Bill Text: FL S2072 | 2010 | Regular Session | Comm Sub


Bill Title: Public Record Exemptions/Financial Regulation [CPSC]

Spectrum: Partisan Bill (Republican 1-0)

Status: (Introduced - Dead) 2010-04-30 - Died on Calendar [S2072 Detail]

Download: Florida-2010-S2072-Comm_Sub.html
 
Florida Senate - 2010                      CS for CS for SB 2072 
 
By the Committees on Governmental Oversight and Accountability; 
and Banking and Insurance; and Senator Richter 
585-04924-10                                          20102072c2 
1                        A bill to be entitled 
2         An act relating to public records; creating s. 
3         559.1155, F.S.; providing a public-records exemption 
4         for information held by the Office of Financial 
5         Regulation pursuant to an investigation of debt relief 
6         organizations; providing for future repeal and 
7         legislative review of the exemption under the Open 
8         Government Sunset Review Act; providing a statement of 
9         public necessity; providing a contingent effective 
10         date. 
11 
12  Be It Enacted by the Legislature of the State of Florida: 
13 
14         Section 1. Section 559.1155, Florida Statutes, is created 
15  to read: 
16         559.1155 Public-records exemption.— 
17         (1) DEFINITIONS.—As used in this section, the term 
18  “personal financial information” means: 
19         (a) Information relating to the existence, nature, source, 
20  or amount of a debtor’s personal income, expenses, and debt; 
21         (b) Information relating to a debtor’s financial 
22  transactions of any kind; or 
23         (c) Information relating to the existence, identification, 
24  nature, or value of a debtor’s assets, liabilities, or net 
25  worth. 
26         (2) INVESTIGATIONS.— 
27         (a) Except as otherwise provided in this section, 
28  information held by the office pursuant to an investigation of a 
29  violation of this part is confidential and exempt from s. 
30  119.07(1) and s. 24(a), Art. I of the State Constitution. 
31  However, information made confidential and exempt pursuant to 
32  this section may be disclosed by the office to a law enforcement 
33  agency or another administrative agency in the performance of 
34  its official duties and responsibilities. 
35         (b) Such information is no longer confidential and exempt 
36  once the investigation is completed or ceases to be active 
37  unless disclosure of the information would: 
38         1. Jeopardize the integrity of another active 
39  investigation; 
40         2. Reveal the personal identifying information of a debtor 
41  unless the debtor is also the complainant. In the case of a 
42  complainant, the complainant’s personal identifying information 
43  is subject to disclosure after the investigation is completed or 
44  ceases to be active; however, the complainant’s personal 
45  financial information remains confidential and exempt; 
46         3. Reveal the identity of a confidential source; 
47         4. Reveal investigative techniques or procedures; or 
48         5. Reveal trade secrets, as defined in s. 688.002. 
49         (c) For purposes of this section, an investigation shall be 
50  considered active if the investigation is proceeding with 
51  reasonable dispatch and the office has a reasonable good faith 
52  belief that the investigation may lead to the filing of an 
53  administrative, civil, or criminal proceeding or the denial or 
54  conditional grant of an application for registration or other 
55  approval required under this part. 
56         (3) REVIEW AND REPEAL.—This section is subject to the Open 
57  Government Sunset Review Act in accordance with s. 119.15 and 
58  shall stand repealed on October 2, 2015, unless reviewed and 
59  saved from repeal through reenactment by the Legislature. 
60         Section 2. The Legislature finds that it is a public 
61  necessity that information held by the Office of Financial 
62  Regulation pursuant to an investigation conducted under part II 
63  of chapter 559, Florida Statutes, be confidential and exempt 
64  from public-records requirements for the following reasons: 
65         (1) An investigation conducted by the Office of Financial 
66  Regulation may lead to the filing of an administrative, civil, 
67  or criminal proceeding or to the denial or conditional granting 
68  of a registration. The premature release of such information 
69  could frustrate or thwart the investigation and impair the 
70  ability of the office to effectively and efficiently administer 
71  part II of chapter 559, Florida Statutes. 
72         (2) Information held by the Office of Financial Regulation 
73  which is provided to a law enforcement agency or another 
74  administration agency for further investigation needs to remain 
75  confidential and exempt until the investigation is completed or 
76  ceases to be active. Release of this information before the 
77  completion of that investigation would jeopardize the integrity 
78  of the investigation and impair the ability of other agencies to 
79  carry out their statutory duties. 
80         (3) Investigations frequently involve the gathering of 
81  sensitive personal information, including financial information, 
82  concerning complainants and debtors. The office may not 
83  otherwise have access to this sensitive personal information but 
84  for the investigation. Because of the sensitive personal nature 
85  of the information gathered, if the individuals who are the 
86  subject of such information are identifiable, the disclosure of 
87  this information to the public could cause unwarranted damage to 
88  the good name or reputation of the individuals, especially if 
89  information associated with the individual is inaccurate. 
90  Furthermore, if the individuals who are the subject of such 
91  information are identifiable, public access to such information 
92  could jeopardize the financial safety of such individuals by 
93  placing them at risk of becoming the objects of identity theft. 
94         (4) Releasing information identifying a confidential source 
95  could jeopardize both the integrity of a current and future 
96  investigation as well as the safety of the confidential source. 
97         (5) Revealing investigative techniques and procedures could 
98  allow a person to hide or conceal violations of law that 
99  otherwise would have been discovered during an investigation. 
100  This exemption is necessary for the office, as well as law 
101  enforcement and other administrative agencies, in order for such 
102  agencies to effectively and efficiently carry out their 
103  statutory duties, which would be significantly impaired without 
104  this exemption. 
105         (6) A trade secret derives independent economic value, 
106  actual or potential, from not being generally known to, and not 
107  readily ascertainable by, other persons who can obtain economic 
108  value from its disclosure or use. Without an exemption for a 
109  trade secret held by the office, that trade secret becomes a 
110  public record when received and must be divulged upon request. 
111  Divulging a trade secret under the public-records law would 
112  destroy the value of that property, causing a financial loss to 
113  the person or entity submitting the trade secret. Release of 
114  that information would give business competitors an unfair 
115  advantage and weaken the position of the person or entity 
116  supplying the trade secret in the marketplace. 
117         Section 3. This act shall take effect on the same date that 
118  CS for SB 1702 or similar legislation takes effect if such 
119  legislation is adopted in the same legislative session, or an 
120  extension thereof, and becomes law. 
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