GENERAL ASSEMBLY OF NORTH CAROLINA SESSION 2025 H D HOUSE BILL DRH10322-NE-101 Short Title: Amend NC PEO Act.-AB (Public) Sponsors: Representative Humphrey. Referred to: *DRH10322 -NE-101* A BILL TO BE ENTITLED 1 AN ACT ENACTING CHANGES TO THE NORTH CAROLINA PROFESSIONAL 2 EMPLOYER ORGANIZATION ACT, AS RECOMMENDED BY THE DEPARTMENT 3 OF INSURANCE. 4 The General Assembly of North Carolina enacts: 5 SECTION 1. G.S. 58-89A-5 reads as rewritten: 6 "§ 58-89A-5. Definitions. 7 In this Article: 8 … 9 (3) "Audited GAAP financial statement" means a financial statement that is 10 audited by an independent certified public accountant and presented in 11 accordance with generally accepted accounting principles. 12 … 13 (17) "Tangible net worth" means the difference between total tangible assets and 14 total liabilities. For purposes of this definition, tangible assets are physical 15 assets and do not include goodwill, patents, copyrights, intellectual property, 16 trademarks, and any other non-physical asset. 17 (17)(18) "Temporary employees" means persons employed under an arrangement 18 by which an organization hires its own employees and assigns them to a client 19 company to support or supplement the client's workforce in a special work 20 situation, including: 21 … 22 (19) "Working capital" means the difference between current assets and current 23 liabilities." 24 SECTION 2. G.S. 58-89A-35 reads as rewritten: 25 "§ 58-89A-35. License required; professional employer organization groups. 26 … 27 (b) Two or more professional employer organizations persons that are controlled by the 28 same ultimate parent, entity, or persons may be licensed as a professional employer organization 29 group. A professional employer organization group may satisfy the reporting and financial 30 requirements of this Article on a consolidated or combined basis. As a condition of licensure as 31 a professional employer organization group, each professional employer organization person that 32 is proposes to be a member of the a professional employer organization group shall guarantee 33 payment of all financial obligations of every other member. Notwithstanding the definition of 34 "person" in this Article, whenever two or more entities combine to seek issuance of a single 35 license under this Article, the requirements for group licensure under this subsection shall be met 36 H.B. 717 Apr 2, 2025 HOUSE PRINCIPAL CLERK General Assembly Of North Carolina Session 2025 Page 2 DRH10322-NE-101 before issuance of a license and any license issued will be a professional employer organization 1 group license issued pursuant to this subsection." 2 SECTION 3. G.S. 58-89A-50 reads as rewritten: 3 "§ 58-89A-50. Surety bond; letter of credit; other deposits. 4 (a) An applicant for licensure shall file with the Commissioner a surety bond, or other 5 items as set forth in subsection (f) of this section, in the amount of one hundred thousand dollars 6 ($100,000) for the benefit of the Commissioner. An applicant whose current assets do not exceed 7 current liabilities or licensee who does not have positive working capital pursuant to 8 G.S. 58-89A-60(b) shall file an additional surety bond or other items set forth in subsection (f) 9 of this section equal to or in excess of current liabilities less current assets.the applicant's or 10 licensee's negative working capital. 11 …." 12 SECTION 4. G.S. 58-89A-60(g) is repealed. 13 SECTION 5. G.S. 58-89A-60, as amended by Section 4 of this act, reads as 14 rewritten: 15 "§ 58-89A-60. License application. 16 (a) Every applicant for licensure shall file with the Commissioner, on a form prescribed 17 by the Commissioner, the following information: 18 … 19 (3) A list of all officers officers, directors, and other controlling persons of the 20 applicant, their biographical information, including their education, 21 management background, and business experience, and an affidavit from each 22 attesting to his or her good moral character and management competence. 23 … 24 (6) Any other reasonable information the Commissioner deems necessary and 25 requires by rule to establish that the applicant and the officers and controlling 26 persons are of good moral character, have business integrity, have applicable 27 educational and business experience, and have financial responsibility. 28 (b) Every applicant shall file with the Commissioner an audited GAAP financial 29 statement, prepared as of a date not more than 90 120 days before the date of application that 30 demonstrates that the applicant or licensee's current assets exceed current liabilities and attached 31 has a tangible net worth of not less than fifty thousand dollars ($50,000) and positive working 32 capital. The applicant shall attach to which is the audited financial statement a separate document 33 signed by the applicant's chief executive and the chief financial officer certifying that (i) each 34 has reviewed the audited financial statement; (ii) based on each signatory's knowledge, the 35 audited financial statement does not contain any untrue or misleading statement of material fact 36 or omit a fact with respect to the period covered by the audited financial statement; and (iii) based 37 on each signatory's knowledge, the audited financial statement fairly presents in all material 38 respects the financial condition of the licensee applicant as of, and for, the period presented in 39 the audited financial statement. 40 Notwithstanding the requirements of this subsection, the Commissioner may, in the 41 Commissioner's discretion, accept an audited GAAP financial statement that has been prepared 42 more than 90 120 days before submission to the Commissioner if the Commissioner deems such 43 acceptance appropriate. The Commissioner may, in the Commissioner's discretion, impose 44 conditions upon such acceptance of audited financial statements prepared more than 90 120 days 45 prior to submission. 46 The audited GAAP financial statement shall be prepared in accordance with generally 47 accepted accounting principles and audited by an independent certified public accountant 48 licensed to practice in the jurisdiction in which such accountant is located and shall be without 49 qualification as to the going concern status of the PEO. A PEO group applicant. Persons applying 50 for a professional employer organization group license may submit combined or consolidated 51 General Assembly Of North Carolina Session 2025 DRH10322-NE-101 Page 3 audited financial statements to meet the requirements of this section, except that a PEO provided 1 that the combined or consolidated audited financial statement include a combining or 2 consolidating balance sheet and statement of operations of each proposed member as 3 supplemental information to the combined or consolidated audited financial statement. An 4 applicant that has not had sufficient operating history to have audited financial statements based 5 upon does not have at least 12 months of operating history must may meet the financial capacity 6 requirements of this subsection and present by filing with the Commissioner financial statements 7 that have been reviewed by a an independent certified public accountant.accountant and that have 8 been prepared as of a date not more than 90 days before the date of application. 9 (b1) The Commissioner may accept the audited financial statement of an applicant's parent 10 company, if the audited financial statement includes either a combining or consolidating balance 11 sheet, income statement, statement of changes in equity, and statement of cash flows as 12 supplemental information to the audited financial statement, the contents of which will allow the 13 Commissioner to determine the financial condition and financial responsibility of the applicant. 14 (b2) The Commissioner may accept the audited financial statement of an applicant's parent 15 company and consider the financial condition and financial responsibility of the parent in lieu of 16 the applicant, if all of the following requirements are satisfied: 17 (1) The parent executes a guaranty agreement, in a form prescribed by the 18 Commissioner, for the guaranty of all obligations related to the applicant's 19 current and future client companies, including its obligations for payroll, 20 payroll-related taxes, workers' compensation insurance, and employee 21 benefits. 22 (2) The applicant files with the Commissioner documentation acceptable to the 23 Commissioner evidencing the parent's control. 24 (3) The applicant submits an audited financial statement that meets the 25 requirements of subsection (b1) of this section that allows the Commissioner 26 to determine the financial condition and financial responsibility of the parent 27 and the applicant. 28 … 29 (d) Every applicant shall furnish the Commissioner a complete set of fingerprints of each 30 officer, director, and controlling person in a form prescribed by the Commissioner. Each set of 31 fingerprints shall be certified by an authorized law enforcement officer. 32 Upon request by the Department, the State Bureau of Investigation shall provide to the 33 Department from the State and National Repositories of Criminal Histories the criminal history 34 of any applicant and the officer, director, and controlling person of any applicant. Along with the 35 request, the Department shall provide to the State Bureau of Investigation the fingerprints of the 36 person that is the subject of the request, a form signed by the person that is the subject of the 37 request consenting to the criminal record check and use of fingerprints and other identifying 38 information required by the State and National Repositories, and any additional information 39 required by the State Bureau of Investigation. The person's fingerprints shall be used by the State 40 Bureau of Investigation for a search of the State's criminal history record file, and the State 41 Bureau of Investigation may forward a set of fingerprints to the Federal Bureau of Investigation 42 for a national criminal history record check. The Department shall keep all information obtained 43 pursuant to this subsection confidential. The State Bureau of Investigation may charge a fee to 44 offset the cost incurred by it to conduct a criminal record check under this section. The fee shall 45 not exceed the actual cost of locating, editing, researching, and retrieving the information. 46 In the event that an applicant has secured a professional employer organization license in 47 another state in which the professional employer organization's controlling persons have 48 completed a criminal background investigation within 12 months of this application, a certified 49 copy of the report from the appropriate authority of that state may satisfy the requirement of this 50 subsection. This subsection also applies to a change in a the officers, directors, and other 51 General Assembly Of North Carolina Session 2025 Page 4 DRH10322-NE-101 controlling party persons of a professional employer organization. organizations and professional 1 employer organization groups licensed under this Article. For purposes of investigation under 2 this subsection, the Commissioner shall have all the power conferred by G.S. 58-2-50 and other 3 applicable provisions of this Chapter. 4 … 5 (g1) The Commissioner may deny the license of an applicant under this Article if the 6 Commissioner finds any of the following: 7 (1) That an officer, director, or other controlling person has: 8 a. Not met the requirements of G.S. 58-89A-40. 9 b. Made any untrue material statement or omitted any material 10 information regarding their background or experience. 11 c. Violated, or failed to comply with, any professional employer services 12 law or any rule or order of the Commissioner or of any other State 13 official responsible for the regulation of any aspect of the applicant's 14 business. 15 d. Obtained or attempted to obtain the license through misrepresentation 16 or fraud. 17 e. Been convicted of a felony. 18 f. Been found in a final judgment or administrative proceeding to have 19 committed fraud or an unfair trade practice. 20 g. Been an officer, director, or other controlling person in another 21 professional employer organization that has had its license or 22 registration suspended, terminated, or revoked by any state. 23 (2) That the applicant is not current with respect to all of its obligations for 24 payroll, payroll-related taxes, workers' compensation insurance, and 25 employee benefits and the applicant has failed to satisfy the Commissioner as 26 to the reasons why. 27 (3) That the applicant does not possess: 28 a. A tangible accounting net worth of not less than fifty thousand dollars 29 ($50,000). 30 b. Positive working capital, or in lieu of positive working capital, 31 substitute security as provided under G.S. 58-89A-50(a). 32 (4) That the applicant has not provided evidence satisfactory to the Commissioner 33 of financial responsibility. 34 (5) That the applicant has failed to satisfy the requirements of G.S. 58-89A-50. 35 (6) That a ground upon which the Commissioner could take disciplinary action 36 against a licensee or other person subject to licensure requirements pursuant 37 to G.S. 58-89A-155 applies to the applicant. 38 (h) If the Commissioner finds that the applicant has not fully met the requirements for 39 licensure, the Commissioner shall refuse to issue the license and shall notify the applicant in 40 writing of the denial, stating the grounds for the denial. The application may also be denied for 41 any reason for which a license may be suspended or terminated under G.S. 58-89A-155. To 42 obtain a review to determine the reasonableness of the Commissioner's denial, the applicant shall 43 make written demand upon the Commissioner within 30 days after notice is given under 44 G.S. 150B-38(c). The review shall be completed without undue delay, and the applicant shall be 45 notified promptly in writing as to the outcome of the review. If the applicant disagrees with the 46 outcome of the review and seeks a hearing, under Article 3A of Chapter 150B of the General 47 Statutes, on the outcome of the review, the applicant shall make a written demand upon the 48 Commissioner for the hearing within 30 days after notice of the outcome of the review is given 49 under G.S. 150B-38(c). 50 General Assembly Of North Carolina Session 2025 DRH10322-NE-101 Page 5 (i) Removal, demotion, or discharge of a an officer, director, or other controlling person 1 in response to an order of the Commissioner of the alleged unsuitability of that person is an 2 affirmative defense to any claim by that individual based on the removal, demotion, or discharge. 3 …." 4 SECTION 6. Subsections (a1), (c1), and (c2) of G.S. 58-89A-65 are repealed. 5 SECTION 7. G.S. 58-89A-70 reads as rewritten: 6 "§ 58-89A-70. License issuance and maintenance. 7 … 8 (c) By obtaining licensure under this Article, the officers, directors, and other controlling 9 persons of a licensee certify, under penalty of law, their compliance with the requirements of 10 licensure and of operation as a professional employer organization pursuant to this Article. 11 (d) Within 120 days after the end of each fiscal year, each licensee shall file with the 12 Commissioner all of the following information: 13 (1) Evidence of "financial responsibility" as set forth in G.S. 58-89A-60(b).An 14 audited financial statement of the licensee or, if allowed by the Commissioner, 15 an audited financial statement of the licensee's parent. The audited financial 16 statement shall be in the form required by G.S. 58-89A-60(b), (b1), or (b2), as 17 appropriate. 18 … 19 (4) An attestation, executed by the chief financial officer and the chief executive 20 officer of the licensee, that the licensee is current with respect to all of its 21 obligations for payroll, payroll-related taxes, workers' compensation 22 insurance, and employee benefits. If any of the obligations listed in this 23 subdivision are in dispute with a client and the disputed amount is material 24 when considered in the context of the licensee's most recent audited financial 25 statement, then the licensee shall disclose the nature of the dispute causing the 26 obligations to be unpaid and the amount of money in controversy. 27 (4)(5) Any other reasonable information the Commissioner determines is needed for 28 the review of a licensee. 29 (e) In order to maintain licensure, each licensee may be required to file with the 30 Commissioner no later than 45 days after the end of each quarter of the fiscal year: 31 (1) A financial statement for the preceding quarter that is not audited but is set 32 forth in a format similar to the annual audited GAAP financial statement; and 33 (2) An attestation, executed by the chief financial officer and the chief executive 34 officer of the licensee, that the licensee is current with respect to all of its 35 obligations for payroll, payroll-related taxes, workers' compensation 36 insurance, and employee benefits. If any of the obligations listed in this 37 subdivision are in dispute with a client and the disputed amount is material 38 when considered in the context of the licensee's most recent audited financial 39 statement, then the licensee shall disclose the nature of the dispute causing the 40 obligations to be unpaid and the amount of money in controversy.attestation 41 in the form required by subdivision (4) of subsection (d) of this section." 42 SECTION 8. G.S. 58-89A-75 reads as rewritten: 43 "§ 58-89A-75. De minimis registration. 44 (a) A person who seeks to offer limited professional employer services in this State shall 45 be eligible for de minimis registration status upon compliance with this section and may operate 46 as a de minimis registrant in this State upon notification pursuant to this section. A person shall 47 satisfy the requirements for a de minimis registration only if the professional employer 48 organization: 49 (1) Does not maintain a physical professional employer organization office 50 located in this State; 51 General Assembly Of North Carolina Session 2025 Page 6 DRH10322-NE-101 (2) Is not domiciled in this State; 1 (2)(3) Does not employ salespersons who reside or direct their sales activities in this 2 State; 3 (3)(4) Does not employ directly or in common control with another person, as 4 defined in G.S. 58-89A-5(12), more than 50 assigned employees in this State; 5 (4)(5) Does not advertise through any media outlet physically located in this 6 State;State, provided, however, that this subdivision shall not prohibit a person 7 from advertising through publications, trade journals, directories, radio, 8 television, or the internet if such advertising is not expressly directed toward 9 employers in this State. 10 (5)(6) Is a licensed or registered professional employer organization in at least one 11 other state of the United States; and 12 (6)(7) Is operated by and under the control of persons of good moral character. 13 A professional employer organization operating under a de minimis registration shall be subject 14 to all of the responsibilities and authority of a licensee under this Article except for 15 G.S. 58-89A-50, 58-89A-60 and 58-89A-70(c), (d), and (e). 16 …." 17 SECTION 9. This act is effective when it becomes law and applies to applications 18 for license issuance or renewal submitted on or after that date. 19