California
Sweeping Regulatory Changes in the Gambling Sector Set to Impact Multiple Establishments
In a significant regulatory move, the Commission has released a comprehensive document outlining a series of options, conditions, and recommendations that could reshape the landscape of the gambling industry. The document, released ahead of the Commission’s upcoming meeting, suggests a mix of temporary closures, licensing conditions, and key employee suitability findings that will affect a range of gambling establishments and stakeholders.
Temporary Closure of Select Gambling Establishments
In a notable recommendation, the Commission has proposed the temporary closure of five gambling establishments, including Central Coast Casino, La Primavera Pool Hall & Cafe, Pinnacle Casino, St. Charles Place, and Tommy’s Casino & Saloon, through March 31, 2024. These closures hinge on the failure of the establishments to meet certain undisclosed requirements, with the Commission open to lifting the closures upon receipt of payment or compliance. Conversely, no action is recommended against Bruce’s Bar and Casino, Epoch Casino, Mike’s Card Casino, and Towers Casino, signaling compliance or negotiation progress with these entities.
Licensing Conditions for The Aviator Casino
The Aviator Casino, under ABA Properties, LLC, faces critical licensing decisions with three options on the table. The Commission leans towards amending the current condition to necessitate ABA Energy Corporation and Alan Adler’s endorsement on ABA Properties, LLC’s Cardroom Business License as holders of indebtedness. This move underscores the Commission’s emphasis on transparency and financial accountability within the gambling sector.
Key Employee Licensing and Third-Party Proposition Player Services
Kenneth Hom and several third-party proposition player service employees are under scrutiny, with the Commission recommending a variety of actions from approval of applications with conditions to referrals for evidentiary hearings. These decisions reflect a tailored approach to ensuring the integrity and responsibility of individuals and entities operating within the gambling industry.
Tribal-State Compact and Additional Table Requests
Elmer Penid of the Sky River Casino – Wilton Rancheria and Randy Yaple of Blacksheep Casino Company are also highlighted in the document, with specific conditions recommended for their operations. These include ongoing proof of efforts to satisfy civil judgments and the approval of additional gambling tables, respectively, indicating the Commission’s broader regulatory scope.
Implications for the Gambling Industry
The Commission’s document signals a comprehensive regulatory effort aimed at tightening controls and ensuring compliance within the gambling sector. The proposed closures, licensing conditions, and suitability findings represent a mix of enforcement and oversight mechanisms intended to foster a responsible and transparent gambling environment.
As the Commission prepares for its meeting, stakeholders across the gambling industry are closely monitoring these developments. The outcomes could not only influence the operational dynamics of the affected establishments but also set precedents for regulatory practices moving forward.
Bagley-Keene Act
California Gambling Control Commission Issues Critical Guidance on Stakeholder Communications and Ex Parte Rules
The California Gambling Control Commission (CGCC) has released a comprehensive new guide for stakeholders, outlining essential best practices for contacting the Commission and strictly warning against the legal pitfalls of “ex parte” communications.
As part of its ongoing commitment to transparency and its 2026 Strategic Plan, the Commission aims to streamline interactions while ensuring that all regulatory decisions are made on a complete, fair, and public record.
Navigating the Commission: Who to Contact
To ensure inquiries are handled efficiently, the Commission has identified key points of contact for various industry matters:
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Licensing & Approvals: For general licensing matters, stakeholders should contact Brian Gilleland, Deputy Director of the Licensing Division, at
[email protected]. -
Regulations & Legislation: Inquiries regarding laws or pending regulations should be directed to Nicole Learned, Deputy Director of Legislative and Regulatory Affairs, at
[email protected]. -
Evidentiary Hearings: For GCA hearing matters, contact the Presiding Officer noted in your hearing notice, or Administrative Hearings Coordinator Pam Mathauser at
[email protected]. -
Executive Leadership: All other high-level matters should be sent to Executive Director Lisa Wardall at
[email protected].
The Danger of “Ex Parte” Communications
A central focus of the new guidance is the strict prohibition of ex parte communications—any communication regarding the merits of a pending application or request made without proper notice to all involved parties.
To comply with state rules, stakeholders must include Commission staff, Bureau staff, and the Applicant (or their designated agent) on all correspondence.
Crucial Warning: Stakeholders are strictly forbidden from sending communications of any kind directly to Commissioners regarding applications or pending decisions.
Why Compliance is Mandatory
The Commission warns that ex parte violations are not merely procedural errors; they pose a direct threat to the integrity of the gambling industry’s governance. Decisions made on incomplete or “private” information can lead to:
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Application Denial: The Commissioners have the authority to deny an application or approval solely based on a prohibited communication.
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Legal Reversals: Violations may breach the Bagley-Keene Open Meeting Act, potentially allowing opposing parties to overturn a decision that was previously taken in your favor.
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Governance Risk: Transparency ensures that all parties—including the Bureau of Gambling Control—have access to the same record of information before a vote is cast.
“Transparency is a core tenet of good governance,” the Commission stated in the guidance. “Ex parte rules guarantee that all matters taken up by the Commission are conducted in a fair and transparent manner.”
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California
CGCC Gaming Policy Advisory Committee (GPAC) Meeting: Jan 20, 2026
The California Gambling Control Commission (CGCC) has scheduled a meeting of the Gaming Policy Advisory Committee (GPAC) for 1:00 p.m. on Tuesday, January 20, 2026.
The committee is established under Business and Professions Code Section 19817 to provide advisory recommendations to the Commission on regulatory policy, with a specific focus on integrity and problem gambling.
Meeting Attendance Information
The meeting will be conducted in a hybrid format, allowing for both in-person and remote participation.
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In-Person Location: 2399 Gateway Oaks Drive, Hearing Room 100, Sacramento, CA 95833.
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Virtual Access: Zoom Meeting Link
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Phone Access: 1-888-475-4499 (Toll-free) | Meeting ID: 285 757 8614
Key Agenda Items
The agenda focuses on internal governance, regulatory controls for third-party providers, and administrative updates:
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GPAC Roles and Responsibilities: A review of the mission statement, adherence to the Bagley-Keene Open Meeting Act, and expectations for member conduct and responsiveness.
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Current Projects: Update and discussion on Third-Party Providers of Proposition Player Services (TPPPS) – Internal Controls, led by subcommittee members Kirill Yermanov and Michael Hill.
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New Discussion Items:
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Third-Party Provider Employee Table Coverage.
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Procedures for Lost or Damaged Employee Badges.
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Administrative Updates: An update on the Category G vacancy (Public Member with accounting/business background).
2026 Committee Composition
The committee consists of 10 members (expanding to 12 if pending legislation like AB 77 is finalized), split equally between the cardroom industry and the public.
| Member Name | Category / Role | Term Expiry |
| Trevor Dewar | Category A (Bureau of Gambling Control) | 12/31/2026 |
| Sosha Marasigan-Quintero | Category B (Problem Gambling/Addiction) | 12/31/2026 |
| Michael Hill | Category C (TPPPS Representative) | 12/31/2027 |
| David Fried | Category D (Cardroom with 25+ Tables) | 12/31/2026 |
| Michael Koniski | Industry Representative | — |
| Emmanuel Macalino | Industry Representative | — |
| Linda Ng | Public Representative | — |
| John Stacy | Industry Representative | — |
| Kirill Yermanov | Public Representative | — |
Advisors: Lisa Wardall (Executive Director) and Jason Pope (Chief Counsel).
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California
California Gambling Control Commission Issues New Precedential Decision on Licensing Requirements
The California Gambling Control Commission has issued a new Precedential Decision that addresses licensure requirements for funding sources of Third-Party Providers of Proposition Player Services (TPPPS).
The decision, formally titled Precedential Decision 2025-01, was adopted on August 21, 2025, and is now available on the Commission’s Precedential Decisions page
along with all prior precedential rulings.
This latest decision provides further clarity on licensing obligations and regulatory expectations for individuals and entities involved in funding TPPPS operations—a key aspect of maintaining integrity and oversight in California’s regulated gambling industry.
Stakeholders and members of the public can stay informed by subscribing to receive notifications when new Precedential Decisions are under consideration or adopted. The Precedential Decisions Subscription Signup Form, along with other subscription options for Commission meeting agendas, newsletters, and rulemaking updates, is available on the Commission’s website.
For questions or additional information, contact the Commission at (916) 263-0700 or via email at [email protected]
.
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