(1) An employee shall not
directly or indirectly use or attempt to use the employee's
official authority or influence for the purpose of intimidating,
threatening, coercing, commanding, influencing, or attempting to
intimidate, threaten, coerce, command, or influence any
individual for the purpose of interfering with the right of the
individual to: (a) Disclose to the auditor (or representative
thereof) or other public official, as defined in RCW 42.40.020,
information concerning improper governmental action; or (b)
identify rules warranting review or provide information to the
rules review committee.
(2) Nothing in this section authorizes an individual to
disclose information otherwise prohibited by law, except to the
extent that information is necessary to substantiate the
whistleblower complaint, in which case information may be
disclosed to the auditor or public official, as defined in RCW 42.40.020, by the whistleblower for the limited purpose of
providing information related to the complaint. Any information
provided to the auditor or public official under the authority of
this subsection may not be further disclosed.
[2008 c 266 § 3; 1995 c 403 § 510; 1989 c 284 § 2; 1982 c 208 § 3.]
NOTES:
Findings -- Intent -- 2008 c 266: See note following RCW 42.40.020.
Findings -- Short title -- Intent -- 1995 c 403: See note following RCW 34.05.328.
Part headings not law -- Severability -- 1995 c 403: See RCW 43.05.903 and 43.05.904.