member” of ERSRI pursuant to
RIGL 36- 8-1(2), MERS pursuant to RIGL 45-21-2(2), i.e. an employee
for whom the retirement system is currently receiving regular
contributions, or RIGL §16- 16-1(1), i.e. a teacher for whom the
retirement system is currently receiving regular contributions;
b.
For State Employees and Teachers who are members of ERSRI as of
June 30, 2012, and Municipal Employees who are members of MERS
as of June 30, 2012 and who are requesting to purchase prior time
under Title 36, consistent with RIGL §36-8-1(10) purchase requests
received and date stamped after June 16, 2009 and prior to July 1,
2012 shall be at full actuarial value, and requests received and date
stamped after June 30, 2012 shall be at full actuarial value which shall
be determined using the system’s assumed investment rate of return
minus one percent (1%);
c.
For Municipal Employees in MERS as of June 30, 2012 and State
Employees and Teachers in ERSRI as of June 30, 2012 who are
requesting to purchase prior time under Title 45, the calculation will
be at regular interest as defined in RIGL 36-8-1(14) and RIGL §45-
21-2(16), which states that regular interest shall mean interest at the
assumed investment rate of return, compounded annually, as may be
prescribed from time to time by the retirement board. All requests
received and date stamped after June 30, 2012 shall be at full
actuarial value which shall be determined using the system’s
assumed investment rate of return minus one percent (1%).
d.
Consistent with RIGL §36-10-9 (1)(c)(iv) §16-16-12(d)(6), and 45-21-
16 (2)(v)(I) and (II) requests for the purchase of service credit for time
before the member’s date of hire must be received and date stamped
within 3 years of the initial date of hire. For active members as of
June 30, 2012, the purchase of service credit for time prior to June
30, 2012 must be received and date stamped by June 30, 2015.
e.
Pursuant to RIGLs §36-10-9(3) (v), §16-16-12 (3) (v), and §45-21-
16(2)(IV) no more than five (5) years of service credit may be
purchased by a member of the System.
D.
Additional Requirements and Restrictions Regarding the Purchase of Prior Time
1.
For the purchase of Probationary Time, the following additional Regulations
shall apply:
a.
The six (6) month period or less must be the period immediately
preceding becoming a contributing member;
b.
The amount of probationary time purchasable is limited to six (6)
months or less for each position held that required a probationary
period;
c.
The purchased time shall be counted as contributing service;
d.
The purchase of probationary time does not count toward the five (5)
year limit on purchases;
2.
The Probationary Time Verification form or the Prior Time Verification form
must be completed in full, signed and submitted to ERSRI by the Employer;
3.
The Employer must provide information regarding why the member did not
contribute during the time requested to be purchased and must be prepared
to provide ERSRI with official documentation supporting the information
provided by the Employer on the form;
4.
It shall be the responsibility of the member to see that the Employer
complete and submit the required form to ERSRI in a timely manner.
Incomplete or inaccurate forms will be returned to the member and will result
in a delay in processing the purchase and additional interest being added to
the cost of the purchase;
5.
Members electing to pay by installment shall pay consistent with Section 1.11.
1.6.14 Regulations Regarding Rhode Island General Laws (RIGL) §36-9-31, §16-16-
7.1, and §45- 21-53 Concerning the Purchase of Armed Service Credit.
A.
Introduction
1.
This Administrative Regulation pertaining to the purchase of armed service
credit is promulgated pursuant to RIGL §36-8-3. The Regulation shall be
applicable to all requests to purchase armed service credit.
B.
Definition of Armed Service
1.
Members with active duty in the following branches of the armed services
shall be allowed to purchase armed service credit:
a.
United States Army, United States Army Reserve and the National
Guard of the United States;
b.
United States Navy and United States Navy Reserve;
c.
United States Marine Corps and United States Marine Corps
Reserve;
d.
United States Coast Guard and United States Coast Guard Reserve;
e.
United States Air Force, United States Air Force Reserve and Air
National Guard of the United States;
f.
United States Public Health Service;
g.
Those merchant marine seamen manning army transports of
merchant ships operated for the United States War Shipping
Administration in war zone areas.
2.
For purposes of determining allowable National Guard time, only time spent
on active duty in the National Guard of the United States shall be
considered. Service in the full time National Guard or the National Guard of
a State, Territory, Commonwealth of Puerto Rico or District of Columbia shall
not be considered as service in the National Guard of the United States.
C.
Statutory Requirements
1.
In order to purchase armed service credit the following provisions shall apply
as required by law:
a.
The employee must be an “active” member of ERSRI pursuant to
RIGL §36-8-1(2), §16-16-1(1) or MERS pursuant to RIGL §45-21-
2(2), i.e. an employee for whom the retirement system is currently
receiving regular contributions;
b.
Only military time served prior to ERSRI or MERS membership is
eligible for purchase;
c.
The member must have been on active military duty;
d.
The amount of armed service credit is limited to a maximum of four
(4) years. Any purchase made after January 1, 1995 cannot bring the
member’s total purchased time above five years. Armed service credit
purchases completed prior to January 1, 1995 may bring the
member’s purchased time over five years;
e.
The member must have received an “honorable discharge”;
f.
Members on official leave of absence for illness or injury are also
eligible to purchase the time;
g.
The purchase cost shall be calculated at ten percent (10%) of the
member’s first year’s earnings as a state employee as defined in
Chapter 9 of Title 36, as a teacher as defined in §16-16-1 of Title 16,
and as a municipal employee as defined in Chapter 21 of Title 45.
First year’s earnings shall mean the first full, complete year’s
earnings. For Teachers, first year’s earnings shall mean contractual
salary based on a minimum of one-hundred eighty days (180).
Interest shall accrue from the date of enrollment into the system to
the date of purchase if purchased after completing five (5) years of
membership, i.e. if you had a withdrawal as a state employee your
first year’s earnings as a state employee will be used to calculate the
purchase, but if you are presently a teacher and had a withdrawal as
a state employee your first year’s earnings as a teacher will be used to
calculate the purchase;
h.
No interest will be assessed if the purchase is made within the first
five (5) years of membership in the retirement system or if purchased
by a member who was in the system prior to 7/1/80.
D.
Additional Requirements and Restrictions Regarding the Purchase of Armed
Service Credit
1.
When calculating allowable purchase time, no member shall be allowed to
purchase credit which, when totaled, pursuant to RIGL §36-9-25 provides
the member with more than one (1) year of service credit in any one (1)
calendar year;
2.
As of July 3, 1997, any active member shall only be allowed to purchase
armed service credit for the actual time he or she was on active duty. For
example, if a member was on active duty for ten (10) months and fifteen
(15) days, the member shall only be permitted to purchase ten (10) months
and fifteen (15) days. If a member served two (2) weeks summer duty in the
National Guard, the member shall only be permitted to purchase two (2)
weeks of armed service credit;
3.
Members shall request the purchase by completing in full and signing the
Military Credit Request form and submitting the form and the documentation
to ERSRI;
4.
Acceptable documentation includes a DD214, NGB 23, or other official
documentation from the military branch served in stating actual dates of
active duty service. Mere statements or affirmations by the individual
member as proof of active duty are not acceptable;
5.
Proof of honorable discharge must also be submitted;
6.
A member is prohibited from purchasing armed service credit which is being
credited towards retirement benefits in another system. Members who are
receiving a military pension or who are eligible to receive a military pension
based on this time shall be allowed to purchase the armed service credit;
7.
It shall be the responsibility of the member to submit the required form and
letter to ERSRI in a timely manner. Incomplete or inaccurate forms will be
returned to the member and will result in a delay in processing the purchase
and additional interest being added to the cost of the purchase;
8.
Members electing to pay by installment shall pay consistent with Section 1.11.
1.6.15 Rules Regarding Rhode Island General Laws (RIGL) §36-9-25.1, §36-9-20.5,
§16-16-5 and §45-21-14.2 Concerning the Purchase of Leave Service Credits
Including the Purchase of Service Credit While on Inactive Status – Workers’
Compensation.
A.
Introduction
1.
This Administrative Rule pertaining to the purchase of leave service credits
is promulgated pursuant to Rhode Island General Law (RIGL) §36-8-3. The
Rule shall be applicable to all requests to purchase under RIGL §36-9-25.1,
§36-9-20.5, §16-16- 5 and §45-21-14.2.
B.
Definitions
1.
References to the words “return to service” shall have the following
meanings:
a.
For purposes of this regulation relating to State Employees, consistent
with RIGL §36- 8-1(18) “service” shall mean service as an employee
of the State of Rhode Island as described in §36-8-1((9) For purposes
of this regulation relating to Teachers, consistent with RIGL §16-16-
1(a)(10) “service” shall mean service as a teacher as described in
§16-16-1(a) (12).
b.
For purposes of this regulation relating to Municipal Employees
including Police and Firefighters, consistent with RIGL §45-21-2(20)
“service” means service as an employee of a municipality of the state
of Rhode Island as described in §45-21-2(7) and §45-21.2-2.
C.
Statutory Requirements
1.
In order to purchase official leave the following conditions apply as required
by RIGL:
a.
For purchases consistent with §36-9-25.1(a), §36-9-20.5 and §45-21-
14.2., members must have at least one year of service;
b.
The member must have been granted an official leave of absence
without pay by their appointing authority;
c.
Subject to section (h) below: For state employees, before making the
purchase under §36-9-25.1 or §36-9-20.5, the member, upon
completion of his or her official leave, must return to state service for
at least one year. For teachers, the purchase pursuant to §16-16-5
may be made once he or she returns to active service as a teacher as
defined in RIGL §16-16-1(12). Municipal employees must immediately
return to municipal service for at least one year upon completion of
the official leave to be eligible to make the purchase under §45-21-
14.2. All employees must make contributions to the retirement system
upon return from official leave;
d.
State employees or teachers who are in an inactive status on
workers' compensation may purchase official leave credits, provided
the state employee or teacher has not terminated employment. State
employees and teachers may make the purchase while on official
leave. Municipal employees on official leave /workers compensation
must immediately return to municipal service for at least one year upon
completion of the leave pursuant to RIGL §45-21-14.2;
e.
The member must complete the purchase by making payment in full
on or before the date of retirement;
f.
For municipal employees, the purchase amount for requests for
official leave service credits, date stamped by ERSRI on or before
June 30, 2012, shall be equal to the contribution the employee would
have made to the retirement system based on his or her expected
compensation, as defined by RIGL §36-8-1(8), plus regular interest
compounded annually to the date of invoice by ERSRI.
g.
For state employees and teachers, purchase requests received and
date stamped after June 16, 2009 and prior to July 1, 2012 shall be at
full actuarial value consistent with RIGL §36-8-1(10). For state
employees, teachers and municipal employees, purchase requests
received and date stamped after June 30, 2012, shall be at full
actuarial value which shall be determined using the system’s
assumed investment rate of return minus one percent (1%) as defined
in RIGL §36-8-1(10)(ii).
h.
Consistent with RIGL §36-10-9(3)(vi), §16-16-12(d)(6), and §45-21-
16(2)(II)(v) effective July 1, 2012, the purchase must be made within
three (3) years of the time the official leave was concluded by the
member. Requests for service purchases from time periods prior to
June 30, 2012 may be made on or prior to June 30, 2015;
i.
Credit for official leaves of absence, including time spent out of work
on workers compensation shall be limited in the aggregate during the
total service of an employee to a period of four (4) years.
D.
Additional Requirements and Restrictions on the Purchase of Leave Service Credit
1.
This rule is applicable to all applications for the purchase of official leave
which are received and date stamped by ERSRI on or after the effective
date of this regulation.
2.
For Municipal employees, the return to service must occur immediately
following completion of the leave. Lapses of time between the end of the
leave and subsequent service for the state or another municipality or
teaching in any of the public schools as well as termination of employment
upon completion of or prior to completion of the official leave and
subsequent reemployment shall indicate that the employee does not meet
the requirements of this Regulation;
3.
The Official Leave Verification form must be completed by the employer,
current school official or former employer and must be submitted to ERSRI.
No request to purchase leave service credit will be granted without this
required documentation. No other documentation will be accepted.
4.
It shall be the responsibility of the member to see that all parties complete
the required form and the form must be submitted to ERSRI in a timely
manner. Incomplete or inaccurate forms will be returned to the member and
will result in a delay in processing the purchase and additional interest being
added to the cost of the purchase;
5.
Pursuant to RIGLs §36-9-47, §16-16-8.1, and §45-21-64 members electing
to pay by installment will have additional interest added to the cost of the
purchase in accordance with these statutes and Section 1.11;
6.
Leave without pay involving a reduction in scheduled work days or a
reduction in scheduled work hours shall not be considered an official leave
within the meaning of this Rule or RIGLs §36-9-25.1, §16-16-5 and §45- 21-
14.2 and is not eligible for purchase unless the following additional
requirements and conditions are met:
a.
State and municipal employees, and teachers, who are on reduced
schedule work days or reduced schedule work hours from their
regular full or part time employment must provide documentation of
the official leave from their regular full or part time employment, and
will be eligible to make the purchase upon return to service. The pre-
leave position must be a contributing position; i.e. not an emergency,
seasonal or casual employment position.
b.
For the purpose of calculating the four (4) year maximum allowance
for official leave purchases, a calendar year will be used for state and
municipal employees and a school year will be used for teachers.
E.
Regulation Effective Date
1.
These Regulations shall become effective upon adoption by the Board.
Thereafter, the Board shall file a copy of this Rule with the Secretary of
State.
1.7
Rules Regarding the Use of R.I.G.L. 36-10-18 Multiple
Beneficiaries
A.
Regulation Summary
1.
In 1994, the Rhode Island General Assembly amended R.I.G.L. 36-10-18 to
allow members of the Employees Retirement System of Rhode Island
(public school teachers and state employees only) to elect more than one
beneficiary to be the recipient of a survivor option under Rhode Island
retirement law. The option to elect multiple beneficiaries is not available to
state police, judicial, general municipal, or police & fire members of
retirement plans administered by ERSRI.
2.
This regulation explains the procedure to be utilized by ERSRI in
determining the amount due each qualified beneficiary.
B.
ERSRI Methodology on Multiple Beneficiaries Optional Annuity
1.
Section 1.7 and all applicable R.I.G.L. statutory rules shall be used in
determining a member’s optional annuity.
2.
Optional Annuity Multiple Beneficiary benefits will be determined as follows:
a.
The amount of the ex-member’s contributions shall be divided by the
number of multiple beneficiaries identified on the Optional Annuity
Form in order to calculate an equal amount of ‘return of contributions’
to be due each multiple beneficiary.
b.
The ex-member’s retirement benefit shall be calculated according to
the standard method for service retirement annuity (SRA or maximum
plan). If the member on the date of his/her death was not eligible for
retirement, the optional annuity shall be calculated using an actuarial
adjustment determined by the number of years the member was
below age or service requirements.
c.
The resulting SRA retirement benefit due the deceased member shall
be divided in equal shares between the multiple beneficiaries.
d.
The multiple beneficiaries shall have the choice of selecting either: (1)
return of contributions; or (2) an Optional Annuity benefit that has been
split evenly amongst the named multiple beneficiaries.
e.
It is not necessary that all multiple beneficiaries make the same
selection (i.e. One beneficiary may choose a return of contributions
while the others may choose the optional annuity.)
C.
ERSRI Methodology on Multiple Beneficiaries / Joint and Survivor Option One
1.
Section 1.7 and all applicable R.I.G.L. statutory rules shall be used in
determining a member’s survivor retirement benefit.
2.
Option One Multiple Beneficiary benefits will be determined as follows:
a.
The retiring member’s retirement benefit shall be calculated according
to standard method for service retirement annuity (SRA or maximum
plan);
b.
The SRA retirement benefit is then divided into equal shares
according to the number of named multiple beneficiaries;
c.
For a non-spouse beneficiary who is ten years (or more) younger
than the retiring member, Internal Revenue Service rules require an
actuarial reduction for retiring members utilizing Option One; See IRS
proposed regulation 1.401(a)(9)—2.
d.
Option One factors based on the multiple beneficiaries ages are then
applied to the equal shares;
e.
The sum of the actuarially reduced benefits shall be the retiring
member’s benefit during his/her lifetime.
D.
ERSRI Methodology on Multiple Beneficiaries / Joint and Survivor Option Two
1.
Section 1.7 and all applicable R.I.G.L. statutory rules shall be used in
determining a member’s survivor retirement benefit.
2.
Option Two Multiple Beneficiary benefits will be determined as follows:
a.
The retiring member’s retirement benefit shall be calculated according
to standard method for service retirement annuity (SRA or maximum
plan);
b.
The SRA retirement benefit is then divided into equal shares
according to the number of named multiple beneficiaries;
c.
Option Two factors will be applied to multiple amounts;
d.
The sum of the actuarially reduced benefits shall be the retiring
member’s benefit during his/her lifetime.
E.
Restrictions on the use of Multiple Beneficiaries as provided under R.I.G.L 36-10-
18
1.
Beneficiaries must be natural or adopted children or stepchildren and/or a
spouse or domestic partner of the ERSRI member. There is no restriction as
to the number of multiple beneficiaries.
2.
In the case of the death of a multiple beneficiary, the benefit of remaining
beneficiaries shall not be increased nor decreased.
3.
A multiple beneficiary’s benefit shall cease upon his/her death. There is no
additional benefit due the survivor or beneficiary of a multiple beneficiary.
4.
The multiple beneficiary option is not available to state police, judicial,
general municipal, or police & fire members of the retirement system.
1.8
Rules Regarding the Operation and Administration of Rhode
Island General Laws 36-10-18, 36-10-19, 45-21-30 and 45-21-51
concerning the right to revoke or modify a retirement option after
retirement
A.
Introduction
1.
These Administrative Rules pertaining to the right of a retired member to
revoke or modify their retirement option after retirement are promulgated
pursuant to R.I. General Laws Section 36-8-3. The Rules shall be applicable
to all changes requested pursuant to RIGL §36-10-19 and 45-21-30.
2.
This Regulation does not apply to retired members who selected to receive
retirement benefits per the Maximum Plan or the Social Security Option
provisions or to members of either the Judicial Retirement Plan or the State
Police Retirement Plan.
B.
Definitions
1.
Retired Member
A member of the Employees Retirement System of Rhode Island or the
Municipal Employees Retirement System whose application for retirement
benefits has been approved by the Retirement Board.
C.
Revocation/Modification of Retirement Option Selection
1.
Only retired members who have selected to receive retirement benefits
pursuant to Option One or Option Two shall be entitled to revoke or modify
their retirement option.
2.
A retired member may exercise his/her right to revoke or modify his/her
retirement option selection only one time. Additional requests to revoke or
modify an individual’s retirement selection are not permitted.
3.
Retired members who are receiving retirement benefits per the Maximum
Plan or the Social Security Option are not entitled to change their retirement
option selection.
4.
A retired member may revoke his/her selection of Option One or Option Two
and select the Maximum Plan.
5.
A retired member may modify his selection from Option One to Option Two
or from Option Two to Option One.
6.
Notice of modification or revocation must be filed with and approved by the
Retirement System prior to the commencement of divorce proceedings
against or by the named beneficiary being filed in the Rhode Island Family
Court or in a foreign court of equal jurisdiction.
D.
Process of Revocation/Modification
1.
A retired member seeking revocation or modification of his/her retirement
benefits must complete and return the form prescribed by the Retirement
System. No action will be taken on an oral request to revoke or modify a
retired member’s benefits.
2.
Revocation or modification will become effective in the month following
receipt of the signed form by the Retirement System.
3.
Any request for modification or revocation of benefits described in Section C
above must be received prior to the death of the retired member or if sent by
mail, post marked prior to the death of the retired member.
1.9
Rules pertaining to the application to receive an Ordinary or
Accidental Disability Pension
A.
Introduction
1.
These Administrative Rules pertaining to the application to receive an
Ordinary or Accidental Disability Pension are promulgated pursuant to
Rhode Island General Laws (R.I.G.L.) Section 36-8-3. The Rules shall be
applicable to the adjudication of all Ordinary Disability Pension applications
received pursuant to RIGL §36-10-12, §§36-10-13, 16-16-14, 16-16-15, 45-
21-19, 45-21-20, 45-21.2-7 and 45-21.2-8, and all Accidental Disability
Pension applications received pursuant to RIGL §§36-10-14, 36-10-15, 16-
16-16, 16-16-17, 45-21-21, 45-21-22, 45-21.2-9 and 45-21.2-10.
2.
This Regulation does not apply to members of the Judicial Retirement Plan
or the State Police Retirement Plan.
B.
Definitions
1.
“Active Member” shall mean any employee of the State of Rhode Island for
whom the Retirement System is currently receiving regular contributions
pursuant to RIGL §36-10-1 and §36-10-1.1; or any employee of a
participating municipality for whom the Retirement System is currently
receiving regular contributions pursuant to R.I.G.L. §45-21-41 and §45-21-
41.1; or any Police or Firefighter for whom the Retirement System is
currently receiving regular contributions pursuant to R.I.G.L. §45-21.2-14; or
any teacher for whom the Retirement System is currently receiving regular
contributions pursuant to R.I.G.L. §16-16-22 and §16- 16.22.1.
C.
Requirements for Application and Disability Determination
1.
Only active members or members on leave of absence for illness from the
Employees’ Retirement System of the State of Rhode Island (“ERSRI”) or
the Municipal Employees’ Retirement System of the State of Rhode Island
(“MERS”) with a minimum of five (5) years of contributing service, three (3)
of which must be consecutive, are eligible to receive an Ordinary Disability
Pension. The Board may consider members that are on workers
compensation to be on a leave of absence for illness within the meaning of
this regulation.
2.
Only active members of ERSRI or MERS are eligible to receive an
Accidental Disability pension. The application must be made within 5 years
of the accident for State employees, Municipal employees and Teachers and
within 18 months of the accident for Municipal Police and Firefighters. An
application must be filed within 3 years of a reinjury or aggravation of a prior
injury for State Employees and Teachers. For Municipal Police and
Firefighters, an application must be filed within 18 months of a reinjury or
aggravation of a prior injury.
3.
Any member eligible to receive a regular service retirement allowance is
prohibited from receiving an Ordinary Disability Pension. Any member who
has attained the age of sixty-five is prohibited from receiving an Accidental
Disability Pension.
4.
An applicant for a disability pension shall complete, sign and submit the
following forms and information prior to the application being reviewed by
the Disability Subcommittee of the Retirement Board. The information
includes, but is not limited to:
a.
Disability Retirement Application;
b.
Applicant’s Physician’s Statement for Disability Retirement;
(1)
Affirmation from applicant’s Physician as to whether applicant
has reached Maximum Medical Improvement (MMI)
c.
Employer’s Disability Statement;
d.
Current Job Description;
e.
For Accidental Disability Applications Only:
(1)
Any and all medical records from three (3) years prior to the
alleged accident through the date of the application for
benefits. An applicant unable to produce requested medical
records must complete an affidavit, attesting under the
penalties of perjury, that no records exist;
(2)
An injury or accident report related to the alleged injury;
(3)
All accident or injury reports filed by or on behalf of the
applicant with any employer, at any time, for any purpose;
(4)
All urgent care records of the applicant related to the alleged
accident.
(5)
Work history to include only those days absent from work and
the reason for the absence(s) for three years prior to and three
years after the date of the alleged accident.
5.
Subject to Section 1.9(J), after submitting a disability retirement application,
applicants will have 90 days to submit all applicable documents listed in
subsection 4 above. Should the applicant fail to submit all applicable
documents listed in subsection 4 within 90 days of the date ofapplication, the
Disability Subcommittee may recommend denial of the application, and the
Retirement Board may approve the denial.
6.
An applicant for an Ordinary or Accidental Disability Pension must be
examined by three independent physicians engaged by the Retirement
Board. Payment for these examinations and any test required as a result of
the examinations shall be borne by the Retirement Systems. It is the
responsibility of the applicant to contact these independent physicians to
make an appointment for examination within 30 days of receipt of the
physicians’ contact information from the Retirement System. If all required
independent medical examinations are not completed within one (1) year of
the filing of the application, the Disability Subcommittee and/or the
Retirement Board shall either require that a new application be submitted, or
deny the application.
7.
Beyond the communication necessary to schedule and complete the
required medical examinations, neither applicants nor their attorneys shall
make any further inquiries of, nor have any further communications or
contact with the independent physicians engaged by the Retirement Board.
Once the examination is concluded, neither the applicant nor his/her counsel
shall have any further communication with any of the independent
physicians regarding the physician’s findings, conclusions,
recommendations or any other aspect of the examination. If an applicant or
his/her attorney has any such communication or contact with the
independent physician(s), the Retirement Board and/or its Disability
Subcommittee may deny the application or may choose to disregard any
materials generated by said physician(s) following such communication or
contact.
D.
Statutory Standard for Ordinary and Accidental Disability
1.
Upon review of the reports of the medical examinations of the physicians
engaged by the Retirement Board, the Disability Subcommittee may
recommend that the Retirement Board grant the member an Ordinary or
Accidental Disability Pension.
2.
For a member to receive an Ordinary Disability Pension, the Disability
Subcommittee must determine that a member is physically or mentally
incapacitated from the performance of duty and ought to be retired.
3.
For a State Employee, Teacher, Municipal Employee, Municipal Police
Officer or Fire Fighter to receive an Accidental Disability Pension, the
Disability Subcommittee must make a determination that the applicant is
physically or mentally incapacitated for the performance of service as a
natural and proximate result of an accident sustained while in the
performance of duty, that the disability is not the result of willful negligence
or misconduct of the member, and is not the result of age or length of
service, and that the member has not yet attained the age of 65. The
applicant must the definite time, place, and conditions of the duty performed
by the member and the incident resulting in the alleged disability for the
member to be eligible for an accidental disability pension.
4.
Although the language in the ordinary disability statutes (R.I.G.L. §§36-10-
12, 16-16- 14, 45-21-19, and 45-21.2-7) and the accidental disability statutes
(R.I.G.L. §§36-10- 14, 16-16-16, 45-21-21 and 45-21.2-9) differ slightly, the
Retirement Board endeavors to interpret the language of all the accidental
disability statutes consistently with one another, and the language of all of
the ordinary disability statutes consistently with one another wherever
possible.
E.
Consideration by the Disability Subcommittee
1.
Upon determination by the administration of the retirement systems that the
applicant has complied with Section 1.9.C(4), the application will be
forwarded to the Disability Subcommittee which shall review the submitted
material.
2.
The Disability Subcommittee will vote to recommend approval or denial, or
may postpone the application for the submission of additional material, and
will thereafter recommend a final determination to the Retirement Board.
3.
Applications may be postponed pending the submission of additional
information requested by the Subcommittee or desired to be presented by
the applicant. If a matter is postponed, every effort will be made to
reschedule the matter for the next regularly scheduled meeting. The matter
may be postponed as many times as is necessary to ensure that all
pertinent information has been received from the applicant for review by the
Disability Subcommittee. Failure to respond to a request for information by
the Disability Subcommittee within 30 days of the date of the request may
result in a recommendation of denial of the application by the Disability
Subcommittee.
4.
The Disability Subcommittee may require the applicant to appear before the
Disability Subcommittee to answer questions regarding his or her application
for disability benefits.
F.
Request for Reconsideration
1.
Any member aggrieved by a decision of the Retirement Board to accept a
recommendation of the Disability Subcommittee to deny his or her
application for Ordinary or Accidental Disability Benefits, may request that
the application be reconsidered by the Disability Subcommittee.
2.
Such request shall be in writing and shall be sent to the Executive Director
of ERSRI within thirty (30) days of the date of mailing of the notification that
the Retirement Board has accepted the Disability Subcommittee’s
recommendation of denial.
3.
A request for reconsideration shall be signed by the member or the
member’s attorney and shall contain the following:
a.
Name of member;
b.
Date and nature of decision being contested; and
c.
A clear statement of the objection to the decision.
4.
Requests for reconsideration should be sent to the Executive Director,
Employees’ Retirement System of Rhode Island, 50 Service Avenue, 2nd
Floor, Warwick, RI 02886- 1021.
5.
Failure to strictly comply with the procedures outlined in this Section shall be
grounds to deny any request for reconsideration.
G.
Reconsideration Notice
1.
Upon receipt of a request for reconsideration, the matter shall be assigned
to the Disability Subcommittee for a reconsideration hearing date within sixty
(60) days of receipt of the request for reconsideration.
2.
The notice of the reconsideration hearing date shall contain:
a.
A statement of the time and place of the reconsideration hearing;
b.
A statement that a party who fails to attend or participate in the
reconsideration hearing may be held to be in default and may have
the original denial of his or her application affirmed by the Disability
Subcommittee and/or the Retirement Board without further hearing.
H.
Additional Documentation before the Disability Subcommittee
1.
Any applicant wishing to present additional documentation during the
reconsideration hearing before the Disability Subcommittee must forward to
the Disability Subcommittee ten (10) copies of the additional documentation
a minimum of ten (10) days prior to the date of the reconsideration hearing.
The hearing to reconsider the Disability Subcommittee’s original
recommendation of denial with respect to the applicant’s application for a
disability pension is the applicant’s opportunity to explain to the Disability
Subcommittee why the applicant believes he/she is entitled to a disability
pension and why he/she believes the initial decision was erroneous, or to
present new evidence or documentation which was previously unavailable in
support of the applicant’s application. Fifteen minutes will be allotted for any
applicant wishing to appear before the Disability Subcommittee at the
reconsideration hearing. An applicant may represent him/herself at this
hearing or may be represented by an attorney. Consistent with RIGL §11-
27-2, any person accompanying the applicant who is not a lawyer (certified
member of the bar of the State of Rhode Island), cannot represent the
applicant before the Disability Subcommittee.
I.
Recommendation of the Disability Subcommittee after Reconsideration
1.
Upon completion of the reconsideration hearing, and subject to any further
postponements the Disability Subcommittee may deem necessary or
advisable, the Disability Subcommittee will recommend to the Retirement
Board either approval or denial of the member’s application for an Ordinary
or Accidental Disability Pension.
2.
The Retirement Board shall notify the applicant of its decision to accept or
reject the recommendation of the Disability Subcommittee which, if denied,
the notice of final decision will constitute final administrative action for all
purposes pursuant to R.I.G.L. §42-35-1, et. seq.
J.
Applications by Terminal Members
1.
An application for accidental or ordinary disability benefits on behalf of a
member whose disability is deemed terminal by the Board’s medical advisor
may be considered with only one additional medical report by an
independent physician. The ERSRI medical advisor must supply the
Disability Subcommittee with a written certification of the terminal status of
the member.
2.
When a member, whose accidental or ordinary disability application has
been accepted by the Disability Subcommittee, and who has completed 3
independent medical examinations, dies prior to the approval of the disability
pension, the Retirement Board may award the disability to the member’s
beneficiary provided an option selection form indicating Option One or
Option Two had been received by the Retirement Board prior to the
member’s death.
K.
Subcommittee Composition
1.
The composition of the subcommittee shall be consistent with ERSRI
Regulation Section 1.1.1(K) with the following exception:
a.
For board members allowed to send a designee to represent him/her
on the disability subcommittee, a written proxy statement must be
provided to the full Board one month in advance of the next regularly
scheduled meeting for their consideration.
b.
Upon approval by the Board, the designee shall be required to attend
a minimum of two meetings before serving as the voting designee
and will be provided training material by ERSRI on the operation and
adjudication process currently employed by the committee.
c.
In the event the approved designee is unable to attend a meeting
because he/she has notified the Executive Director at least 10
business days before the scheduled meeting that they are unable to
attend; is involved in an emergency beyond their control; or contracts
an illness the day of the meeting and notifies the Executive Director
before the start of the meeting, the Board member, except the public
representatives, will be allowed to send another designee to
represent him/her for the designated committee meeting.
(1)
Such absences shall be limited to 2 meetings annually.
1.10 Rules Regarding the Operation and Administration of Rhode
Island General Laws 16-16-1(12) and 16-16-5 regarding creditable
service as a teacher member of the Employees Retirement System of
Rhode Island
A.
Regulation Summary
1.
This regulation governs the determination of creditable service for teacher
members of the Employees’ Retirement System of Rhode Island (ERSRI).
This regulation does not apply to state employee members, members of the
Municipal Employees’ Retirement System (MERS), or members of the
Judicial Retirement Plan or State Police Retirement Plan.
B.
Definitions
1.
School Year: “School year” shall be defined as the number of days required
by R.I. G.L. 16-2-2 that school be in session.
C.
Statutory Standard
1.
Every teacher as defined in R.I.G.L. 16-16-1(a)(12)who is an active member
of the Employees Retirement System of Rhode Island shall be eligible for
one year of service credit for each school year served as a teacher.
D.
Service Credit for Classroom Teachers
1.
In those years in which a teacher works less than the total number of days in
a school year the Employees’ Retirement System will award service credit
according to the following schedules:
a.
For service credits accrued prior to November 17, 2011, the following
schedule shall apply:
45 days
= 3 months service credit
67 days
= 6 months service credit
91 days
= 9 months service credit
135 days
= 1 year service credit
b.
For service credits accrued on and after November 17, 2011, service
credits are calculated on a proportional basis based on days worked
and the following schedule shall apply:
45 days
= 3 months service credit
90 days
= 6 months service credit
135 days
= 9 months service credit
180 days
= 1 year service credit
c.
For example, a Teacher is able to retire as of November 9, 2013.
How much credit will be awarded for the 2013-2014 school year?
(1)
Step 1. Count the number of days to November 9 from the
beginning of the school year i.e., September 1st = 47 days
(2)
Step 2. Divide the number of school days by 180 47/180 =
.2611
(3)
Step 3. Multiply .2611 x 12 months .2611 x 12 = 3.1332
(4)
The result is 3.1332 months. To get the days, multiply .1332 x
30 days which is 4 days. Therefore, the Teacher will get 3
months and 4 days of credit for the 2013- 2014 school year.
E.
Effective Date
1.
This regulation shall take effect upon promulgation.
1.11 Rules Regarding the Operation and Administration of Rhode
Island General Laws 16-16-8.1, 36-9-41 and 45-21-64 regarding
Purchase of service credits payable by installment
A.
Regulation Summary
1.
This regulation governs procedure for installment payments on optional
service credits purchases (OSC) to members of the State and Teacher
Retirement System (ERS) and Municipal Employees Retirement System
(MERS).
B.
Definitions
1.
Regular Interest – Shall mean interest paid on a lump sum purchase as
defined in 36-8- 1(14).
2.
Active Member – Shall be defined as is in RIGL 36-8-1 (2), 16-16-1(1) and
45-21-2 (2).
3.
Installment Interest – Shall be defined as the actuarial assumed rate of
return adopted by the board pursuant to RIGL 36-8-13.
4.
Prorated Agreement – Shall be calculated using a fraction. The numerator
shall be the number of payments made on the installment agreement and
the denominator shall be the total number of payments required to complete
the agreement. This fraction shall be multiplied by the total years of service
being purchased through the installment. For example:
Total installment payments – 12
Total time being purchased – 7years, 0 months, 0 days Installment
payments made before termination – 6
a.
6/12 = 0.5
b.
0.5 x 7years = 3.5
Service awarded at time of termination is 3 years, 6 months, 0 days
C.
Procedure
1.
ERSRI will first create a cost calculation for the service being purchased
based on parameters (member-specific data, rules relative to the plan, type
of service being purchased, etc.) pursuant to Rhode Island General Laws.
The member shall select to purchase the service credits through either a
lump-sum payment or an approved installment plan.
a.
A member may not enter into an installment agreement and make a
lump sum payment, nor may a member enter into a lump sum
agreement and make installments. The payment selection made is
irrevocable consistent with federal law.
2.
Installment agreements are calculated on an amortized payment schedule
using interest at the actuarial assumed rate of return adopted by the board.
a.
Neither installment interest or regular interest is posted to a member
account. Neither is refundable. Only the principal portion (or the
portion that is effectively the missing contributions on wages being
replaced) is posted to the member account.
b.
Agreements, which will be paid using “rollover” funds, must be set up
to accept rollover money at their creation. An agreement that has not
been set-up to accept rollover funds must be cancelled, and a new
agreement created if the member wishes to pay with rollover monies.
This will require the cancelled agreement to be prorated.
c.
The service is not awarded nor are contributions posted to the
member account until the agreement has been completed or prorated
due to cancellation of the agreement. Therefore, member account
balances are not affected over the life of an installment agreement. In
the member annual statement, summary information regarding "in
process" and "completed" purchase agreements will be included.
d.
Payment frequencies from active Member Agencies on installment
agreements are set at one (1) per month. Early payments cannot be
applied to principal, thereby changing the structure of the agreement.
Therefore, the total interest on an installment payment plan will
remain the same throughout the life of the agreement.
e.
Payments on installment agreements may be accepted from active
Member Agencies (via payroll deduction.) The payment frequency is
fixed at one (1) per month; the employer shall conform to all the
reporting and transmittal of OSC funds on a monthly basis, regardless
of their wage and contribution reporting frequency.
(1)
In the event, an employer becomes delinquent remitting
payments to ERSRI on installment agreements, the member
shall not be held in default and the agreement shall not be
cancelled. ERSRI may seek penalty interest from the
employer.
3.
Pursuant to RIGL 45-26-56, 45-21-12.1, 36-9-20, and 16-16-8, requiring the
present value of accrued benefits (PVAB) be transferred from one employer
reserve to another at the time a member changes employment, installment
agreements must be prorated and posted to the member account at the time
of the termination of employment. Proration of an agreement results in
service and contributions being reported to the plan and employer reserve
that the member belongs to at the time the agreement is entered into.
A.
Therefore, since the agreement is irrevocable the member will be
required to continue the purchase of the remaining allowable service
with a new agreement after being enrolled with the new employer.
D.
General Policies
1.
Should someone cease being an active member prior to completion of the
installment agreement for any reason, including death and termination (both
voluntary and involuntary), the agreement will become null and void at the
effective date of termination and will be prorated at the time of termination. If
applicable, the member may have the option of paying in lump sum, the
amount necessary to complete the service credit originally provided in the
installment agreement. These payments must be received by ERSRI within
30 business days from the effective date of termination.
a.
In case of the death of an active member with an active installment
agreement, the beneficiary shall be provided the option of completing
the agreement by making a lump-sum payment for the outstanding
balance of the agreement at the time of the participants death The
procedure shall be that the installment agreement becomes null and
void at the effective date of termination and will be prorated at the
time of termination.
(1)
If applicable, funds from the death benefit payment may be
used toward the lump-sum payment of the cancelled
agreement. The beneficiary will be required to execute ERSRI
transfer documents to effectuate the transfer of the death
benefit.
2.
If an agreement needs to be prorated for any reason and a lump sum is
computed, interest on the lump sum shall be computed to the date of
termination of employment, death or cancellation of the agreement.
E.
Effective Date
1.
This regulation shall take effect January 1, 2002
1.12 Rules regarding Rhode Island General Laws §36-10-14 and §16-16-
16 concerning retirement for accidental disability and the definition of
the terms of “aggravation” and “reinjury”.
A.
Introduction
1.
This Administrative Rule pertaining to the definition of “aggravation” is
promulgated pursuant to Rhode Island General Laws Section 36-8-3. The
Rules shall be applicable to all applications for disability pensions under
RIGL § 36-10-14 and § 16-16-16.
B.
Definitions
1.
“Aggravation” shall mean an intervening work-related trauma that
independently contributes to a member’s original injury that amounts to more
than the natural progression of the preexisting disease or condition, and is
not the result of age or length of service. The intervening independent
trauma causing the aggravation must be an identifiable event or series of
work-related events that are the proximate cause of the member’s present
condition of disability.
2.
“Reinjury” shall mean a recurrence of the original work-related injury from a
specific ascertainable event. The specific event must be the proximate
cause of the member’s present condition of disability.
1.13 Definitions for Use in Administration of the Employees’
Retirement System of the State of Rhode Island and the Municipal
Employees’ Retirement System of the State of Rhode Island, Regarding
Rhode Island General Laws Title 45, Chapter 21.2, and the definitions of
Police Official, Police Officer and Firefighter.
A.
Introduction
1.
The Retirement Board of the Employees’ Retirement System of the State of
Rhode Island and the Municipal Employees’ Retirement System of the State
of Rhode Island, is vested with authority to establish rules and regulations
for the administration and transaction of the business of the Retirement
Systems, in connection with its management of the various retirement and
pension plans that provide retirement, survivor and disability benefits for
state employees, public school teachers, and participating municipal
employees.
2.
It is the intent of the Administrative Rules set forth herein to provide uniform
definitions for use by the Retirement Board in administering and transacting
the business of these Retirement Systems, and the various pension and
retirement plans the Board is entrusted with managing.
3.
Statutory References: R.I.G.L. §36-8-3; §45-21-32, §45-21.2-1, et seq.; and
§16-16-1, et seq.
B.
Definitions
1.
Police Official, Police Officer
a.
For purposes of Title 45, Chapter 21.2 of the Rhode Island
General Laws, entitled Optional Retirement for Members of
Police Force and Fire Fighters, the terms “Police Official” or
“Police Officer” shall mean those employees who meet the
following criteria:
(1)
Such employees must have successfully graduated
from a recognized police academy; and
(2)
Such employees must maintain all of the qualifications
required during any period of employment in law
enforcement in either a municipal or state department;
and
(3)
Such employees must be regular and permanent
uniformed members of a municipal or state police force,
and
(4)
The primary function of such employees is to regularly
and routinely engage in the delivery of crime prevention
services.
b.
“Police Official” or “Police Officer” shall only be deemed to
include dispatchers and administrative or clerical staff if the
employee satisfies the requirements set forth in Sections (a)(1)
through (a)(4) above, and:
(1)
The functions are performed on a temporary or limited
basis; or
(2)
As a result of a physical or mental limitation of the
member, such dispatcher or administrative or clerical
position is the only position available.
2.
Fire Fighter
a.
For purposes of Title 45, chapter 21.2 of the Rhode Island
General Laws, entitled Optional Retirement for Members of
Police Force and Fire Fighters, the term “Fire fighter” shall
mean those employees who meet the following criteria:
(1)
Such employees must have successfully completed all
local hiring and state requirements for becoming a
firefighter in a state, city, town, fire district, Municipal
Corporation, or in a city, town, or fire district
rescue/emergency medical service organization.
Requirements may include, but are not necessarily
limited to, successful completion of any and all requisite
trainings, successful completion of any and all physical
performance, written and/or psychological
examinations, and/or graduation from a recognized
training academy;
(2)
Such employees must successfully maintain all of the
required qualifications, certifications and licenses during
any period of employment in a fire fighting or
rescue/emergency medical service organization as
provided for in departmental rules and regulations and
collective bargaining agreements, all subject to review
and approval by ERSRI should a conflict or
misinterpretation exist, and
(3)
Such employees must be either:
(AA) Regular and full-time permanent
uniformed members of a municipal or
state firefighting service, fire district, fire
department or municipal corporation
whose primary function is to regularly and
routinely engage in
firefighting/suppression activities,
hazardous materials mitigation, fire
prevention and training; or
(BB) A regular and permanent member of a city
or town rescue/emergency medical
service organization or a municipal
corporation whose primary function is to
regularly and routinely engage in the
delivery of rescue or emergency medical
services as their primary function.
(CC) The term “Fire fighter” shall not include
those positions that do not regularly and
routinely engage in the duties as
described above such as fire truck or
vehicle mechanics, dispatchers, apparatus
maintenance personnel, clerical or
administrative positions, and any other
non-firefighter or non-emergency medical
personnel positions.
(DD) The term “Fire fighter” shall only be
deemed to include dispatchers and
administrative or clerical staff if the
employee satisfies the requirements set
forth in Sections (a)(1) through (a)(3)
above, and:
(EE) The functions are performed on a
temporary or limited basis pending
transition to a Fire fighter; or
(FF)
As a result of a physical or mental
limitation of the member, such dispatcher
or administrative or clerical position is the
only position available.
3.
Regular and Permanent
“Regular and permanent full-time” shall mean usual, customary, not a
substitute, established and lasting or intended to last indefinitely without
change.
C.
Effective Date
1.
This Rule shall become effective upon adoption by the Board, and shall
have prospective application from the date of adoption.
2.
For active members who contribute to the Municipal Employees’ Retirement
System under Rhode Island General Laws Title 45, Chapter 21.2 as of the
date of adoption, and do not meet the standard of this regulation, the ERSRI
will evaluate the member(s) and determine if they substantially meet the
spirit of this promulgated regulation. If the Board makes a determination that
the member(s) do not meet the spirit of the standard, member contributions
in excess of what is required under RIGL §45-21.2-14 and/or §45-21.2-22
shall be returned to the member and the member will be enrolled in the
Municipal Employees’ Retirement System consistent with Title 45, Chapter
21.
1.14 Rhode Island Retirement Security Act of 2011 Regulations
1.14.1 Concerning the Interpretation of the Procedure for Service Retirement
Statutes Under Titles 36, 45 And 16.
A.
Introduction
1.
This Administrative Rules pertaining to the Rhode Island Retirement
Security Act of 2011 are promulgated pursuant to Rhode Island General
Laws Section 36-8-3.
B.
Application of §16-12-12 (c)(iv)
1.
The language in RIGL §16-16-12(c)(iv) differs slightly from language in RIGL
§36-10-9(c)(iv) and RIGL §45-21-16(ii)(D). The Retirement Board endeavors
to interpret the language of each of these procedures for service retirement
statutes consistently with one another.
2.
Accordingly, the reference to this section found in the first sentence of RIGL
§16-16-12 (c)(iv) shall be interpreted to mean section 16-16-12(c).
1.14.2 Concerning the Interpretation of the Definition for Average Compensation
Under §36-8-1(5)(B)
A.
Introduction
1.
This Administrative Rule pertaining to the Rhode Island Retirement Security
Act of 2011 is promulgated pursuant to Rhode Island General Laws Section
36-8-3.
B.
Application of §36-8-1(5)(B)
1.
Under this section, for members who become eligible to retire on or after
July 1, 2012, if more than one half (1/2) of the member’s total years of
service consist of years of service during which the member devoted less
than thirty (30) business hours per week to the service of the state, but the
member’s average compensation consists of three (3) or more years during
which the member devoted more than thirty (30) business hours per week to
the service of the state, the member’s average compensation shall mean the
average of the highest ten (10) consecutive years of compensation within
the total service when the average compensation was the highest.
2.
The Retirement Board recognizes that one of the intentions of the Rhode
Island Retirement Security Act of 2011 is to protect a member’s accrued
benefit on June 30, 2012. See, e.g., R.I.G.L. Sections 36-10-9, 16-16-12, 45-
21-16, 45-21-2(8), 45-21.2-5, 45-21.2.2, and 42-28-22.
3.
Furthermore, the Retirement Board recognizes the need for a consistent
method of interpretation and administration of the provisions of the Act
wherever possible, in order to efficiently and fairly administer the retirement
systems. The Retirement Board further recognizes that R.I.G.L. §§ 45- 21-
2(8) and 45-21.2-2 specifically protect a member’s accrued benefit on June
30, 2012, consistent with the Rhode Island Retirement Security Act of 2011,
by providing that in no event shall a member’s final compensation be lower
than his or her final compensation determined as of June 30, 2012. In order
to ensure fairness and consistency in its interpretation and administration of
the retirement systems, and consistency with the expressed intention of the
Rhode Island Retirement Security Act of 2011, the Retirement Board shall
interpret and administer R.I.G.L. §36-8-1(5)(b) consistently with R.I.G.L.
§§45-21-2(8) and 45-21.2-2, and in no event shall it deem a member’s
average compensation to be less than his or her average compensation
determined as of June 30, 2012.
1.14.3 Concerning the Designation of “Pay-Go” Judges Contributions as 414(H)(2)
Contributions and Adoption of Trust Agreement Effective July 1, 2012
A.
Introduction
1.
This Administrative Rules pertaining to the Rhode Island Retirement
Security Act of 2011 are promulgated pursuant to Rhode Island General
Laws Section 36-8-3.
B.
Member Contributions
1.
For purposes of Sections §8-3-16, §8-8-10.1, §8-8.2-7 and §28-30-18.1,
contributions commencing July 1, 2012 for judges hired on or before
December 31, 1989, shall be designated as contributions within the meaning
of Internal Revenue Code Section 414(h) and shall be made to a trust
established effective July 1, 2012.”
C.
Regulation Effective Date
1.
These Rules shall become effective upon adoption by the Board. Thereafter,
the Board shall file a copy of these Rules with the Secretary of State.
1.15 Access to Public Records
A.
Introduction
1.
In accordance with Rhode Island General Laws (RIGL) §38-2-3(d), the
Employees’ Retirement System of Rhode Island (ERSRI)and Municipal
Employees’ Retirement System (MERS) has instituted the following
procedures to help you obtain public records from our agency. ERSRI and
MERS are state administered retirement systems.
B.
Designated Public Records Officer
1.
The designed public records officer for the Employees’ Retirement System
of Rhode Island is:
Internal Legal Counsel
Employees’ Retirement System of Rhode Island
50 Service Avenue, 2nd Floor
Warwick, RI 02886
(401) 462-7616 (phone)
(401) 462-7691 (fax)
APRA@ersri.org
C.
Public Records Requests
1.
If you wish to make a public records request, please follow the instructions
below:
a.
For all non-media requests, please hand deliver, mail, email or fax a
written request to the attention of the designated public records
officer. The contact information for the designated public records
officer is listed above.
b.
For all media requests, please contact the media relations person at
the Office of the General Treasurer at (401) 222-2397.
c.
A written request is not required for information available pursuant to
RIGL §42-35-2 (Administrative Procedures Act) or other documents
prepared for or readily available to the public.
2.
The following instructions are recommended by the Employees’ Retirement
System of Rhode Island:
a.
In order to ensure that you are provided with the public records you
seek in an expeditious manner, we ask that you complete the Public
Records Request Form located in our office and on our website at
www.ersri.org.
b.
In lieu of completing the form, please provide your name and contact
information in order to clarify any questions or concerns that may
arise pertaining to your request.
c.
To the greatest extent possible, clearly describe and numerically
itemize each requested document or item.
d.
Please provide the office with instructions pertaining to the method
you would prefer to receive the information. For example, write
whether you would prefer to have the requested materials mailed or
emailed to you.
D.
Additional Information
1.
We may ask you the reason for your request. However, you are not required
to provide your identification or the reasons you seek the information. Your
right to access public records will not depend upon providing identification or
reasons.
2.
The Rhode Island Access to Public Records Act (APRA) is codified in
Chapter 2 of Title 38 of the Rhode Island General Laws (RIGL). Please visit
the following link to review the law:
http://webserver.rilin.state.ri.us/Statutes/TITLE38/38- 2/INDEX.HTM
3.
Please be advised that the Access to Public Records Act permits a public
body ten (10) business days to respond, which can be extended an
additional twenty (20) business days in accordance with the statute.
4.
ERSRI reserves the right to charge for the cost of copying and/or search and
retrieval of records. Before assessing any costs, the office will notify you of
the anticipated costs. The cost per copied page of written documents
provided shall not exceed fifteen cents ($0.15) per page. Hourly costs for
search and retrieval shall not exceed fifteen dollars ($15.00) per hour and no
costs shall be charged for the first hour of a search or retrieval.
5.
If you feel that you have been denied access to public records, you have the
right to file an appeal to the Executive Director of ERSRI. If you are still not
satisfied, you have the right to file a complaint with the Attorney General or
file suit in Superior Court.
6.
A copy of the Attorney General’s Guide to Open Government can be found
at: http://www.riag.ri.gov/civil/opengovernment.
7.
The Office of the General Treasurer's website and the Employees'
Retirement System of Rhode Island's (ERSRI) website are great resources
to access public information. Please do not hesitate to call the offices for
assistance navigating through the websites. The links to the websites and
the office numbers are as follows:
1.16 Regulation Regarding the Election of Rhode Island General Law
§36-10-10.3 and §45-21-17.2 Social Security Supplemental Option
A.
Introduction
1.
This Administrative Regulation pertaining to the election of the social
security supplemental option is promulgated pursuant to Rhode Island
General Law (RIGL) §36-8-3. The Regulation shall be applicable to all state
employees, correctional officers, teachers and municipal employees who at
the time of retirement, prior to November 17, 2011, elected the social
security supplemental option under RIGLs §36-10-10.3 or §45-21-17.2 and
who have not reached age 62.
B.
Application of RIGLs §36-10-10.3 and §45-21-17.2
1.
RIGLs §36-10-10.3 and §45-21-17.2 permit a vested member to elect this
option which provides for payment of a larger benefit before the attainment of
age 62 and a reduced amount thereafter. The reduced amount shall be
equal to the benefit before age 62 including cost of living increases minus
the member’s estimated social security benefit payable at age 62. The
benefits payable before and after the attainment of age 62 will be actuarially
determined to be equivalent to the lifetime service retirement allowance as
determined in 36-10-10 and 45-21- 17 respectively.
2.
This option is not available for Police/Fire retirees, Disability retirees, Nurses
retiring from the Department of Behavioral Healthcare Developmental
Treasury: http://www.treasury.ri.gov/ (401) 222-2397
ERSRI:
https://www.ersri.org/
(401) 462-7600
Disabilities and Hospitals or Department of Mental Health Retardation and
Hospitals or schedule B retirees.
3.
The purpose of this regulation is to permit retirees who had elected the
social security supplemental option at the time of retirement and prior to
November 17, 2011, to adjust the effective date of the reduction of the larger
benefit before the attainment of age 62. This regulation does not apply to
any member retiring on or after November 17, 2011. The adjustment under
this regulation will be actuarially determined to be equivalent to the lifetime
service retirement allowance as determined in § 36-10-10 or §45-21-17.
Members are precluded from selecting joint and survivor options pursuant to
RIGL §36-10-19 and §45-21- 30.
C.
Procedure for Modification
1.
Eligible retirees will be given a one-time election to adjust the effective date
of the reduction of the larger benefit before the attainment of age 62. This
selection shall be deemed irrevocable on issuance of the first payment.
Retirees, before the attainment of age 62, who select this adjustment, will
have their current benefit adjusted during calendar year 2014 (January 1,
2014 to December 31, 2014).
2.
Upon request, on a form provided by ERSRI, an eligible retiree’s current
benefit will be reduced on the month following the retiree’s birthday during
calendar year 2014 based on an actuarial equivalent amount provided for
this purpose. The actuarial equivalent amount will be developed by the
System actuary and will be based on the assumptions and tables
established on the retiree’s date of retirement.
3.
Retirees must submit their request on the ERSRI form no later than sixty
(60) days prior to the member’s birthday in calendar year 2014. In all cases,
the eligible retiree will receive a larger benefit before the attainment of age
62 and a reduced amount thereafter, and the reduced amount shall be equal
to the benefit before the reduction, including cost of living increases, minus
the retiree’s estimated social security benefit payable at age 62, and the
benefits before and after the adjustment will be actuarially determined to be
equivalent to the lifetime service retirement allowance as determined by
RIGL §36-10-10 or §45-21-17 respectively, as required by the Rhode Island
General Laws.
4.
Example of an adjustment:
a.
Retirement Data
Age at Retirement: 55
Base Benefit: $4,750 per month (Prior to election of optional form)
Social Security Option Elected at Retirement, adjustment of $1,060
Benefit Until Age 62: $5,810 per month (Current Retiree Payment)
Age 62 Reduction: $1,767 per month ($21,200 per year)
Benefit at Age 62: $4,043 per month
b.
Optional Adjustment
Age at 2014 Birthday: 60
Benefit Until Age 60: $5,810 per month (Current Retiree Payment)
Age 60 Reduction: $1,582 per month (from actuarial calculation)
Benefit at Age 60: $4,228 per month
c.
The reduction amount is not impacted by past or future COLAs.
D.
Effective Date
1.
This Regulation shall become effective upon adoption by the Board.
1.17 Rules for Exceeding the Allowable Monetary Limits at a State
College, University or State School and State Operated Facility
A.
Authority
1.
This regulation pertaining to post retirement employment is adopted by the
Employees’ Retirement Board pursuant to the statutory authority found in
Rhode Island General Laws §36-8-3.
B.
Definitions
1.
“Calendar Year” means January through December.
C.
Rules for Exceeding the Allowable Monetary Limits at a State College, University or
State School and State Operated Facility
1.
The purpose of this regulation is to ensure consistent application of the
Retirement Board laws and rules governing post retirement employment.
Specifically, this regulation provides the process and procedures for
determining when a retiree exceeds the statutory earnings limitations and
how the retirees’ pension benefit will be affected pursuant to Rhode Island
General Laws §36-10-36(d) (2), (3) & (4), The provisions of Section 1.17(C)
shall be applicable to all retired members of the Employees’ Retirement
System of Rhode Island and Municipal Employees’ Retirement System who
retired under the provisions of Title 36 Chapters 8-10, Title 16 Chapter 16
and Title 45 Chapters 21 and 21.2 of the Rhode Island General Laws.
D.
Procedure for Suspension of Pension Benefits and Recouping Overpayments
1.
Once the retired member reaches the monetary limit provided by law, the
retired members’ pension benefit shall be suspended in the following
manner should they continue employment:
a.
The retired member’s pension benefit will be suspended for the
remainder of the calendar year. Upon notification of termination from
employment or the retired member’s last day of employment in the
calendar year to ERSRI, the retired member’s pension benefit will be
reinstated.
(1)
Example: A retiree accepts a position at a state university for
the Spring semester and he/she and the employer report to
ERSRI the following post retirement employment days worked,
monthly earnings and last day of employment:
(2)
LAST DAY OF EMPLOYMENT FOR SPRING SEMESTER:
MAY 15
2.
The retiree reached the statutory earnings limit at the end of April and
continued to work and get paid for 6 additional days in May before ending
employment for the semester. Data is provided on a monthly basis; the
monthly pension benefit will be suspended effective the end of April.
Monthly Pension Benefit:
MONTH
EARNINGS
DAYS
WORKED
JANUARY
$2500
6
FEBRUARY
$4500
8
MARCH
$3500
7
APRIL
$4500
8
MAY
$2500
6
$4,000.00
÷
30 days
$133.33 per day X 6 days
$799.98 amount of pension benefit to be suspended
The pension benefit for the month of May will be reinstated effective May 16
as follows
$4,000.00-$799.98 = $3200.02.
3.
Should this retired member commence post retirement employment at a
state college, university or state school for the Summer or Fall semester in
the same calendar year, the pension benefit will be suspended in full from
the first day of employment through the last of employment for that calendar
year.
E.
Effective Date
1.
These Rules and Regulations were approved by the Retirement Board on
December 14, 2016 and shall take effect twenty (20) days after filing with the
Department of the Secretary of State, amending and superseding the prior
rules and regulations promulgated on November 5, 2013.