Sec. 2. The purpose of the office is the following:
(1) To assist regulated entities in achieving regulatory compliance.
(2) To promote cooperation between the department and regulated entities.
As added by P.L.1-1996, SEC.18.
Sec. 3. The board may adopt rules under IC 4-22-2 and IC 13-14-9 as required to implement the compliance program described in this article.
As added by P.L.1-1996, SEC.18. Amended by P.L.133-2012, SEC.156.