Bill Text: FL S0932 | 2011 | Regular Session | Introduced
Bill Title: Seaport Security
Spectrum: Partisan Bill (Republican 1-0)
Status: (Introduced - Dead) 2011-05-07 - Indefinitely postponed and withdrawn from consideration [S0932 Detail]
Download: Florida-2011-S0932-Introduced.html
Florida Senate - 2011 SB 932 By Senator Bennett 21-00413-11 2011932__ 1 A bill to be entitled 2 An act relating to seaport security; amending s. 3 311.12, F.S.; revising provisions relating to seaport 4 security; prohibiting a seaport from charging any fee 5 for administration or production of access control 6 credentials; providing for a fine; deleting certain 7 provisions relating to seaport security plans; 8 deleting provisions requiring that the Department of 9 Law Enforcement administer a statewide seaport access 10 eligibility reporting system; deleting provisions 11 requiring that persons seeking authorization to access 12 secure and restricted areas of a seaport execute an 13 affidavit; deleting provisions requiring fingerprint 14 based criminal history checks of seaport employee 15 applicants, current employees, and other authorized 16 persons; revising provisions to conform to changes 17 made by the act; providing an effective date. 18 19 Be It Enacted by the Legislature of the State of Florida: 20 21 Section 1. Section 311.12, Florida Statutes, is amended to 22 read: 23 311.12 Seaport security.— 24 (1) SECURITY STANDARDS.— 25 (a) The statewide minimum standards for seaport security 26 applicable to seaports listed in s. 311.09 shall be those based 27 on the Florida Seaport Security Assessment 2000 and set forth in 28 the Port Security Standards Compliance Plan delivered to the 29 Speaker of the House of Representatives and the President of the 30 Senate on December 11, 2000. The Office of Drug Control within 31 the Executive Office of the Governor shall maintain a sufficient 32 number of copies of the standards at its offices for 33 distribution to the public and provide copies to each affected 34 seaport upon request. 35 (b) A seaport may implement security measures that are more 36 stringent, more extensive, or supplemental to the minimum 37 security standards established by this subsection. However, a 38 seaport may not charge any fee for the administration or 39 production of any access control credentials in addition to the 40 fee for the federal Transportation Worker Identification 41 Credential (TWIC). Any cost associated with the administration 42 or production of any access card, except for the federal TWIC, 43 must be paid by the administering authority. Any attempt to pass 44 the cost of such a credential on to an employee working on the 45 seaport shall result in a civil fine of $10,000. 46 (c) The provisions of s. 790.251 are not superseded, 47 preempted, or otherwise modified in any way by the provisions of 48 this section. 49 (2) EXEMPTION.—The Department of Law Enforcement may exempt 50 all or part of a seaport listed in s. 311.09 from the 51 requirements of this section if the department determines that 52 activity associated with the use of the seaport or part of the 53 seaport is not vulnerable to criminal activity or terrorism. The 54 department shall periodically review such exemptions to 55 determine if there is a change in use. Such change may warrant 56 removal of all or part of the exemption. 57 (3) SECURITY PLAN.—Each seaport listed in s. 311.09 shall 58 adopt and maintain a security plan specific to that seaport 59 which provides for a secure seaport infrastructure that promotes 60 the safety and security of state residents and visitors and the 61 flow of legitimate trade and travel. 62 (a) Every 5 years after January 1, 2007, each seaport 63 director, with the assistance of the Regional Domestic Security 64 Task Force and in conjunction with the United States Coast 65 Guard, shall revise the seaport’s security plan based on the 66 director’s ongoing assessment of security risks, the risks of 67 terrorist activities, and the specific and identifiable needs of 68 the seaport for ensuring that the seaport is in substantial 69 compliance with the minimum security standards established under 70 subsection (1). 71 (b) Each adopted or revised security plan must be reviewed 72 and approved by the Office of Drug Control and the Department of 73 Law Enforcement for compliance with federal facility security 74 assessment requirements under 33 C.F.R. s. 105.305 and the 75 minimum security standards established under subsection (1). 76 Within 30 days after completion, a copy of the written review 77 shall be delivered to the United States Coast Guard, the 78 Regional Domestic Security Task Force, and the Domestic Security 79 Oversight Council. 80 (4) SECURE AND RESTRICTED AREAS.—Each seaport listed in s. 81 311.09 must clearly designate in seaport security plans, and 82 clearly identify with appropriate signs and markers on the 83 premises of a seaport, all secure and restricted areas as 84 defined by the United States Department of Homeland Security 85 United States Coast Guard Navigation and Vessel Inspection 86 Circular No. 03-07 and 49 C.F.R. part 1572.The plans must also87address access eligibility requirements and corresponding88security enforcement authorizations.89 (a) The seaport’s security plan must set forth the 90 conditions and restrictions to be imposed on persons employed 91 at, doing business at, or visiting the seaport who have access 92 to secure and restricted areas which are sufficient to provide 93 substantial compliance withthe minimum security standards94established in subsection (1) andfederal regulations. 95 1. All seaport employees and other persons working at the 96 seaport who have regular access to secure or restricted areas 97 must comply with federal access control regulationsand state98criminal history checksas prescribed in this section. 99 2. All persons and objects in secure and restricted areas 100 are subject to search by a sworn state-certified law enforcement 101 officer, a Class D seaport security officer certified under 102 Maritime Transportation Security Act of 2002 guidelines and s. 103 311.121, or an employee of the seaport security force certified 104 under the Maritime Transportation Security Act of 2002 105 guidelines and s. 311.121. 106 3. Persons found in these areas without the proper 107 permission are subject to the trespass provisions of ss. 810.08 108 and 810.09. 109 (b) As determined by the seaport director’s most current 110 risk assessment under paragraph (3)(a), any secure or restricted 111 area that has a potential human occupancy of 50 persons or more, 112 any cruise terminal, or any business operation that is adjacent 113 to a public access area must be protected from the most probable 114 and credible terrorist threat to human life. 115 (c) The seaport must provide clear notice of the 116 prohibition against possession of concealed weapons and other 117 contraband material on the premises of the seaport. Any person 118 in a restricted area who has in his or her possession a 119 concealed weapon, or who operates or has possession or control 120 of a vehicle in or upon which a concealed weapon is placed or 121 stored, commits a misdemeanor of the first degree, punishable as 122 provided in s. 775.082 or s. 775.083. This paragraph does not 123 apply to active-duty certified federal or state law enforcement 124 personnel or persons so designated by the seaport director in 125 writing. 126 (d) During a period of high terrorist threat level, as 127 designated by the United States Department of Homeland Security 128 or the Department of Law Enforcement, or during an emergency 129 declared at a port by the seaport security director due to 130 events applicable to that particular seaport, the management or 131 controlling authority of the port may temporarily designate any 132 part of the seaport property as a secure or restricted area. The 133 duration of such designation is limited to the period in which 134 the high terrorist threat level is in effect or a port emergency 135 exists. 136(5) ACCESS ELIGIBILITY REPORTING SYSTEM.—Subject to137legislative appropriations, the Department of Law Enforcement138shall administer a statewide seaport access eligibility139reporting system.140(a) The system must include, at a minimum, the following:1411. A centralized, secure method of collecting and142maintaining fingerprints, other biometric data, or other means143of confirming the identity of persons authorized to enter a144secure or restricted area of a seaport.1452. A methodology for receiving from and transmitting146information to each seaport regarding a person’s authority to147enter a secure or restricted area of the seaport.1483. A means for receiving prompt notification from a seaport149when a person’s authorization to enter a secure or restricted150area of a seaport has been suspended or revoked.1514. A means to communicate to seaports when a person’s152authorization to enter a secure or restricted area of a seaport153has been suspended or revoked.154(b) Each seaport listed in s.311.09is responsible for155granting, modifying, restricting, or denying access to secure156and restricted areas to seaport employees, other persons working157at the seaport, visitors who have business with the seaport, or158other persons regularly appearing at the seaport. Based upon the159person’s criminal history check, each seaport may determine the160specific access eligibility to be granted to that person. Each161seaport is responsible for access eligibility verification at162its location.163(c) Upon determining that a person is eligible to enter a164secure or restricted area of a port pursuant to subsections (6)165and (7), the seaport shall, within 3 business days, report the166determination to the department for inclusion in the system.167(d) All information submitted to the department regarding a168person’s access eligibility screening may be retained by the169department for subsequent use in promoting seaport security,170including, but not limited to, the review of the person’s171criminal history status to ensure that the person has not become172disqualified for such access.173(e) The following fees may not be charged by more than one174seaport and shall be paid by the seaport, another employing175entity, or the person being entered into the system to the176department or to the seaport if the seaport is acting as an177agent of the department for the purpose of collecting the fees:1781. The cost of the state criminal history check under179subsection (7).1802. A $50 fee to cover the initial cost of entering the181person into the system and an additional $50 fee every 5 years182thereafter to coincide with the issuance of the federal183Transportation Worker Identification Credential described in184subsection (6). The fee covers all costs for entering or185maintaining the person in the system including the retention and186use of the person’s fingerprint, other biometric data, or other187identifying information.1883. The seaport entering the person into the system may189charge an administrative fee to cover, but not exceed, the190seaport’s actual administrative costs for processing the results191of the state criminal history check and entering the person into192the system.193(f) All fees identified in paragraph (e) must be paid194before the person may be granted access to a secure or195restricted area. Failure to comply with the criminal history196check and failure to pay the fees are grounds for immediate197denial of access.198(g) Persons, corporations, or other business entities that199employ persons to work or do business at seaports shall notify200the seaport of the termination, resignation, work-related201incapacitation, or death of an employee who has access202permission.2031. If the seaport determines that the person has been204employed by another appropriate entity or is self-employed for205purposes of performing work at the seaport, the seaport may206reinstate the person’s access eligibility.2072. A business entity’s failure to report a change in an208employee’s work status within 7 days after the change may result209in revocation of the business entity’s access to the seaport.210(h) In addition to access permissions granted or denied by211seaports, access eligibility may be restricted or revoked by the212department if there is a reasonable suspicion that the person is213involved in terrorism or criminal violations that could affect214the security of a port or otherwise render the person ineligible215for seaport access.216(i) Any suspension or revocation of port access must be217reported by the seaport to the department within 24 hours after218such suspension or revocation.219(j) The submission of information known to be false or220misleading to the department for entry into the system is a221felony of the third degree, punishable as provided in s.222775.082, s.775.083, or s.775.084.223 (5)(6)ACCESS TO SECURE AND RESTRICTED AREAS.— 224 (a) Any person seeking authorization for unescorted access 225 to secure and restricted areas of a seaport must possess, unless226waived under paragraph (7)(e),a valid federal Transportation 227 Worker Identification Credential (TWIC).and execute an228affidavit under oath which provides TWIC identification229information and indicates the following:2301. The TWIC is currently valid and in full force and231effect.2322. The TWIC was not received through the waiver process for233disqualifying criminal history allowed by federal law.2343. He or she has not, in any jurisdiction, civilian or235military, been convicted of, entered a plea of guilty or nolo236contendere to, regardless of adjudication, or been found not237guilty by reason of insanity, of any disqualifying felony under238subsection (7) or any crime that includes the use or possession239of a firearm.240(b) Upon submission of a completed affidavit as provided in241paragraph (a), the completion of the state criminal history242check as provided in subsection (7), and payment of all required243fees under subsection (5), a seaport may grant the person access244to secure or restricted areas of the port.245(c) Any port granting a person access to secure or246restricted areas shall report the grant of access to the247Department of Law Enforcement for inclusion in the access248eligibility reporting system under subsection (5) within 3249business days.250(d) The submission of false information on the affidavit251required by this section is a felony of the third degree,252punishable as provided in s.775.082, s.775.083, or s.775.084.253Upon conviction for a violation of this provision, the person254convicted forfeits all privilege of access to secure or255restricted areas of a seaport and is disqualified from future256approval for access to such areas.257(e) Any affidavit form created for use under this258subsection must contain the following statement in conspicuous259type: “SUBMISSION OF FALSE INFORMATION ON THIS AFFIDAVIT IS A260FELONY UNDER FLORIDA LAW AND WILL, UPON CONVICTION, RESULT IN261DISQUALIFICATION FOR ACCESS TO A SECURE OR RESTRICTED AREA OF A262SEAPORT.”263(f) Upon each 5-year renewal of a person’s TWIC, the person264must submit another affidavit as required by this subsection.265(7) CRIMINAL HISTORY SCREENING.—A fingerprint-based266criminal history check must be performed on employee applicants,267current employees, and other persons authorized to regularly268enter a secure or restricted area, or the entire seaport if the269seaport security plan does not designate one or more secure or270restricted areas.271(a) A person is disqualified from employment or unescorted272access if the person:2731. Was convicted of, or entered a plea of guilty or nolo274contendere to, regardless of adjudication, any of the offenses275listed in paragraph (b) in any jurisdiction, civilian or276military, including courts-martial conducted by the Armed Forces277of the United States, during the 7 years before the date of the278person’s application for access; or2792. Was released from incarceration, or any supervision280imposed as a result of sentencing, for committing any of the281disqualifying crimes listed in paragraph (b) in any282jurisdiction, civilian or military, during the 5 years before283the date of the person’s application for access.284(b) Disqualifying offenses include:2851. An act of terrorism as defined in s.775.30.2862. A violation involving a weapon of mass destruction or a287hoax weapon of mass destruction as provided in s.790.166.2883. Planting of a hoax bomb as provided in s.790.165.2894. A violation of s.876.02or s.876.36.2905. A violation of s.860.065.2916. Trafficking as provided in s.893.135.2927. Racketeering activity as provided in s.895.03.2938. Dealing in stolen property as provided in s.812.019.2949. Money laundering as provided in s.896.101.29510. Criminal use of personal identification as provided in296s.817.568.29711. Bribery as provided in s.838.015.29812. A violation of s.316.302, relating to the transport of299hazardous materials.30013. A forcible felony as defined in s.776.08.30114. A violation of s.790.07.30215. Any crime that includes the use or possession of a303firearm.30416. A felony violation for theft as provided in s.812.014.30517. Robbery as provided in s.812.13.30618. Burglary as provided in s.810.02.30719. Any violation involving the sale, manufacture,308delivery, or possession with intent to sell, manufacture, or309deliver a controlled substance.31020. Any offense under the laws of another jurisdiction that311is similar to an offense listed in this paragraph.31221. Conspiracy or attempt to commit any of the offenses313listed in this paragraph.314(c) Each individual who is subject to a criminal history315check shall file a complete set of fingerprints taken in a316manner acceptable to the Department of Law Enforcement for state317processing. The results of the criminal history check must be318reported to the requesting seaport and may be shared among319seaports.320(d) All fingerprints submitted to the Department of Law321Enforcement shall be retained by the department and entered into322the statewide automated fingerprint identification system323established in s.943.05(2)(b) and available for use in324accordance with s.943.05(2)(g) and (h). An arrest record that325is identified with the retained fingerprints of a person subject326to the screening shall be reported to the seaport where the327person has been granted access to a secure or restricted area.328If the fingerprints of a person who has been granted access were329not retained, or are otherwise not suitable for use by the330department, the person must be refingerprinted in a manner that331allows the department to perform its functions as provided in332this section.333(e) The Department of Law Enforcement shall establish a334waiver process for a person who does not have a TWIC, obtained a335TWIC though a federal waiver process, or is found to be336unqualified under paragraph (a) and denied employment by a337seaport or unescorted access to secure or restricted areas. If338the person does not have a TWIC and a federal criminal history339record check is required, the Department of Law Enforcement may340forward the person’s fingerprints to the Federal Bureau of341Investigation for a national criminal history record check. The342cost of the national check must be paid by the seaport, which343may collect it as reimbursement from the person.3441. Consideration for a waiver shall be based on the345circumstances of any disqualifying act or offense, restitution346made by the individual, and other factors from which it may be347determined that the individual does not pose a risk of engaging348in any act within the public seaports regulated under this349chapter that would pose a risk to or threaten the security of350the seaport and the public’s health, safety, or welfare.3512. The waiver process begins when an individual who has352been denied initial employment within or denied unescorted353access to secure or restricted areas of a public seaport submits354an application for a waiver and a notarized letter or affidavit355from the individual’s employer or union representative which356states the mitigating reasons for initiating the waiver process.3573. Within 90 days after receipt of the application, the358administrative staff of the Parole Commission shall conduct a359factual review of the waiver application. Findings of fact shall360be transmitted to the department for review. The department361shall make a copy of those findings available to the applicant362before final disposition of the waiver request.3634. The department shall make a final disposition of the364waiver request based on the factual findings of the365investigation by the Parole Commission. The department shall366notify the waiver applicant of the final disposition of the367waiver.3685. The review process under this paragraph is exempt from369chapter 120.3706. By October 1 of each year, each seaport shall report to371the department each instance of denial of employment within, or372access to, secure or restricted areas, and each instance waiving373a denial occurring during the last 12 months. The report must374include the identity of the individual affected, the factors375supporting the denial or waiver, and any other material factors376used to make the determination.377(f) In addition to the waiver procedure established by the378Department of Law Enforcement under paragraph (e), each seaport379security plan may establish a procedure to appeal a denial of380employment or access based upon procedural inaccuracies or381discrepancies regarding criminal history factors established382pursuant to this subsection.383(g) Each seaport may allow immediate waivers on a temporary384basis to meet special or emergency needs of the seaport or its385users. Policies, procedures, and criteria for implementation of386this paragraph must be included in the seaport security plan.387All waivers granted by the seaports pursuant to this paragraph388must be reported to the department within 30 days after389issuance.390 (6)(8)WAIVER FROM SECURITY REQUIREMENTS.—The Office of 391 Drug Control and the Department of Law Enforcement may modify or 392 waive any physical facility requirement or other requirement 393 contained in the minimum security standards upon a determination 394 that the purposes of the standards have been reasonably met or 395 exceeded by the seaport requesting the modification or waiver. 396 An alternate means of compliance must not diminish the safety or 397 security of the seaport and must be verified through an 398 extensive risk analysis conducted by the seaport director. 399 (a) Waiver requests shall be submitted in writing, along 400 with supporting documentation, to the Office of Drug Control and 401 the Department of Law Enforcement. The office and the department 402 have 90 days to jointly grant or reject the waiver, in whole or 403 in part. 404 (b) The seaport may submit any waivers that are not granted 405 or are jointly rejected to the Domestic Security Oversight 406 Council for review within 90 days. The council shall recommend 407 that the Office of Drug Control and the Department of Law 408 Enforcement grant the waiver or reject the waiver, in whole or 409 in part. The office and the department shall give great weight 410 to the council’s recommendations. 411 (c) A request seeking a waiver from the seaport law 412 enforcement personnel standards established under s. 311.122(3) 413 may not be granted for percentages below 10 percent. 414 (d) Any modifications or waivers granted under this 415 subsection shall be noted in the annual report submitted by the 416 Department of Law Enforcement pursuant to subsection (8)(10). 417 (7)(9)INSPECTIONS.—It is the intent of the Legislature 418 that the state’s seaports adhere to security practices that are 419 consistent with the risks assigned to each seaport through the 420 ongoing risk assessment process established in paragraph (3)(a). 421 (a) The Department of Law Enforcement, or any entity 422 designated by the department, shall conduct at least one annual 423 unannounced inspection of each seaport to determine whether the 424 seaport is meeting the minimum security standards established 425 pursuant to subsection (1) and to identify seaport security 426 changes or improvements needed or otherwise recommended. 427 (b) The Department of Law Enforcement, or any entity 428 designated by the department, may conduct additional announced 429 or unannounced inspections or operations within or affecting any 430 seaport to test compliance with, or the effectiveness of, 431 security plans and operations at each seaport, to determine 432 compliance with physical facility requirements and standards, or 433 to assist the department in identifying changes or improvements 434 needed to bring a seaport into compliance with minimum security 435 standards. 436 (c) Within 30 days after completing the inspection report, 437 the department shall submit a copy of the report to the Domestic 438 Security Oversight Council. 439 (d) A seaport may request that the Domestic Security 440 Oversight Council review the findings in the department’s report 441 as they relate to the requirements of this section. The council 442 may review only those findings that are in dispute by the 443 seaport. In reviewing the disputed findings, the council may 444 concur in the findings of the department or the seaport or may 445 recommend corrective action to the seaport. The department and 446 the seaport shall give great weight to the council’s findings 447 and recommendations. 448 (e) All seaports shall allow the Department of Law 449 Enforcement, or an entity designated by the department, 450 unimpeded access to affected areas and facilities for the 451 purpose of plan or compliance inspections or other operations 452 authorized by this section. 453 (8)(10)REPORTS.—The Department of Law Enforcement, in 454 consultation with the Office of Drug Control, shall annually 455 complete a report indicating the observations and findings of 456 all reviews, inspections, or other operations relating to the 457 seaports conducted during the year and any recommendations 458 resulting from such reviews, inspections, and operations. A copy 459 of the report shall be provided to the Governor, the President 460 of the Senate, the Speaker of the House of Representatives, the 461 governing body of each seaport or seaport authority, and each 462 seaport director. The report must include each director’s 463 response indicating what actions, if any, have been taken or are 464 planned to be taken pursuant to the observations, findings, and 465 recommendations reported by the department. 466 (9)(11)FUNDING.— 467 (a) In making decisions regarding security projects or 468 other funding applicable to each seaport listed in s. 311.09, 469 the Legislature may consider the Department of Law Enforcement’s 470 annual report under subsection (8)(10)as authoritative, 471 especially regarding each seaport’s degree of substantial 472 compliance with the minimum security standards established in 473 subsection (1). 474 (b) The Legislature shall regularly review the ongoing 475 costs of operational security on seaports, the impacts of this 476 section on those costs, mitigating factors that may reduce costs 477 without reducing security, and the methods by which seaports may 478 implement operational security using a combination of sworn law 479 enforcement officers and private security services. 480 (c) Subject to the provisions of this chapter and 481 appropriations made for seaport security, state funds may not be 482 expended for security costs without certification of need for 483 such expenditures by the Office of Ports Administrator within 484 the Department of Law Enforcement. 485 (d) If funds are appropriated for seaport security, the 486 Office of Drug Control, the Department of Law Enforcement, and 487 the Florida Seaport Transportation and Economic Development 488 Council shall mutually determine the allocation of such funds 489 for security project needs identified in the approved seaport 490 security plans. Any seaport that receives state funds for 491 security projects must enter into a joint participation 492 agreement with the appropriate state entity and use the seaport 493 security plan as the basis for the agreement. 494 1. If funds are made available over more than 1 fiscal 495 year, the agreement must reflect the entire scope of the project 496 approved in the security plan and, as practicable, allow for 497 reimbursement for authorized projects over more than 1 year. 498 2. The agreement may include specific timeframes for 499 completion of a security project and the applicable funding 500 reimbursement dates. The agreement may also require a 501 contractual penalty of up to $1,000 per day to be imposed for 502 failure to meet project completion dates if state funding is 503 available. Any such penalty shall be deposited into the State 504 Transportation Trust Fund and used for seaport security 505 operations and capital improvements. 506 Section 2. This act shall take effect July 1, 2011.