A. 
Public health protection.
(1) 
The regulatory authority shall apply this code to promote its underlying purpose of safeguarding public health and assuring that food is safe, unadulterated, and honestly presented when offered to the consumer.
(2) 
In enforcing the provisions of this code, the regulatory authority shall assess existing facilities or equipment that was in use before the effective date of this code based on the following considerations:
(a) 
Whether the facilities or equipment is in good repair and capable of being maintained in a sanitary condition; and
(b) 
Whether food-contact surfaces comply with § 335-14.
B. 
Preventing health hazard conditions not addressed.
(1) 
If necessary to protect against public health hazards, the regulatory authority may impose specific requirements in addition to the requirements contained in this code that are authorized by law.
(2) 
The regulatory authority shall document the conditions that necessitate the imposition of additional requirements and the underlying public health rationale. The documentation shall be provided to the permit applicant or permit holder and a copy shall be maintained in the regulatory authority's file for the food establishment.
C. 
Variances.
(1) 
The regulatory authority may grant a variance by modifying or waiving the requirements of this code if in the opinion of the regulatory authority a health hazard will not result from the variance. If a variance is granted, the regulatory authority shall retain the information specified in this Subsection C in its records for the food establishment.
(2) 
Before a variance from a requirement of this code is approved by the regulatory authority, the information that shall be provided by the person requesting the variance and retained in the regulatory authority's file on the food establishment shall include:
(a) 
A statement of the proposed variance of the code requirement citing relevant code section numbers; and
(b) 
An analysis of the rationale for how the potential public health hazards addressed by the relevant code sections will be alternatively addressed by the proposal.
(3) 
If the regulatory authority grants a variance the permit holder shall:
(a) 
Comply with the plans and procedures that are submitted and approved as a basis for the modification or waiver; and
(b) 
Maintain and provide to the regulatory authority, upon request, records that demonstrate that those plans and procedures are followed.
A. 
When plans are required.
(1) 
Except as specified in Subsection A(4) of this section, a permit applicant or permit holder shall submit to the regulatory authority properly prepared plans and specifications for review and approval before:
(a) 
The construction of a food establishment;
(b) 
The conversion of an existing structure for use as a food establishment; or
(c) 
The remodeling of a food establishment or a change of type of food establishment or food operation, if the regulatory authority determines that plans and specifications are necessary to assure compliance with this code.
(2) 
Submission of plans is not required for temporary or seasonal food establishments.
B. 
Contents of the plans and specifications. The plans and specifications for a food establishment shall include the following information to demonstrate conformance with code provisions:
(1) 
Intended menu;
(2) 
Anticipated volume of food to be stored, prepared, and sold or served;
(3) 
Proposed layout, mechanical schematics, construction materials, and finish schedules;
(4) 
Proposed equipment types, manufacturers, model numbers, locations, dimensions, performance capacities, and installation specifications; and
(5) 
Other information that may be required by the regulatory authority for the proper review of the proposed construction, conversion or modification, and procedures for operating a food establishment.
C. 
Preoperational inspections. The regulatory authority shall conduct one or more preoperational inspections to verify that the food establishment is constructed and equipped in accordance with the approved plans and approved modifications of those plans and is in compliance with law and this code.
A. 
Prerequisite for operation. A person may not operate a food establishment without a valid permit to operate approved by the regulatory authority and issued by the Department of Licensing and Permits.
B. 
Permit fees.
(1) 
Permit fees shall be submitted to the Department of Licensing and Permits at the time of application, renewal, or change of ownership.
(2) 
Permit fees shall be established by the Department of Licensing and Permits and approved by a motion of the Tribal Legislature.
C. 
Application.
(1) 
Except as specified in Subsection C(4) of this section, an applicant shall submit an application for a permit at least 30 calendar days before the date planned for opening a food establishment or the expiration date of the current permit for an existing facility.
(2) 
A person desiring to operate a food establishment shall submit to the Department of Licensing and Permits a written application for a permit on a form provided by that Department.
(3) 
To qualify for a permit, an applicant shall:
(a) 
Be an owner of the establishment or an officer of the legal ownership;
(b) 
Comply with the requirements of this code;
(c) 
Agree to permit access to the food establishment and to provide required information; and
(d) 
Pay the applicable permit fees at the time the application is submitted.
(4) 
An applicant for a temporary or seasonal food establishment permit shall submit an application for a permit prior to beginning operation.
D. 
Application contents. The application shall include:
(1) 
The name, birth date, mailing address, telephone number, and signature of the person applying for the permit and the name, mailing address, and location of the food establishment;
(2) 
Information specifying whether the food establishment is owned by an association, corporation, individual, partnership, or other legal entity;
(3) 
A statement specifying whether the food establishment is mobile or stationary and temporary or permanent;
(4) 
The name, title, address, and telephone number of the person directly responsible for the food establishment;
(5) 
A statement signed by the applicant that:
(a) 
Attests to the accuracy of the information provided in the application, and
(b) 
Affirms that the applicant will comply with this code; and
(6) 
Other information required by the regulatory authority.
E. 
Permit issuance for food dispensary, restaurant, retail food establishment, and retail food outlet. For the listed food establishments the Department of Licensing and Permits shall issue a permit to the applicant after:
(1) 
A properly completed application is submitted;
(2) 
The required fee is submitted;
(3) 
The required plans, specifications, and information are reviewed and approved;
(4) 
A preoperational inspection shows that the establishment is built or remodeled in accordance with the approved plans and specifications and that the establishment is in compliance with this code; and
(5) 
Approval is received from the regulatory authority.
F. 
Permit issuance for temporary food establishment and seasonal food establishment. For the listed food establishments the Department of Licensing and Permits shall issue a permit to the applicant after:
(1) 
A properly completed application is submitted;
(2) 
The required fee is submitted; and
(3) 
Approval is received from the regulatory authority.
G. 
Permit period; renewal and change of ownership.
(1) 
Except as specified in Subsection G(4) of this section, permits are to be issued for a twelve-month period beginning October 1 and expiring September 30 of the following year.
(2) 
Permits issued after October 1 will not be prorated and will expire on September 30.
(3) 
The Department of Licensing and Permits may renew a permit for an existing food establishment or may issue a permit to a new owner of an existing food establishment after a properly completed application is submitted, reviewed and approved and the fees are paid.
(4) 
Temporary food permits shall be issued for 10 days and are nonrenewable. Seasonal food permits shall be issued for not more than six months in any calender year.
H. 
Denial of permit. If an application for a permit to operate is denied, the regulatory authority shall provide the applicant with a notice that includes:
(1) 
The specific reasons and code citations for the permit denial;
(2) 
The actions, if any, that the applicant must take to qualify for a permit; and
(3) 
Advisement of the applicant's right of appeal and the process and time frames for appeal that are provided under law.
I. 
Responsibilities of the regulatory authority.
(1) 
At the time a permit is first issued, the regulatory authority shall provide to the permit holder a copy of this code so that the permit holder is notified of the compliance requirements and the conditions of retention that are applicable to the permit.
(2) 
Failure to provide the information specified in Subsection I(1) of this section does not prevent the regulatory authority from taking authorized action or seeking remedies if the permit holder fails to comply with this code or an order, warning, or directive of the regulatory authority.
J. 
Responsibilities of the permit holder. Upon acceptance of the permit issued by the regulatory authority, the permit holder in order to retain the permit shall:
(1) 
Post the permit in a location in the food establishment that is conspicuous to consumers;
(2) 
Comply with the provisions of this code, including the conditions of any granted variances;
(3) 
Immediately contact the regulatory authority to report an illness of an applicant or employee as specified under § 335-4D;
(4) 
Immediately discontinue operations and notify the regulatory authority if an imminent health hazard may exist as specified under § 335-41E(1);
(5) 
Allow representatives of the regulatory authority access to the food establishment;
(6) 
Replace existing facilities and equipment with facilities and equipment that comply with this code if:
(a) 
The regulatory authority directs the replacement because the facilities and equipment constitute a public health hazard or no longer comply with the criteria upon which the facilities and equipment were accepted;
(b) 
The regulatory authority directs the replacement of the facilities and equipment because of a change of ownership; or
(c) 
The facilities and equipment are replaced in the normal course of operation;
(7) 
Comply with directives of the regulatory authority, including time frames for corrective actions specified in inspection reports, notices, orders, warnings, and other directives issued by the regulatory authority in regard to the permit holder's food establishment or in response to community emergencies;
(8) 
Accept notices issued and served by the regulatory authority according to law; and
(9) 
Be subject to the administrative, civil, injunctive, and criminal remedies authorized under law for failure to comply with this code or a directive of the regulatory authority, including time frames for corrective actions specified in inspection reports, notices, orders, warnings, and other directives.
K. 
Permits not transferable. A permit may not be transferred from one person to another person, from one food establishment to another, or from one type of operation to another if the food operation changes from the type of operation specified in the application and the change in operation is not approved by the regulatory authority.
A. 
Frequency.
(1) 
Except as specified in Subsection A(2) of this section, the regulatory authority shall inspect a food establishment at least once every 12 months.
(2) 
The regulatory authority may periodically inspect throughout its permit period a temporary food establishment that prepares, sells, or serves unpackaged potentially hazardous food and that:
(a) 
Has improvised rather than permanent facilities or equipment for accomplishing functions such as handwashing, food preparation and protection, food temperature control, warewashing, providing drinking water, waste retention and disposal, and insect and rodent control; or
(b) 
Has inexperienced food employees.
B. 
Performance- and risk-based inspections. The regulatory authority may prioritize and conduct more frequent inspections based upon its assessment of a food establishment's history of compliance with this code and the establishment's potential as a vector of foodborne illness by evaluating:
(1) 
Past performance, for nonconformance with code requirements that are critical;
(2) 
Past performance, for numerous or repeat violations of code requirements that are noncritical;
(3) 
The hazards associated with the particular foods that are prepared, stored, or served;
(4) 
The type of operation, including the methods and extent of food storage, preparation, and service;
(5) 
The number of people served; and
(6) 
Whether the population served is a highly susceptible population.
C. 
Inspections allowed at reasonable times after due notice. After the regulatory authority presents official credentials and provides notice of the purpose of, and an intent to conduct, an inspection, the person in charge shall allow the regulatory authority to determine if the food establishment is in compliance with this code by allowing access to the establishment, allowing inspection, and providing information and records specified in this code and to which the regulatory authority is entitled according to law, during the food establishment's hours of operation and other reasonable times.
D. 
Inspection refusal. If a person denies access to the regulatory authority, the regulatory authority shall:
(1) 
Inform the person that:
(a) 
The permit holder is required to allow access to the regulatory authority as specified under Subsection C of this section;
(b) 
Access is a condition of the acceptance and retention of a food establishment permit to operate as specified under § 335-39J(5); and
(c) 
If access is denied, an order issued by the appropriate authority allowing access, hereinafter referred to as an "inspection order," may be obtained according to law;
(2) 
Make a final request for access; and
(3) 
If access is still refused, the regulatory authority shall document said refusal in writing.
E. 
Inspection order to gain access. If denied access to a food establishment for an authorized purpose, the regulatory authority may issue, or apply for the issuance of, an inspection order to gain access as provided under law.
F. 
Inspection reports. The regulatory authority shall document:
(1) 
Administrative information about the establishment's legal identity, street and mailing addresses, type of establishment and operation, inspection date, and other information, such as type of water supply and sewage disposal, status of the permit, and personnel certificates that may be required; and
(2) 
Specific factual observations of violative conditions or other deviations from this code that require correction by the permit holder, including:
(a) 
Failure of the person in charge to demonstrate the knowledge of foodborne illness prevention and the requirements of this code.
(b) 
Failure of food employees and the person in charge to demonstrate their knowledge of their responsibility to report a disease or medical condition.
(c) 
Nonconformance with critical items of this code.
(d) 
Failure of the appropriate food employees to demonstrate their knowledge of, and ability to perform in accordance with, the procedural, monitoring, verification, and corrective action practices required by the regulatory authority.
G. 
Issuing report. After the inspection, the regulatory authority shall provide a copy of the completed inspection report to the permit holder or to the person in charge.
H. 
Public information. The regulatory authority shall treat the inspection report as a public document and shall make it available for disclosure to a person who requests it under law.
A. 
Time frame for corrections.
(1) 
Except as specified in Subsection A(2) of this section, a permit holder shall at the time of inspection correct a critical violation of this code.
(2) 
Considering the nature of the potential hazard involved and the complexity of the corrective action needed, the regulatory authority may agree to or specify a longer time frame, not to exceed 10 calendar days after the inspection, for the permit holder to correct critical code violations.
(3) 
Except as specified in Subsection A(4) of this section, the permit holder shall correct noncritical violations by a date and time agreed to or specified by the regulatory authority but no later than 90 calendar days after the inspection.
(4) 
The regulatory authority may approve a compliance schedule that extends beyond the time limits specified under Subsection A(3) of this section if a written schedule of compliance is submitted by the permit holder and no health hazard exists or will result from allowing an extended schedule for compliance.
B. 
Withdrawal of permit. A prior approved permit may be withdrawn by the regulatory authority for noncompliance with the regulations pursuant to the following procedures:
(1) 
The permit holder is notified of an inspection by the regulatory authority and informed of specific instances of noncompliance with this code; and
(2) 
If the permit holder is given a specific time period to correct the noncompliance and is unable to do so or refuses to do so, then the license will be withdrawn and the food operation will be closed down by the regulatory authority until such a time as the permit holder complies with the regulations.
C. 
Penalties. Failure to comply with any or all parts of this code shall result in a fine of $50 per day for each day of noncompliance.
D. 
Verification of corrections.
(1) 
After observing at the time of inspection a correction of a critical violation or deviation, the regulatory authority shall enter the violation and information about the corrective action on the inspection report.
(2) 
After receiving notification that the permit holder has corrected a critical violation or at the end of the specified period of time, the regulatory authority shall verify correction of the violation.
E. 
Ceasing operations and reporting.
(1) 
Except as specified in Subsection E(2) of this section, a permit holder shall immediately discontinue operations and notify the regulatory authority if an imminent health hazard may exist because of an emergency such as a fire, flood, extended interruption of electrical or water service, sewage backup, misuse of poisonous or toxic materials, onset of an apparent foodborne illness outbreak, gross insanitary occurrence or condition, or other circumstance that may endanger public health.
(2) 
A permit holder need not discontinue operations in an area of an establishment that is unaffected by the imminent health hazard.
(3) 
The permit holder shall obtain approval from the regulatory authority before resuming operations.
A. 
Personnel information and examinations. The regulatory authority shall act when it has reasonable cause to believe that a food employee has possibly transmitted disease; may be infected with a disease in a communicable form that is transmissible through food; may be a carrier of infectious agents that cause a disease that is transmissible through food; or is affected with a boil, an infected wound, or acute respiratory infection by:
(1) 
Securing a confidential medical history of the employee suspected of transmitting disease or making other investigations as deemed appropriate; and
(2) 
Requiring appropriate medical examinations, including collection of specimens for laboratory analysis, of a suspected employee and other employees.
B. 
Restriction, exclusion, or suspension. Based on the findings of an investigation related to an employee who is suspected of being infected or diseased, the regulatory authority may issue an order to the suspected employee or permit holder instituting one or more of the following control measures:
(1) 
Restricting the employee's services to specific areas and tasks in a food establishment that present no risk of transmitting the disease;
(2) 
Excluding the employee from a food establishment; or
(3) 
Closing the food establishment by summarily suspending a permit to operate in accordance with law.
C. 
Restriction or exclusion order. Based on the findings of the investigation and to control disease transmission, the regulatory authority may issue an order of restriction or exclusion to a suspected employee or the permit holder without prior warning, notice of a hearing, or a hearing if the order:
(1) 
States the reasons for the restriction or exclusion that is ordered;
(2) 
States the evidence that the employee or permit holder shall provide in order to demonstrate that the reasons for the restriction or exclusion are eliminated;
(3) 
States that the suspected employee or the permit holder may request an appeal hearing by submitting a timely request as provided under law; and
(4) 
Provides the name and address of the regulatory authority representative to whom a request for an appeal hearing may be made.
D. 
Release of employee from restriction or exclusion. The regulatory authority shall release an employee from restriction or exclusion according to law and the following conditions:
(1) 
An employee who was infected with Salmonella typhi:
(a) 
If the employee's stools are negative for S. typhi based on testing of at least three consecutive stool specimen cultures that are taken:
[1] 
Not earlier than one month after onset;
[2] 
At least 48 hours after discontinuance of antibiotics; and
[3] 
At least 24 hours apart; and
(b) 
If one of the cultures taken as specified in Subsection D(1)(a) of this section is positive, repeat cultures are taken at intervals of one month until at least three consecutive negative stool specimen cultures are obtained.
(2) 
An employee who was infected with Shigella spp. or Escherichia coli O157:H7 if the employee's stools are negative for Shigella spp. or E. coli O157:H7 based on testing of two consecutive stool specimen cultures that are taken:
(a) 
Not earlier than 48 hours after discontinuance of antibiotics; and
(b) 
At least 24 hours apart.
(3) 
An employee who was infected with Hepatitis A virus if:
(a) 
Symptoms cease; or
(b) 
At least two blood tests show falling liver enzymes.