(1) The director
shall not issue a license to any individual who intends to act as
a structural pest inspector until evidence of financial
responsibility, required and described in subsection (2) of this
section, is furnished by the applicant or the business employing
the applicant. Licensed commercial applicators that have met the
requirements of RCW 17.21.160 and their licensed commercial
operator employees are exempt from this financial responsibility
requirement when performing specific wood destroying organism
inspections. Public employees licensed to perform structural
pest inspections are exempt from this licensing requirement when
acting within their official capacities.
(2) Evidence of financial responsibility, consisting of one
of the following, must be provided and maintained as a condition
of licensure:
(a) An errors and omissions insurance policy, the amount and
terms of which are consistent with the requirements of RCW 15.58.465(1)(a);
(b) A surety bond, the amounts and terms of which are
consistent with the requirements of RCW 15.58.465(1)(b);
(c) A surety bond and an errors and omissions insurance
policy, the amount and terms of which are consistent with the
requirements of RCW 15.58.465(1)(c);
(d) An assigned account, the amount and terms of which are
consistent with the requirements of RCW 15.58.465(1)(d);
(e) Any other type of evidence of financial responsibility
identified by the director by rule that provides coverage
equivalent to that provided by any of (a) through (d) of this
subsection.
(3) Evidence of financial responsibility must be supplied to
the department on a financial responsibility insurance
certificate, surety bond form, assigned account form, or other
form prescribed by the director with regard to evidence provided
under subsection (2)(e) of this section.
[2003 c 212 § 9; 2000 c 96 § 3.]