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H.B. 290 Enrolled

             1     

DIVISION OF REAL ESTATE AMENDMENTS

             2     
2013 GENERAL SESSION

             3     
STATE OF UTAH

             4     
Chief Sponsor: Gage Froerer

             5     
Senate Sponsor: J. Stuart Adams

             6     
             7      LONG TITLE
             8      General Description:
             9          This bill modifies provisions relating to real estate.
             10      Highlighted Provisions:
             11          This bill:
             12          .    modifies the entity with which a subdivider files an effective statement of record, in
             13      accordance with federal law;
             14          .    modifies a provision regarding addresses provided to the Division of Real Estate;
             15          .    modifies a provision relating to criminal background checks of applicants for a
             16      license to transact the business of residential mortgage loans;
             17          .    modifies lending manager licensing provisions;
             18          .    increases the period of reinstatement of an expired registration;
             19          .    exempts from the licensing requirements described in Title 61, Chapter 2f, Real
             20      Estate Licensing and Practices Act an individual who engages in isolated real estate
             21      services, if the individual holds a duly executed power of attorney from a property
             22      owner;
             23          .    modifies a provision relating to the determination of a license examination fee;
             24          .    authorizes the Division of Real Estate to terminate the registration of an entity if the
             25      entity's registration with the Division of Corporations and Commercial Code has
             26      been expired for a specified period and the entity's license has been inactive for a
             27      specified period; and
             28          .    permits an entity that is affiliated with a principal broker to maintain an action for
             29      the recovery of a commission or fee, or for compensation for any act done or service


             30      rendered in accordance with the Real Estate Licensing and Practices Act.
             31      Money Appropriated in this Bill:
             32          None
             33      Other Special Clauses:
             34          The amendments in this bill to Section 61-2f-409 have retrospective operation to May
             35      11, 2010.
             36      Utah Code Sections Affected:
             37      AMENDS:
             38          57-11-4, as last amended by Laws of Utah 2009, Chapter 352
             39          61-2c-106, as last amended by Laws of Utah 2012, Chapter 166
             40          61-2c-202, as last amended by Laws of Utah 2011, Chapter 289
             41          61-2c-206, as last amended by Laws of Utah 2012, Chapter 166
             42          61-2e-204, as last amended by Laws of Utah 2012, Chapter 166
             43          61-2f-202, as last amended by Laws of Utah 2011, Chapters 289 and 398
             44          61-2f-204, as last amended by Laws of Utah 2011, Chapter 289
             45          61-2f-206, as last amended by Laws of Utah 2011, Chapter 289
             46          61-2f-409, as renumbered and amended by Laws of Utah 2010, Chapter 379
             47     
             48      Be it enacted by the Legislature of the state of Utah:
             49          Section 1. Section 57-11-4 is amended to read:
             50           57-11-4. Exemptions.
             51          (1) Unless the method of disposition is adopted for the purpose of evasion of this
             52      chapter or the federal act, this chapter does not apply to an offer or disposition of an interest in
             53      land:
             54          (a) by a purchaser of subdivided lands for the person's own account in a single or
             55      isolated transaction;
             56          (b) (i) on a unit of which there is a residential, commercial, or industrial building; or
             57          (ii) on a unit of which there is a legal obligation on the part of the seller to complete


             58      construction of a residential, commercial, or industrial building within two years from date of
             59      disposition;
             60          (c) unless a person who acquires land for one of the following purposes sells that land
             61      to one or more individuals as unimproved lots with no legal obligation on the part of the seller
             62      to construct a residential, commercial, or industrial building on that lot within two years from
             63      the date of disposition:
             64          (i) if the person acquires an interest in the land for use in the business of constructing
             65      residential, commercial, or industrial buildings; or
             66          (ii) if the person acquires the type of land described in Subsection (1)(c)(i) for the
             67      purpose of disposition to a person engaged in the business of constructing residential,
             68      commercial, or industrial buildings;
             69          (d) pursuant to court order;
             70          (e) by a government or government agency;
             71          (f) (i) if the interest lies within the boundaries of a city or a county which:
             72          (A) has a planning and zoning board using at least one professional planner;
             73          (B) enacts ordinances that require approval of planning, zoning, and plats, including
             74      the approval of plans for streets, culinary water, sanitary sewer, and flood control; and
             75          (C) will have the improvements described in Subsection (1)(f)(i)(B) plus telephone and
             76      electricity; and
             77          (ii) if at the time of the offer or disposition the subdivider furnishes satisfactory
             78      assurance of completion of the improvements described in Subsection (1)(f)(i)(C);
             79          (g) in an industrial park;
             80          (h) as cemetery lots; or
             81          (i) if the interest is offered as part of a camp resort as defined in Section 57-19-2 or a
             82      timeshare development as defined in Section 57-19-2 .
             83          (2) Unless the method of disposition is adopted for the purpose of evasion of this
             84      chapter or the provisions of the federal act, this chapter, except as specifically designated, does
             85      not apply to an offer or disposition of:


             86          (a) indebtedness secured by a mortgage or deed of trust on real estate;
             87          (b) a security or unit of interest issued by a real estate investment trust regulated under
             88      any state or federal statute;
             89          (c) subject to Subsection (5), subdivided lands registered under the federal act and
             90      which the division finds to be in the public interest to exempt from the registration
             91      requirements of this chapter;
             92          (d) a security currently registered with the Division of Securities; or
             93          (e) an interest in oil, gas, or other minerals or a royalty interest in these assets if the
             94      offer or disposition of the interest is regulated as a security by the federal government or by the
             95      Division of Securities.
             96          (3) (a) Notwithstanding the exemptions in Subsections (1) and (2), a person making an
             97      offer or disposition of an interest in land that is located in Utah shall apply to the division for
             98      an exemption before the offer or disposition is made if:
             99          (i) the person is representing, in connection with the offer or disposition, the
             100      availability of culinary water service to or on the subdivided land; and
             101          (ii) the culinary water service is provided by a water corporation as defined in Section
             102      54-2-1 .
             103          (b) A subdivider seeking to qualify under this exemption shall file with the division a
             104      filing fee of $50 and an application containing:
             105          (i) information required by the division to show that the offer or disposition is exempt
             106      under this section;
             107          (ii) a statement as to what entity will be providing culinary water service and the nature
             108      of that entity; and
             109          (iii) (A) a copy of the entity's certificate of convenience and necessity issued by the
             110      Public Service Commission; or
             111          (B) evidence that the entity providing water service is exempt from the jurisdiction of
             112      the Public Service Commission.
             113          (4) (a) The director may by rule or order exempt a person from a requirement of this


             114      chapter if the director finds that the offering of an interest in a subdivision is essentially
             115      noncommercial.
             116          (b) For purposes of this section, the bulk sale of subdivided lands by a subdivider to
             117      another person who will become the subdivider of those lands is considered essentially
             118      noncommercial.
             119          (5) (a) A subdivider seeking to qualify under the exemption described in Subsection
             120      (2)(c) shall file with the division:
             121          (i) a copy of an effective statement of record filed with the [secretary of the
             122      Department of Housing and Urban Development] Consumer Financial Protection Bureau; and
             123          (ii) a filing fee of $100.
             124          (b) If a subdivider does not qualify under the exemption described in Subsection (2)(c),
             125      the division shall credit the filing fee described in Subsection (5)(a) to the filing fee required
             126      for registration under this chapter.
             127          (c) Nothing in this Subsection (5) exempts a subdivider from:
             128          (i) Sections 57-11-16 and 57-11-17 ; or
             129          (ii) the requirement to file an annual report with the division under Section 57-11-10 .
             130          (6) Notwithstanding an exemption under this section, the division:
             131          (a) retains jurisdiction over an offer or disposition of an interest in land to determine
             132      whether or not the exemption continues to apply; and
             133          (b) may require compliance with this chapter if an exemption no longer applies.
             134          Section 2. Section 61-2c-106 is amended to read:
             135           61-2c-106. Addresses provided the division.
             136          (1) (a) A person shall provide a physical location or street address when the person
             137      provides the nationwide database an address required by the division.
             138          (b) The following when provided to and maintained within the division under this
             139      chapter is public information:
             140          (i) a business address; or
             141          (ii) a mailing address other than a home address, unless the person provides no other


             142      address.
             143          (2) A licensee is considered to have received a notification that is mailed to the last
             144      mailing address furnished to the nationwide database by:
             145          (a) the individual, if the licensee is an individual; or
             146          (b) the lending manager who is designated within the nationwide database to act as the
             147      principal lending manager for the entity, if the licensee is an entity.
             148          Section 3. Section 61-2c-202 is amended to read:
             149           61-2c-202. Licensure procedures.
             150          (1) To apply for licensure under this chapter an applicant shall in a manner provided by
             151      the division by rule:
             152          (a) if the applicant is an entity, submit a licensure statement that:
             153          (i) lists any name under which the entity will transact business in this state;
             154          (ii) lists the address of the principal business location of the entity;
             155          (iii) identifies the principal lending manager of the entity;
             156          (iv) contains the signature of the principal lending manager;
             157          (v) identifies the one or more control persons for the entity;
             158          (vi) identifies the jurisdictions in which the entity is registered, licensed, or otherwise
             159      regulated in the business of residential mortgage loans;
             160          (vii) discloses any adverse administrative action taken by an administrative agency
             161      against:
             162          (A) the entity; or
             163          (B) any control person for the entity;
             164          (viii) discloses any history of criminal proceedings involving any control person for the
             165      entity; and
             166          (ix) includes any information required by the division by rule;
             167          (b) if the applicant is an individual:
             168          (i) submit a licensure statement that identifies the entity with which the applicant is
             169      sponsored;


             170          (ii) authorize [a] periodic criminal background [check] checks through the nationwide
             171      database, at times provided by rule that the division makes in accordance with Title 63G,
             172      Chapter 3, Utah Administrative Rulemaking Act, accessing:
             173          (A) the Utah Bureau of Criminal Identification, if the nationwide database is able to
             174      obtain information from the Utah Bureau of Criminal Identification; and
             175          (B) the Federal Bureau of Investigation;
             176          (iii) submit evidence using a method approved by the division by rule of having
             177      successfully completed approved prelicensing education in accordance with Section
             178      61-2c-204.1 ;
             179          (iv) submit evidence using a method approved by the division by rule of having
             180      successfully passed any required licensing examination in accordance with Section
             181      61-2c-204.1 ; [and]
             182          (v) submit evidence using a method approved by the division by rule of having
             183      successfully registered in the nationwide database, including paying a fee required by the
             184      nationwide database; and
             185          (vi) authorize the division to obtain independent credit reports:
             186          (A) through a consumer reporting agency described in Section 603(p) of the Fair Credit
             187      Reporting Act, 15 U.S.C. Sec. 1681a; and
             188          (B) at times provided by rule that the division makes in accordance with Title 63G,
             189      Chapter 3, Utah Administrative Rulemaking Act; and
             190          (c) pay to the division:
             191          (i) an application fee established by the division in accordance with Section 63J-1-504 ;
             192      and
             193          (ii) the reasonable expenses incurred by the division in processing the application for
             194      licensure.
             195          (2) (a) Upon receiving an application, the division, with the concurrence of the
             196      commission, shall determine whether the applicant:
             197          (i) meets the qualifications for licensure; and


             198          (ii) complies with this section.
             199          (b) If the division, with the concurrence of the commission, determines that an
             200      applicant meets the qualifications for licensure and complies with this section, the division
             201      shall issue the applicant a license.
             202          (c) If the division, with the concurrence of the commission, determines that the
             203      division requires more information to make a determination under Subsection (2)(a), the
             204      division may:
             205          (i) hold the application pending further information about an applicant's criminal
             206      background or history related to adverse administrative action in any jurisdiction; or
             207          (ii) issue a conditional license:
             208          (A) pending the completion of a criminal background check; and
             209          (B) subject to probation, suspension, or revocation if the criminal background check
             210      reveals that the applicant did not truthfully or accurately disclose on the licensing application a
             211      criminal history or other history related to adverse administrative action.
             212          (3) (a) The commission may delegate to the division the authority to:
             213          (i) review a class or category of application for an initial or renewed license;
             214          (ii) determine whether an applicant meets the qualifications for licensure;
             215          (iii) conduct a necessary hearing on an application; and
             216          (iv) approve or deny a license application without concurrence by the commission.
             217          (b) If the commission delegates to the division the authority to approve or deny an
             218      application without concurrence by the commission and the division denies an application for
             219      licensure, the applicant who is denied licensure may petition the commission for a de novo
             220      review of the application.
             221          (c) An applicant who is denied licensure under Subsection (3)(b) may seek agency
             222      review by the executive director only after the commission reviews the division's denial of the
             223      applicant's application.
             224          (d) Subject to Subsection (3)(c) and in accordance with Title 63G, Chapter 4,
             225      Administrative Procedures Act, an applicant who is denied licensure under this chapter may


             226      submit a request for agency review to the executive director within 30 days following the day
             227      on which the commission order denying the licensure is issued.
             228          Section 4. Section 61-2c-206 is amended to read:
             229           61-2c-206. Lending manager licenses.
             230          (1) To qualify for licensure as a lending manager under this chapter, an individual
             231      shall:
             232          (a) meet the standards in Section 61-2c-203 ;
             233          (b) successfully complete the following education:
             234          (i) mortgage loan originator prelicensing education as required by federal licensing
             235      regulations; and
             236          (ii) 40 hours of Utah-specific prelicensing education for a lending manager that is
             237      approved by the division under Section 61-2c-204.1 ;
             238          (c) successfully complete the following examinations:
             239          (i) the mortgage loan originator licensing examination as approved by the nationwide
             240      database; and
             241          (ii) the lending manager licensing examination approved by the commission under
             242      Section 61-2c-204.1 ;
             243          (d) submit proof, on a form approved by the division, of three years of full-time active
             244      experience as a mortgage loan originator licensed in any state in the five years preceding the
             245      day on which the application is submitted, or equivalent experience as approved by the
             246      commission pursuant to rule that the division makes in accordance with Title 63G, Chapter 3,
             247      Utah Administrative Rulemaking Act;
             248          (e) submit an application in a manner established by the division by rule;
             249          (f) establish sponsorship with an entity licensed under this chapter;
             250          (g) [if the individual is not registered in the nationwide database as a mortgage loan
             251      originator at the time of application,] submit to the criminal background check required by
             252      Subsection 61-2c-202 (1)(b); and
             253          (h) pay a fee determined by the division under Section 63J-1-504 .


             254          (2) A lending manager may not:
             255          (a) engage in the business of residential mortgage loans on behalf of more than one
             256      entity at the same time;
             257          (b) be sponsored by more than one entity at the same time; or
             258          (c) act simultaneously as the principal lending manager and branch lending manager
             259      for the individual's sponsoring entity, if the entity operates from more than one office [located
             260      within the state].
             261          (3) An individual who is a lending manager may:
             262          (a) transact the business of residential mortgage loans as a mortgage loan originator;
             263      and
             264          (b) be designated within the nationwide database to act for the individual's sponsoring
             265      entity as the principal lending manager, an associate lending manager, or a branch lending
             266      manager.
             267          Section 5. Section 61-2e-204 is amended to read:
             268           61-2e-204. Renewal of a registration.
             269          (1) (a) A registration under this chapter expires two years from the day on which the
             270      registration is filed.
             271          (b) Notwithstanding Subsection (1)(a), the time period of a registration may be
             272      extended or shortened by as much as one year to maintain or change a renewal cycle
             273      established by rule by the division.
             274          (2) To renew a registration under this chapter, before the day on which the registration
             275      expires, an appraisal management company shall:
             276          (a) file with the division a renewal registration application on a form prescribed by the
             277      division;
             278          (b) pay to the division a fee determined in accordance with Section 63J-1-504 ; and
             279          (c) file with the division a certificate evidencing that the appraisal management
             280      company has secured and will maintain a surety bond with one or more corporate sureties
             281      authorized to do business in the state in the amount of at least $25,000, as the division provides


             282      by rule.
             283          (3) A renewal registration application shall include substantially similar information to
             284      the information required under Section 61-2e-202 , except that for an individual described in
             285      Subsection 61-2e-202 (2)(e) or (g), the entity is required to report whether the individual has
             286      had:
             287          (a) (i) a conviction of a criminal offense;
             288          (ii) the entry of a plea in abeyance to a criminal offense; or
             289          (iii) the potential resolution of a criminal case by:
             290          (A) a diversion agreement; or
             291          (B) another agreement under which a criminal charge is held in suspense for a period
             292      of time;
             293          (b) a filing of personal bankruptcy or bankruptcy of a business that transacts the
             294      appraisal management services;
             295          (c) the suspension, revocation, surrender, cancellation, or denial of a professional
             296      license or certification, whether the license or registration is issued by this state or another
             297      jurisdiction; or
             298          (d) the entry of a cease and desist order or a temporary or permanent injunction:
             299          (i) against the individual by a court or government agency; and
             300          (ii) on the basis of:
             301          (A) conduct or a practice involving the business of appraisal management services; or
             302          (B) conduct involving fraud, misrepresentation, or deceit.
             303          (4) A registration expires if it is not renewed on or before its expiration date, except
             304      that for a period of [30 days] one year after the expiration date, the registration may be
             305      reinstated upon compliance with this section, including payment of a renewal fee and a late fee
             306      determined by the division and the board.
             307          (5) Notwithstanding Subsection (4), the division may extend the term of a license that
             308      would expire under Subsection (4) except for the extension if:
             309          (a) (i) the person complies with the requirements of this section to renew the


             310      registration; and
             311          (ii) the renewal application remains pending at the time of the extension; or
             312          (b) at the time of the extension, there is pending under this chapter a disciplinary
             313      action.
             314          Section 6. Section 61-2f-202 is amended to read:
             315           61-2f-202. Exempt persons and transactions.
             316          (1) (a) Except as provided in Subsection (1)(b), a license under this chapter is not
             317      required for:
             318          (i) an individual who as owner or lessor performs an act described in Subsection
             319      61-2f-102 (18) with reference to real estate owned or leased by that individual;
             320          (ii) a regular salaried employee of the owner or lessor of real estate who, with reference
             321      to nonresidential real estate owned or leased by the employer, performs an act described in
             322      Subsection 61-2f-102 (18)(a) or (b);
             323          (iii) a regular salaried employee of the owner of real estate who performs property
             324      management services with reference to real estate owned by the employer, except that the
             325      employee may only manage real estate for one employer;
             326          (iv) an individual who performs property management services for the apartments at
             327      which that individual resides in exchange for free or reduced rent on that individual's
             328      apartment;
             329          (v) a regular salaried employee of a condominium homeowners' association who
             330      manages real estate subject to the declaration of condominium that established the
             331      condominium homeowners' association, except that the employee may only manage real estate
             332      for one condominium homeowners' association; and
             333          (vi) a regular salaried employee of a licensed property management company who
             334      performs support services, as prescribed by rule, for the property management company.
             335          (b) Subsection (1)(a) does not exempt from licensing:
             336          (i) an employee engaged in the sale of real estate regulated under:
             337          (A) Title 57, Chapter 11, Utah Uniform Land Sales Practices Act; or


             338          (B) Title 57, Chapter 19, Timeshare and Camp Resort Act;
             339          (ii) an employee engaged in the sale of cooperative interests regulated under Title 57,
             340      Chapter 23, Real Estate Cooperative Marketing Act; or
             341          (iii) an individual whose interest as an owner or lessor is obtained by that individual or
             342      transferred to that individual for the purpose of evading the application of this chapter, and not
             343      for another legitimate business reason.
             344          (2) A license under this chapter is not required for:
             345          (a) an isolated transaction or service by an individual holding a duly executed power of
             346      attorney from [an] a property owner;
             347          (b) services rendered by an attorney admitted to practice law in this state in performing
             348      the attorney's duties as an attorney;
             349          (c) a receiver, trustee in bankruptcy, administrator, executor, or an individual acting
             350      under order of a court;
             351          (d) a trustee or employee of a trustee under a deed of trust or a will;
             352          (e) a public utility, officer of a public utility, or regular salaried employee of a public
             353      utility, unless performance of an act described in Subsection 61-2f-102 (18) is in connection
             354      with the sale, purchase, lease, or other disposition of real estate or investment in real estate
             355      unrelated to the principal business activity of that public utility;
             356          (f) a regular salaried employee or authorized agent working under the oversight of the
             357      Department of Transportation when performing an act on behalf of the Department of
             358      Transportation in connection with one or more of the following:
             359          (i) the acquisition of real estate pursuant to Section 72-5-103 ;
             360          (ii) the disposal of real estate pursuant to Section 72-5-111 ;
             361          (iii) services that constitute property management; or
             362          (iv) the leasing of real estate; and
             363          (g) a regular salaried employee of a county, city, or town when performing an act on
             364      behalf of the county, city, or town:
             365          (i) in accordance with:


             366          (A) if a regular salaried employee of a city or town:
             367          (I) Title 10, Utah Municipal Code; or
             368          (II) Title 11, Cities, Counties, and Local Taxing Units; and
             369          (B) if a regular salaried employee of a county:
             370          (I) Title 11, Cities, Counties, and Local Taxing Units; and
             371          (II) Title 17, Counties; and
             372          (ii) in connection with one or more of the following:
             373          (A) the acquisition of real estate, including by eminent domain;
             374          (B) the disposal of real estate;
             375          (C) services that constitute property management; or
             376          (D) the leasing of real estate.
             377          (3) A license under this chapter is not required for an individual registered to act as a
             378      broker-dealer, agent, or investment adviser under the Utah and federal securities laws in the
             379      sale or the offer for sale of real estate if:
             380          (a) (i) the real estate is a necessary element of a "security" as that term is defined by the
             381      Securities Act of 1933 and the Securities Exchange Act of 1934; and
             382          (ii) the security is registered for sale in accordance with:
             383          (A) the Securities Act of 1933; or
             384          (B) Title 61, Chapter 1, Utah Uniform Securities Act; or
             385          (b) (i) it is a transaction in a security for which a Form D, described in 17 C.F.R. Sec.
             386      239.500, has been filed with the Securities and Exchange Commission pursuant to Regulation
             387      D, Rule 506, 17 C.F.R. Sec. 230.506; and
             388          (ii) the selling agent and the purchaser are not residents of this state.
             389          Section 7. Section 61-2f-204 is amended to read:
             390           61-2f-204. Licensing fees and procedures -- Renewal fees and procedures.
             391          (1) (a) Upon filing an application for an examination for a license under this chapter,
             392      the applicant shall pay a nonrefundable fee [as determined by the commission with the
             393      concurrence of the division under] established in accordance with Section 63J-1-504 for


             394      admission to the examination.
             395          (b) An applicant for a principal broker, associate broker, or sales agent license shall
             396      pay a nonrefundable fee as determined by the commission with the concurrence of the division
             397      under Section 63J-1-504 for issuance of an initial license or license renewal.
             398          (c) A license issued under this Subsection (1) shall be issued for a period of not less
             399      than two years as determined by the division with the concurrence of the commission.
             400          (d) (i) Any of the following applicants shall comply with this Subsection (1)(d):
             401          (A) a new sales agent applicant;
             402          (B) a principal broker applicant; or
             403          (C) an associate broker applicant.
             404          (ii) An applicant described in this Subsection (1)(d) shall:
             405          (A) submit fingerprint cards in a form acceptable to the division at the time the license
             406      application is filed; and
             407          (B) consent to a criminal background check by the Utah Bureau of Criminal
             408      Identification and the Federal Bureau of Investigation regarding the application.
             409          (iii) The division shall request the Department of Public Safety to complete a Federal
             410      Bureau of Investigation criminal background check for each applicant described in this
             411      Subsection (1)(d) through the national criminal history system or any successor system.
             412          (iv) The applicant shall pay the cost of the criminal background check and the
             413      fingerprinting.
             414          (v) Money paid to the division by an applicant for the cost of the criminal background
             415      check is nonlapsing.
             416          (e) (i) A license issued under Subsection (1)(d) is conditional, pending completion of
             417      the criminal background check.
             418          (ii) A license is immediately and automatically revoked if the criminal background
             419      check discloses the applicant fails to accurately disclose a criminal history involving:
             420          (A) the real estate industry; or
             421          (B) a felony conviction on the basis of an allegation of fraud, misrepresentation, or


             422      deceit.
             423          (iii) If a criminal background check discloses that an applicant fails to accurately
             424      disclose a criminal history other than one described in Subsection (1)(e)(ii), the division:
             425          (A) shall review the application; and
             426          (B) in accordance with rules made by the division pursuant to Title 63G, Chapter 3,
             427      Utah Administrative Rulemaking Act, may:
             428          (I) place a condition on a license;
             429          (II) place a restriction on a license;
             430          (III) revoke a license; or
             431          (IV) refer the application to the commission for a decision.
             432          (iv) A person whose conditional license is automatically revoked under Subsection
             433      (1)(e)(ii) or whose license is conditioned, restricted, or revoked under Subsection (1)(e)(iii)
             434      may have a hearing after the action is taken to challenge the action. The hearing shall be
             435      conducted in accordance with Title 63G, Chapter 4, Administrative Procedures Act.
             436          (v) The director shall designate one of the following to act as the presiding officer in a
             437      hearing described in Subsection (1)(e)(iv):
             438          (A) the division; or
             439          (B) the division with the concurrence of the commission.
             440          (vi) The decision on whether relief from an action under this Subsection (1)(e) will be
             441      granted shall be made by the presiding officer.
             442          (vii) Relief from an automatic revocation under Subsection (1)(e)(ii) may be granted
             443      only if:
             444          (A) the criminal history upon which the division based the revocation:
             445          (I) did not occur; or
             446          (II) is the criminal history of another person;
             447          (B) (I) the revocation is based on a failure to accurately disclose a criminal history; and
             448          (II) the applicant has a reasonable good faith belief at the time of application that there
             449      was no criminal history to be disclosed; or


             450          (C) the division fails to follow the prescribed procedure for the revocation.
             451          (viii) If a license is revoked or a revocation under this Subsection (1)(e) is upheld after
             452      a hearing, the individual may not apply for a new license until at least 12 months after the day
             453      on which the license is revoked.
             454          (2) (a) (i) A license expires if it is not renewed on or before its expiration date.
             455          (ii) As a condition of renewal, an active licensee shall demonstrate competence by
             456      completing 18 hours of continuing education within a two-year renewal period subject to rules
             457      made by the commission, with the concurrence of the division.
             458          (iii) In making a rule described in Subsection (2)(c)(ii), the division and commission
             459      shall consider:
             460          (A) evaluating continuing education on the basis of competency, rather than course
             461      time;
             462          (B) allowing completion of courses in a significant variety of topic areas that the
             463      division and commission determine are valuable in assisting an individual licensed under this
             464      chapter to increase the individual's competency; and
             465          (C) allowing completion of courses that will increase a licensee's professional
             466      competency in the area of practice of the licensee.
             467          (iv) The division may award credit to a licensee for a continuing education requirement
             468      of this Subsection (2)(a) for a reasonable period of time upon a finding of reasonable cause,
             469      including:
             470          (A) military service; or
             471          (B) if an individual is elected or appointed to government service, the individual's
             472      government service during which the individual spends a substantial time addressing real estate
             473      issues subject to conditions established by rule made in accordance with Title 63G, Chapter 3,
             474      Utah Administrative Rulemaking Act.
             475          (b) For a period of 30 days after the expiration date of a license, the license may be
             476      reinstated upon:
             477          (i) payment of a renewal fee and a late fee determined by the commission with the


             478      concurrence of the division under Section 63J-1-504 ; and
             479          (ii) providing proof acceptable to the division and the commission of the licensee
             480      having:
             481          (A) completed the hours of education required by Subsection (2)(a); or
             482          (B) demonstrated competence as required under Subsection (2)(a).
             483          (c) After the 30-day period described in Subsection (2)(b), and until six months after
             484      the expiration date, the license may be reinstated by:
             485          (i) paying a renewal fee and a late fee determined by the commission with the
             486      concurrence of the division under Section 63J-1-504 ;
             487          (ii) providing to the division proof of satisfactory completion of six hours of continuing
             488      education:
             489          (A) in addition to the requirements for a timely renewal; and
             490          (B) on a subject determined by the commission by rule made in accordance with Title
             491      63G, Chapter 3, Utah Administrative Rulemaking Act; and
             492          (iii) providing proof acceptable to the division and the commission of the licensee
             493      having:
             494          (A) completed the hours of education required under Subsection (2)(a); or
             495          (B) demonstrated competence as required under Subsection (2)(a).
             496          (d) After the six-month period described in Subsection (2)(c), and until one year after
             497      the expiration date, the license may be reinstated by:
             498          (i) paying a renewal fee and a late fee determined by the commission with the
             499      concurrence of the division under Section 63J-1-504 ;
             500          (ii) providing to the division proof of satisfactory completion of 24 hours of continuing
             501      education:
             502          (A) in addition to the requirements for a timely renewal; and
             503          (B) on a subject determined by the commission by rule made in accordance with Title
             504      63G, Chapter 3, Utah Administrative Rulemaking Act; and
             505          (iii) providing proof acceptable to the division and the commission of the licensee


             506      having:
             507          (A) completed the hours of education required by Subsection (2)(a); or
             508          (B) demonstrated competence as required under Subsection (2)(a).
             509          (e) The division shall relicense a person who does not renew that person's license
             510      within one year as prescribed for an original application.
             511          (f) Notwithstanding Subsection (2)(a), the division may extend the term of a license
             512      that would expire under Subsection (2)(a) except for the extension if:
             513          (i) (A) the person complies with the requirements of this section to renew the license;
             514      and
             515          (B) the renewal application remains pending at the time of the extension; or
             516          (ii) at the time of the extension, there is pending a disciplinary action under this
             517      chapter.
             518          (3) (a) As a condition for the activation of an inactive license that was in an inactive
             519      status at the time of the licensee's most recent renewal, the licensee shall supply the division
             520      with proof of:
             521          (i) successful completion of the respective sales agent or principal broker licensing
             522      examination within six months before applying to activate the license; or
             523          (ii) the successful completion of the hours of continuing education that the licensee
             524      would have been required to complete under Subsection (2)(a) if the license had been on active
             525      status at the time of the licensee's most recent renewal.
             526          (b) The commission may, in accordance with Title 63G, Chapter 3, Utah
             527      Administrative Rulemaking Act, establish by rule:
             528          (i) the nature or type of continuing education required for reactivation of a license; and
             529          (ii) how long before reactivation the continuing education must be completed.
             530          Section 8. Section 61-2f-206 is amended to read:
             531           61-2f-206. Registration of entity or branch office -- Certification of education
             532      providers and courses -- Specialized licenses.
             533          (1) (a) An entity may not engage in an activity described in Section 61-2f-201 , unless it


             534      is registered with the division.
             535          (b) To register with the division under this Subsection (1), an entity shall submit to the
             536      division:
             537          (i) an application in a form required by the division;
             538          (ii) evidence of an affiliation with a principal broker;
             539          (iii) evidence that the entity is registered and in good standing with the Division of
             540      Corporations and Commercial Code; and
             541          (iv) a registration fee established by the commission with the concurrence of the
             542      division under Section 63J-1-504 .
             543          (c) The division may terminate an entity's registration if:
             544          (i) the entity's registration with the Division of Corporations and Commercial Code has
             545      been expired for at least three years; and
             546          (ii) the entity's license with the division has been inactive for at least three years.
             547          (2) (a) A principal broker shall register with the division each of the principal broker's
             548      branch offices.
             549          (b) To register a branch office with the division under this Subsection (2), a principal
             550      broker shall submit to the division:
             551          (i) an application in a form required by the division; and
             552          (ii) a registration fee established by the commission with the concurrence of the
             553      division under Section 63J-1-504 .
             554          (3) (a) In accordance with rules made by the commission, the division shall certify:
             555          (i) a real estate school;
             556          (ii) a course provider; or
             557          (iii) an instructor.
             558          (b) In accordance with rules made by the commission, and with the concurrence of the
             559      commission, the division shall certify a continuing education course that is required under this
             560      chapter.
             561          (4) (a) Except as provided by rule, a principal broker may not be responsible for more


             562      than one registered entity at the same time.
             563          (b) (i) In addition to issuing a principal broker license, associate broker license, or sales
             564      agent license authorizing the performance of an act set forth in Section 61-2f-201 , the division
             565      may issue a specialized sales license or specialized property management license with the
             566      scope of practice limited to the specialty.
             567          (ii) An individual may hold a specialized license in addition to a license as a principal
             568      broker, associate broker, or a sales agent.
             569          (iii) The commission may adopt rules pursuant to Title 63G, Chapter 3, Utah
             570      Administrative Rulemaking Act, for the administration of this Subsection (4), including:
             571          (A) prelicensing and postlicensing education requirements;
             572          (B) examination requirements;
             573          (C) affiliation with real estate brokerages or property management companies; and
             574          (D) other licensing procedures.
             575          Section 9. Section 61-2f-409 is amended to read:
             576           61-2f-409. Actions for recovery of compensation restricted.
             577          (1) (a) A person may not bring or maintain an action in any court of this state for the
             578      recovery of a commission, fee, or compensation, for any act done or service rendered [which] if
             579      the act or service is prohibited under this chapter [to other than principal brokers, unless the
             580      person was licensed as a principal broker at the time of the doing of the act or rendering the
             581      service].
             582          (b) Except as provided in Subsection (1)(a), a person may bring or maintain an action
             583      in any court of this state for the recovery of a commission, fee, or compensation if the person
             584      is:
             585          (i) a principal broker;
             586          (ii) an individual that was licensed as a principal broker at the time the act or service
             587      that is the subject of the lawsuit was performed; or
             588          (iii) an entity that, under the records of the Division of Real Estate, is affiliated with a
             589      principal broker.


             590          (2) (a) A sales agent or associate broker may not sue in that individual's own name for
             591      the recovery of a fee, commission, or compensation for services as a sales agent or associate
             592      broker unless the action is against the principal broker with whom the sales agent or associate
             593      broker is or was affiliated.
             594          (b) An action for the recovery of a fee, commission, or other compensation may only
             595      be instituted and brought by the principal broker with whom a sales agent or associate broker is
             596      affiliated.
             597          Section 10. Retrospective operation.
             598          The amendments in this bill to Section 61-2f-409 have retrospective operation to May
             599      11, 2010.


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