[Rev. 11/21/2013 12:59:09
PM--2013]
CHAPTER 645G - EXCHANGE FACILITATORS
GENERAL PROVISIONS
NRS 645G.010 Definitions.
NRS 645G.020 “Commissioner”
defined.
NRS 645G.030 “Division”
defined.
NRS 645G.040 “Exchange
facilitator” defined.
NRS 645G.050 “Financial
institution” defined.
NRS 645G.060 “Licensee”
defined.
LICENSING
NRS 645G.100 License
required; regulations; application; renewal of license.
NRS 645G.110 Payment
of child support: Submission of certain information by applicant; grounds for
denial of license; duty of Division. [Effective until the date of the repeal of
42 U.S.C. § 666, the federal law requiring each state to establish procedures
for withholding, suspending and restricting the professional, occupational and
recreational licenses for child support arrearages and for noncompliance with
certain processes relating to paternity or child support proceedings.]
NRS 645G.110 Payment
of child support: Submission of certain information by applicant; grounds for
denial of license; duty of Division. [Effective on the date of the repeal of 42
U.S.C. § 666, the federal law requiring each state to establish procedures for withholding,
suspending and restricting the professional, occupational and recreational
licenses for child support arrearages and for noncompliance with certain
processes relating to paternity or child support proceedings and expires by
limitation 2 years after that date.]
NRS 645G.120 Issuance
of license required for certain members and officers of certain organizations.
NRS 645G.130 Duties
of licensee: Principal place of business; notice of change of address or
telephone number; notice of licensing changes to clients.
NRS 645G.140 License
nontransferable; business of licensee may only be sold or transferred to
another licensee.
NRS 645G.150 Branch
offices.
NRS 645G.160 Display
of license.
NRS 645G.170 Designation
of exchange facilitator officer.
NRS 645G.180 Effect
of failure to renew before expiration.
NRS 645G.200 Reciprocal
license: Person licensed as exchange facilitator in another jurisdiction.
NRS 645G.210 Special
license: Financial institutions.
NRS 645G.220 Fees;
regulations.
NRS 645G.230 Audit
of licensees; report to Legislature.
MONEY RECEIVED BY LICENSEE, FIDELITY BONDS AND INSURANCE
NRS 645G.300 Client’s
money and property: Fiduciary duty of licensee.
NRS 645G.310 Money
held for client: Written approval required for withdrawal.
NRS 645G.320 Fidelity
bond or deposit.
NRS 645G.330 Insurance:
Maintenance of policy; other security; proof of coverage; claims; duty of
Division.
NRS 645G.340 Written
notice of cancellation or withdrawal of bond, insurance or other security;
suspension of license.
NRS 645G.350 Exchange
funds to be kept separate.
NRS 645G.360 Exchange
funds not subject to execution or attachment; commingling prohibited.
MONEY RECEIVED BY COMMISSIONER OR DIVISION
NRS 645G.400 Deposit
of money received by Commissioner.
NRS 645G.410 Deposit
and use of money received by Division from civil penalty.
DISCIPLINARY ACTION
NRS 645G.500 Investigation
of actions of exchange facilitators and other persons.
NRS 645G.505 Division
to maintain records of complaints, investigations and denials of applications.
NRS 645G.510 Confidentiality
of certain records of Division; exception.
NRS 645G.515 Authorized
disciplinary action; grounds; orders imposing discipline deemed public records;
payment of costs incurred by Division.
NRS 645G.520 Limitations
on suspension and revocation of license.
NRS 645G.525 Suspension
of license for failure to pay child support or comply with certain subpoenas or
warrants; reinstatement of license. [Effective until 2 years after the date of
the repeal of 42 U.S.C. § 666, the federal law requiring each state to
establish procedures for withholding, suspending and restricting the
professional, occupational and recreational licenses for child support
arrearages and for noncompliance with certain processes relating to paternity
or child support proceedings.]
NRS 645G.530 Disciplinary
proceedings, fines and penalties not affected by expiration, revocation or
voluntary surrender of license.
NRS 645G.535 Revocation,
suspension or denial of renewal of license: Complaint; notice of hearing.
NRS 645G.540 Revocation,
suspension or denial of renewal of license: Answer; limitations on time of
commencing proceeding.
NRS 645G.545 Revocation,
suspension or denial of renewal of license: Hearing; transcript.
NRS 645G.550 Power
of Commissioner to administer oaths, certify acts and issue subpoenas; service
of process.
NRS 645G.555 Fees
and mileage for witness.
NRS 645G.560 Enforcement
of subpoenas.
NRS 645G.565 Depositions;
taking of evidence in another state; rights of party to hearing.
NRS 645G.570 Decision
of Commissioner on complaint: Rendition; notice; effective date; stay of
decision.
NRS 645G.575 Decision
of Commissioner in disciplinary action final when in favor of licensee;
judicial review of decision against licensee.
UNLAWFUL ACTS; PENALTIES
NRS 645G.900 Unlawful
acts; penalties.
_________
GENERAL PROVISIONS
NRS 645G.010 Definitions. As
used in this chapter, unless the context otherwise requires, the words and
terms defined in NRS 645G.020 to 645G.060, inclusive, have the meanings ascribed to
them in those sections.
(Added to NRS by 2007, 3105)
NRS 645G.020 “Commissioner” defined. “Commissioner”
means the Commissioner of Financial Institutions.
(Added to NRS by 2007, 3105)
NRS 645G.030 “Division” defined. “Division”
means the Division of Financial Institutions of the Department of Business and
Industry.
(Added to NRS by 2007, 3105)
NRS 645G.040 “Exchange facilitator” defined.
1. “Exchange facilitator” means a person
who, for compensation of any kind, acts as:
(a) A qualified intermediary as defined in 26
C.F.R. § 1.1031(k)-1(g)(4) for a client whose relinquished property is located
in this State; or
(b) An exchange accommodation titleholder, as
that term is defined in Revenue Procedure 2000-37, who holds title to property
located in this State.
2. The term includes any person who:
(a) Maintains an office in this State for the
purpose of soliciting business as an exchange facilitator; or
(b) Advertises or holds himself or herself out as
prepared to facilitate a tax-deferred exchange of property in this State by acting
as the custodian of money or other property.
3. The term does not include:
(a) A taxpayer or disqualified person, as those
terms are defined in 26 C.F.R. § 1.1031(k)-1(k), who is seeking to qualify for
nonrecognition pursuant to 26 U.S.C. § 1031;
(b) A financial institution when acting solely as
a depository for funds used in a tax-deferred exchange of property;
(c) A person who advertises for and teaches
seminars or classes, or otherwise gives presentations to attorneys,
accountants, real estate professionals, tax professionals or other
professionals with the primary purpose of teaching such professionals about
tax-deferred exchanges or training such professionals to act as exchange
facilitators; or
(d) A qualified intermediary, as defined in 26 C.F.R.
§ 1.1031(k)-1(g)(4), who holds exchange funds received from the disposition of
relinquished property located outside this State.
(Added to NRS by 1993, 2019; A 1995, 994; 1997, 2167; 1999, 1539; 2005, 2807; 2007, 3115)—(Substituted
in revision for NRS 645.606)
NRS 645G.050 “Financial institution” defined. “Financial
institution” means any bank, savings and loan association, savings bank or
trust company, including a subsidiary or holding company of these, doing
business in this State that is federally insured and organized under, or
supervised pursuant to, the laws of the United States or of any state.
(Added to NRS by 2007, 3105)
NRS 645G.060 “Licensee” defined. “Licensee”
means a person licensed as an exchange facilitator pursuant to the provisions
of this chapter.
(Added to NRS by 2007, 3105)
LICENSING
NRS 645G.100 License required; regulations; application; renewal of license.
1. Except as otherwise provided in NRS 645G.120, a person shall not act as an exchange
facilitator unless he or she is licensed as such with the Division. The
Division may adopt such regulations as it deems necessary to carry out the
provisions of this chapter, including, without limitation, regulations
prescribing amounts required for liquidity purposes.
2. To apply for a license as an exchange
facilitator, a person must pay the Division the fee prescribed by NRS 645G.220.
3. In addition to the requirements set
forth in subsection 2, the person must submit to the Division:
(a) The following information on a form provided
by the Division:
(1) The applicant’s name, business address
and telephone number;
(2) The name under which the applicant
will hold the money or other property of a client;
(3) The names, residence and business
addresses of all shareholders or members who hold 10 percent or more of the
voting stock of the applicant’s business and all persons having an interest in
the business as principals, partners, officers, trustees or directors,
specifying the capacity and title of each;
(4) The length of time the applicant has
been engaged in the business of acting as an exchange facilitator;
(5) A summary description of the business
of the applicant;
(6) A list of any similar licenses
obtained and maintained in other states or other jurisdiction and information
regarding revocation of any such license;
(7) The tax identification number of the
applicant; and
(8) A current certificate of good standing
for the applicant from the state or other jurisdiction in which the applicant’s
business is formed; and
(b) All information required to complete the
application.
4. Each applicant must, as part of the
application and at his or her own expense:
(a) Arrange to have taken, by a law enforcement
agency or other authorized entity acceptable to the Division, a complete set of
the applicant’s fingerprints and the fingerprints of each person or officer who
will be conducting the business of the applicant in this State and who has authority
to transfer exchange money held by the applicant; and
(b) Submit to the Division:
(1) A completed fingerprint card and
written permission authorizing the Division to submit the fingerprints described
in paragraph (a) to the Central Repository for Nevada Records of Criminal
History for submission to the Federal Bureau of Investigation for a report on
the background of each person whose fingerprints were taken and to such other
law enforcement agencies as the Division deems necessary; or
(2) Written verification, on a form
prescribed by the Division, stating that the fingerprints described in
paragraph (a) were taken and directly forwarded electronically or by another
means to the Central Repository and that each person whose fingerprints were
taken has given written permission to the law enforcement agency or other
authorized entity taking the fingerprints to submit the fingerprints to the
Central Repository for submission to the Federal Bureau of Investigation for a
report on the background of each such person and to such other law enforcement
agencies as the Division deems necessary.
5. The
Division may:
(a) Unless the fingerprints described in
paragraph (a) of subsection 4 are directly forwarded pursuant to subparagraph
(2) of paragraph (b) of subsection 4, submit those fingerprints to the Central
Repository for submission to the Federal Bureau of Investigation and to such
other law enforcement agencies as the Division deems necessary; and
(b) Request from each such agency any information
regarding the background of each person whose fingerprints were taken as the
Division deems necessary.
6. The Division shall approve an
application submitted pursuant to this section within 45 days after the
submission of the completed application, any additional information required by
the Division and proof satisfactory to the Division that the applicant has
complied with the provisions of NRS 645G.320. Upon
approval of an application, the Division shall issue a license to the
applicant.
7. A license issued pursuant to this
chapter must be renewed annually on or before July 1, by providing the
information required by the Division for that purpose and paying a renewal fee
prescribed by NRS 645G.220.
(Added to NRS by 1993, 2019; A 1997, 2167; 2003, 1293, 2862; 2005, 1290, 1291, 2777, 2807, 2814; 2007, 3116)—(Substituted
in revision for NRS 645.6065)
NRS 645G.110 Payment of child support: Submission of certain information by
applicant; grounds for denial of license; duty of Division. [Effective until
the date of the repeal of 42 U.S.C. § 666, the federal law requiring each state
to establish procedures for withholding, suspending and restricting the
professional, occupational and recreational licenses for child support
arrearages and for noncompliance with certain processes relating to paternity
or child support proceedings.]
1. In addition to any other requirements
set forth in this chapter:
(a) A natural person who applies for the issuance
of a license as an exchange facilitator shall include the social security
number of the applicant in the application submitted to the Division.
(b) A natural person who applies for the issuance
or renewal of a license as an exchange facilitator shall submit to the Division
the statement prescribed by the Division of Welfare and Supportive Services of
the Department of Health and Human Services pursuant to NRS 425.520. The statement must be
completed and signed by the applicant.
2. The Division shall include the
statement required pursuant to subsection 1 in:
(a) The application or any other forms that must
be submitted for the issuance or renewal of the license; or
(b) A separate form prescribed by the Division.
3. An applicant may not be licensed as an
exchange facilitator by the Division if the applicant is a natural person who:
(a) Fails to submit the statement required
pursuant to subsection 1; or
(b) Indicates on the statement submitted pursuant
to subsection 1 that the applicant is subject to a court order for the support
of a child and is not in compliance with the order or a plan approved by the
district attorney or other public agency enforcing the order for the repayment
of the amount owed pursuant to the order.
4. If an applicant indicates on the
statement submitted pursuant to subsection 1 that the applicant is subject to a
court order for the support of a child and is not in compliance with the order
or a plan approved by the district attorney or other public agency enforcing
the order for the repayment of the amount owed pursuant to the order, the
Division shall advise the applicant to contact the district attorney or other
public agency enforcing the order to determine the actions that the applicant
may take to satisfy the arrearage.
(Added to NRS by 1997, 2164; A 2005, 2777, 2807; 2007, 3117)—(Substituted
in revision for NRS 645.6068)
NRS 645G.110 Payment of child support:
Submission of certain information by applicant; grounds for denial of license;
duty of Division. [Effective on the date of the repeal of 42 U.S.C. § 666, the
federal law requiring each state to establish procedures for withholding,
suspending and restricting the professional, occupational and recreational
licenses for child support arrearages and for noncompliance with certain
processes relating to paternity or child support proceedings and expires by
limitation 2 years after that date.]
1. In addition to any other requirements
set forth in this chapter, a natural person who applies for the issuance or
renewal of a license as an exchange facilitator shall submit to the Division
the statement prescribed by the Division of Welfare and Supportive Services of
the Department of Health and Human Services pursuant to NRS 425.520. The statement must be
completed and signed by the applicant.
2. The Division shall include the statement
required pursuant to subsection 1 in:
(a) The application or any other forms that must
be submitted for the issuance or renewal of the license; or
(b) A separate form prescribed by the Division.
3. An applicant may not be licensed as an
exchange facilitator by the Division if the applicant is a natural person who:
(a) Fails to submit the statement required
pursuant to subsection 1; or
(b) Indicates on the statement submitted pursuant
to subsection 1 that the applicant is subject to a court order for the support
of a child and is not in compliance with the order or a plan approved by the
district attorney or other public agency enforcing the order for the repayment
of the amount owed pursuant to the order.
4. If an applicant indicates on the
statement submitted pursuant to subsection 1 that the applicant is subject to a
court order for the support of a child and is not in compliance with the order
or a plan approved by the district attorney or other public agency enforcing
the order for the repayment of the amount owed pursuant to the order, the
Division shall advise the applicant to contact the district attorney or other
public agency enforcing the order to determine the actions that the applicant
may take to satisfy the arrearage.
(Added to NRS by 1997, 2164; A 2005, 2777, 2778, 2807; 2007, 3117, 3118,
effective on the date of the repeal of 42 U.S.C. § 666, the federal law
requiring each state to establish procedures for withholding, suspending and
restricting the professional, occupational and recreational licenses for child
support arrearages and for noncompliance with certain processes relating to
paternity or child support proceedings)—(Substituted in revision for NRS
645.6068)
NRS 645G.120 Issuance of license required for certain members and officers of
certain organizations.
1. If the exchange facilitator is a
corporation qualified to do business in this State, every officer, director and
exchange facilitator officer designated pursuant to NRS
645G.170 of the corporation who does business in this State must be
licensed. No other employee is required to be licensed.
2. If the exchange facilitator is not a
natural person or a publicly traded company, each shareholder, member or other
owner who owns 10 percent or more of the voting stock, shares or other
ownership interest of the exchange facilitator must be licensed.
(Added to NRS by 1993, 2020; A 2007, 3119)—(Substituted
in revision for NRS 645.607)
NRS 645G.130 Duties of licensee: Principal place of business; notice of
change of address or telephone number; notice of licensing changes to clients. A licensee shall:
1. Maintain a principal place of business
in this State or maintain a registered agent in this State;
2. Inform the Division in writing within
10 working days after any change in the address or telephone number of his or
her principal place of business or registered agent, and provide any other
information required by the Division; and
3. Inform all clients within 10 working
days after:
(a) A change in any of the officers, directors,
employees or owners of the licensee who are required to obtain a license
pursuant to NRS 645G.120 or 645G.170; or
(b) The licensee or any person described in
paragraph (a) acquires a new license, has his or her license suspended or
revoked or otherwise relinquishes, loses or has any other change in the status
of the license.
(Added to NRS by 1993, 2020; A 2007, 3119)
NRS 645G.140 License nontransferable; business of licensee may only be sold
or transferred to another licensee.
1. A license issued pursuant to this
chapter is nontransferable.
2. The business of a licensee must not be
sold or ownership of the business transferred before the prospective buyer or
owner has complied with the provisions of NRS 645G.100.
(Added to NRS by 2007, 3106)
NRS 645G.150 Branch offices.
1. A licensee may establish one or more
branch offices in this State.
2. A licensee who establishes one or more
branch offices in this State shall provide written notice to the Division of
the establishment of any such branch office within 30 days after establishment
of the branch office.
(Added to NRS by 2007, 3106)
NRS 645G.160 Display of license. A
license issued pursuant to the provisions of this chapter must be conspicuously
displayed in the primary place of business of the licensee, and a copy of the
license must be conspicuously displayed in each branch office of the licensee.
(Added to NRS by 2007, 3106)
NRS 645G.170 Designation of exchange facilitator officer.
1. The business of a licensee, if the
licensee is not a natural person, must be conducted under the direct management
of an officer or employee of the licensee designated by the licensee as an
exchange facilitator officer, who is licensed pursuant to the provisions of
this chapter and who is:
(a) An attorney or certified public accountant
admitted to practice in any state or territory of the United States;
(b) A certified exchange specialist certified by
the Federation of Exchange Accommodators or its successor; or
(c) A person who has been actively conducting the
business of an exchange facilitator or who has equivalent experience, as
determined by the Division, for the 3 years immediately preceding his or her
designation as an exchange facilitator officer.
2. A licensee shall notify the Division in
writing within 10 working days after:
(a) The designation of any exchange facilitator
officer, setting forth the experience and qualifications of the exchange
facilitator officer and other such information as may be required by the
Division; and
(b) The termination of the employment of any
exchange facilitator officer.
(Added to NRS by 2007, 3106)
NRS 645G.180 Effect of failure to renew before expiration. If a licensee fails to apply for a renewal of
his or her license before the date of the expiration thereof, no license may be
issued to the licensee except upon another application for an original license,
except that within 1 year of such expiration a renewal may be issued upon
payment of a fee one and one-half times the amount otherwise required for
renewal.
(Added to NRS by 2007, 3108)
NRS 645G.200 Reciprocal license: Person licensed as exchange facilitator in
another jurisdiction.
1. A person who is licensed as an exchange
facilitator in another state or territory of the United States and is not
otherwise required to be licensed pursuant to the provisions of this chapter
may submit an application for a reciprocal license as an exchange facilitator
pursuant to the provisions of this section. The Division shall issue a
reciprocal license to the applicant if:
(a) The applicant is licensed in a jurisdiction
that grants reciprocal licensing to a person licensed pursuant to this chapter;
(b) The Division determines that the laws and
regulations governing exchange facilitators of the jurisdiction in which the
applicant is licensed are at least equivalent to the provisions of this
chapter;
(c) The applicant provides proof satisfactory to
the Division that the applicant has complied with the requirements of NRS 645G.320 and 645G.330;
(d) The applicant pays the fee required pursuant
to NRS 645G.220;
(e) The applicant designates the Division as its
representative to receive service of process for matters arising in this State;
and
(f) The applicant does not maintain an office in
this State in connection with the conduct of the business of an exchange
facilitator.
2. The Division shall:
(a) Examine the laws of each state to identify
the jurisdictions that meet the requirements for recognition of a reciprocal
license pursuant to this section; and
(b) Publish annually a list of the jurisdictions
that meet the requirements of this section.
3. A license issued pursuant to this
section must be renewed annually on or before July 1, by providing the
information required by the Division for that purpose and paying the renewal
fee prescribed by NRS 645G.220.
(Added to NRS by 2007, 3113)
NRS 645G.210 Special license: Financial institutions.
1. A financial institution may obtain a
special license pursuant to this section.
2. The Division shall issue a special
license to a financial institution if the financial institution:
(a) Maintains an office in this State;
(b) Pays the fee required pursuant to NRS 645G.220 for the issuance of a license; and
(c) Complies with any other requirements set
forth by regulations adopted by the Division.
3. A financial institution which obtains a
special license pursuant to this section is exempt from the requirements of
subsections 2 to 7, inclusive, of NRS 645G.100
except as otherwise required by regulations adopted by the Division.
4. A license issued pursuant to this
section must be renewed annually on or before July 1 by providing the
information required by the Division for that purpose and paying the renewal
fee prescribed by NRS 645G.220.
(Added to NRS by 2007, 3113)
NRS 645G.220 Fees; regulations.
1. The Commissioner shall charge and
collect the following fees:
(a) For the filing and investigation of an
application for a license, a nonrefundable fee of not more than $1,000 and any
additional expenses incurred in the process of investigation;
(b) For the issuance of a license, at least $200;
(c) For the annual renewal of a license, at least
$200;
(d) For the issuance of a license for each branch
office of a licensee, a nonrefundable fee of at least $200;
(e) For the annual renewal of a license for each
branch office of a licensee, at least $250;
(f) For the issuance of a reciprocal license, at
least $150;
(g) For the annual renewal of a reciprocal
license, at least $150; and
(h) For the reissuance of a license because of a
change in the business address of the licensee, at least $200.
2. All money received by the Commissioner
pursuant to paragraph (a) of subsection 1 must be placed in the Investigative
Account for Financial Institutions created by NRS 232.545.
3. The Commissioner shall adopt
regulations establishing the amount of fees required pursuant to this section.
(Added to NRS by 2007, 3108)
NRS 645G.230 Audit of licensees; report to Legislature.
1. The Commissioner shall cause to be
conducted at least every 5 years an audit of all licensees. The Commissioner
shall cause to be conducted each year on a random basis additional partial
audits of any licensee who has a history of violations of the provisions of
this chapter, or the regulations adopted pursuant thereto, as determined by the
Commissioner.
2. The Commissioner shall require the use
of standard auditing procedures and shall establish a manual to describe the
standard auditing procedures. The manual must include, without limitation:
(a) Specific audit objectives;
(b) Standards for documentation;
(c) Policies for supervisory review;
(d) Policies for the training of auditors;
(e) The format for the audit report; and
(f) Procedures for the presentation, distribution
and retention of the audit report.
3. On or before March 1 of each year, the
Commissioner shall make a report of each audit to the Legislature, if it is in
session, or to the Interim Finance Committee, if the Legislature is not in
session.
(Added to NRS by 2007, 3114)
MONEY RECEIVED BY LICENSEE, FIDELITY BONDS AND INSURANCE
NRS 645G.300 Client’s money and property: Fiduciary duty of licensee.
1. Each licensee is a fiduciary of all
money, property, other considerations and instruments received by the licensee
from the client.
2. Each licensee shall invest money
related to a tax-deferred exchange of property in investments which meet the
reasonable standards that are applicable to persons acting as fiduciaries in
this State.
(Added to NRS by 2007, 3106)
NRS 645G.310 Money held for client: Written approval required for withdrawal. Money held in any account for a client may not
be withdrawn from the account without the written approval of the licensee and
the client.
(Added to NRS by 2007, 3107)
NRS 645G.320 Fidelity bond or deposit.
1. Except as otherwise provided in
subsection 2, an exchange facilitator shall maintain one or more fidelity bonds
in a total amount of not less than $1,000,000 executed by an insurer authorized
to do business in this State and approved by the Division.
2. In lieu of such a bond, a licensee may
deposit with the Division under such terms and conditions as the Division may
prescribe, a like amount of lawful money of the United States or any other form
of security authorized by NRS 100.065.
If security is provided in the form of a savings certificate, certificate of
deposit or investment certificate, the certificate must state that the amount
is unavailable for withdrawal except upon order of the Division.
3. A licensee shall provide proof of the
bond required pursuant to this section, including, without limitation, the name
and address of the insurer, to a client.
4. Any person claiming against a bond or
deposit required by this section may bring an action in a court of competent
jurisdiction on the bond or deposit for damages to the extent covered by the
bond or deposit. A person who brings an action on a bond or deposit shall
notify the Division in writing upon filing the action.
5. Upon receiving a request from a person
for whose benefit a bond or deposit is required, the Division shall notify the
person:
(a) That a bond is in effect or that a deposit
has been made, and the amount of either; and
(b) If there is an action against the bond, of
the title, court and case number of the action and the amount sought by the
plaintiff.
6. If an insurer or, in the case of a
deposit, the Division wishes to make a payment without awaiting action by a
court, the amount of the bond or deposit must be reduced to the extent of any
payment made by the insurer or the Division in good faith under the bond or
deposit. Any payment must be based on written claims received by the insurer or
the Division before any action is taken by a court.
7. Claims against a bond or deposit have
equal priority, and if the bond or deposit is insufficient to pay all claims in
full, they must be paid on a pro rata basis. Partial payment of claims is not
full payment, and any claimant may bring an action against the licensee for the
unpaid balance.
(Added to NRS by 1993, 2020; A 2007, 3119)—(Substituted
in revision for NRS 645.608)
NRS 645G.330 Insurance: Maintenance of policy; other security; proof of
coverage; claims; duty of Division.
1. Except as otherwise provided in
subsection 2, a licensee shall maintain a policy of insurance covering
liability for errors and omissions in an amount not less than $250,000 executed
by an insurer authorized to do business in this State and approved by the
Division.
2. In lieu of such a policy of insurance,
a licensee may deposit with the Division under such terms and conditions as the
Division may prescribe, a like amount of lawful money of the United States or
any other form of security authorized by NRS
100.065. If security is provided in the form of a savings certificate,
certificate of deposit or investment certificate, the certificate must state
that the amount is unavailable for withdrawal except upon order of the
Division.
3. A licensee shall provide proof of the
coverage required pursuant to this section, including, without limitation, the
name and address of the insurer, to a client.
4. The provisions of subsections 1 and 2
do not prohibit the licensee from maintaining a policy of insurance, deposits
or other forms of security in excess of the amounts required by subsections 1
and 2.
5. Any person claiming against a policy of
insurance or deposit required by this section may bring an action in a court of
competent jurisdiction on the policy of insurance or deposit for damages to the
extent covered by the policy. A person who brings an action on a policy or
deposit shall notify the Division in writing upon filing the action.
6. Upon receiving a request from a client
of an exchange facilitator, the Division shall notify the client:
(a) That a policy of insurance is in effect or
that a deposit has been made, and the amount of either; and
(b) If there is an action against the policy of
insurance, of the title, court and case number of the action and the amount
sought by the plaintiff.
7. If an insurer or, in the case of a
deposit, the Division wishes to make payment without awaiting action by a
court, the amount of the policy or deposit must be reduced to the extent of any
payment made by the insurer or the Division in good faith under the policy or
deposit. Any payment must be based on written claims received by the insurer or
the Division before any action is taken by a court.
8. Claims against a policy of insurance or
deposit have equal priority, and if the policy or deposit is insufficient to
pay all claims in full, they must be paid on a pro rata basis. Partial payment
of claims is not full payment, and any claimant may bring an action against the
exchange facilitator for the unpaid balance.
(Added to NRS by 2007, 3107)
NRS 645G.340 Written notice of cancellation or withdrawal of bond, insurance
or other security; suspension of license. A
licensee shall provide written notice to the Division at least 30 days before
the cancellation or withdrawal of any bond, policy of insurance or security
required pursuant to NRS 645G.320 or 645G.330. The Division shall suspend the license of a
licensee upon notice that the licensee has cancelled or withdrawn any bond,
policy of insurance or security required pursuant to NRS
645G.320 or 645G.330.
(Added to NRS by 2007, 3107)
NRS 645G.350 Exchange funds to be kept separate. All
exchange funds must be kept separate from money belonging to the licensee and
must be deposited in a financial institution that is federally insured or
insured by a private insurer approved pursuant to NRS 678.755 unless another financial institution
has been designated in writing in the exchange agreement. The money when
deposited must be designated as “trust funds” or “escrow accounts” or under
some other appropriate name indicating that the money is not the money of the
licensee.
(Added to NRS by 2007, 3107)
NRS 645G.360 Exchange funds not subject to execution or attachment;
commingling prohibited.
1. Exchange funds are not subject to
execution or attachment on any claim against the licensee.
2. A licensee shall not knowingly keep or
cause to be kept any money in any bank, credit union or other financial
institution under any name designating the money as belonging to the clients of
any licensee, unless the money belongs to the client and was actually entrusted
to the licensee by the client.
(Added to NRS by 2007, 3108)
MONEY RECEIVED BY COMMISSIONER OR DIVISION
NRS 645G.400 Deposit of money received by Commissioner. Except as otherwise provided in NRS 645G.220 and 645G.410,
all money received by the Commissioner pursuant to this chapter must be
deposited in the State Treasury pursuant to the provisions of NRS 658.091.
(Added to NRS by 2007, 3108)
NRS 645G.410 Deposit and use of money received by Division from civil
penalty. The Division shall
deposit any money it receives from a civil penalty imposed pursuant to NRS 205.960 and 645G.900
with the State Treasurer for credit to a separate account in the State General
Fund. The Division shall expend at least 75 percent of the money so received to
pay administrative costs related to:
1. The licensing of exchange facilitators;
and
2. Any program it develops to supply
information regarding exchange facilitators to the public.
Ê Any
remaining money may be used by the Division to reimburse residents of Nevada
for financial losses caused by the illegal conduct of an exchange facilitator.
(Added to NRS by 1993, 2020; A 2007, 3120)—(Substituted
in revision for NRS 645.6085)
DISCIPLINARY ACTION
NRS 645G.500 Investigation of actions of exchange facilitators and other
persons. The Commissioner or the
Division may investigate the actions of any exchange facilitator or any person
who acts in any such capacity within this State.
(Added to NRS by 2007, 3108)
NRS 645G.505 Division to maintain records of complaints, investigations and
denials of applications. The
Division shall maintain a public docket or other record in which it shall
record from time to time as made:
1. The rulings or decisions upon all
complaints filed with the Division concerning an exchange facilitator.
2. All investigations instituted by the
Commissioner or the Division in the first instance, upon or in connection with
which any hearing has been held, or in which the licensee charged has made no
defense.
3. Denials of applications made to the
Division for licensing.
(Added to NRS by 2007, 3108)
NRS 645G.510 Confidentiality of certain records of Division; exception.
1. Except as otherwise provided in this
section and NRS 239.0115, a complaint
filed with the Division alleging a violation of this chapter, all documents and
other information filed with the complaint and all documents and other
information compiled as a result of an investigation conducted to determine
whether to initiate disciplinary action are confidential.
2. A complaint or other document filed
with the Division to initiate disciplinary action and all documents and
information considered by the Division when determining whether to impose
discipline are public records.
(Added to NRS by 2007, 3109)
NRS 645G.515 Authorized disciplinary action; grounds; orders imposing
discipline deemed public records; payment of costs incurred by Division.
1. The Commissioner may require a licensee
to pay an administrative fine of not more than $200 per day for each violation
the licensee commits or may suspend, revoke, deny the renewal of or place conditions
upon the license, or impose any combination of those actions, at any time if:
(a) The licensee, by false or fraudulent
representation, obtained a license.
(b) The licensee, whether or not acting as such,
is found guilty of:
(1) Making any material misrepresentation.
(2) Making any false promises of a
character likely to influence, persuade or induce.
(c) The licensee has failed, within a reasonable
time, to account for or to remit any money which comes into his or her
possession or under his or her control and which belongs to others.
(d) The licensee has engaged in any fraudulent
act.
(e) The licensee, or an owner, officer, director
or employee of a licensee, is found guilty of any crime involving fraud,
misrepresentation, deceit, embezzlement, misappropriation of money, robbery or
theft.
(f) The licensee has failed to fulfill a
contractual duty to deliver property or money, unless the failure to deliver
such property or money is beyond the control of the licensee.
(g) A receiver or conservator is appointed to
take control of the assets of a licensee.
(h) The licensee is dissolved.
(i) The licensee is bankrupt.
(j) The licensee fails to maintain, for review
and audit by the Division, each agreement governed by the provisions of this
chapter and entered into by the licensee.
(k) The licensee violates any provision of this
chapter or any regulations adopted pursuant thereto.
2. An order that imposes discipline and
the findings of fact and conclusions of law supporting that order are public
records.
3. In addition to any action set forth in
subsection 1, the Division may, if it determines that an applicant for a
license or a licensee has committed any of the acts set forth in subsection 1,
after notice and a hearing required by law, require the applicant or licensee
to pay the costs incurred by the Division to conduct any related investigation
or hearing.
(Added to NRS by 2007, 3109)
NRS 645G.520 Limitations on suspension and revocation of license.
1. The Division shall not suspend the
license of a licensee pursuant to NRS 645G.515 for
more than 2 years.
2. After the revocation of any license by
the Commissioner as provided in this chapter, no new license may be issued to
the same licensee within 2 years after the date of the revocation and then only
provided that the licensee satisfies all the requirements for an original
license.
(Added to NRS by 2007, 3109)
NRS 645G.525 Suspension of license for failure to pay child support or comply
with certain subpoenas or warrants; reinstatement of license. [Effective until
2 years after the date of the repeal of 42 U.S.C. § 666, the federal law
requiring each state to establish procedures for withholding, suspending and
restricting the professional, occupational and recreational licenses for child
support arrearages and for noncompliance with certain processes relating to
paternity or child support proceedings.]
1. If the Division receives a copy of a court
order issued pursuant to NRS 425.540
that provides for the suspension of all professional, occupational and
recreational licenses, certificates and permits issued to a person who is licensed
as an exchange facilitator, the Division shall deem the license issued to that
person to be suspended at the end of the 30th day after the date on which the
court order was issued unless the Division receives a letter issued by the
district attorney or other public agency pursuant to NRS 425.550 to the person who is licensed
as an exchange facilitator stating that the person has complied with the
subpoena or warrant or has satisfied the arrearage pursuant to NRS 425.560.
2. The Division shall reinstate the
license of an exchange facilitator that has been suspended by a district court
pursuant to NRS 425.540 if the Division
receives a letter issued by the district attorney or other public agency
pursuant to NRS 425.550 to the person
whose license was suspended stating that the person whose license was suspended
has complied with the subpoena or warrant or has satisfied the arrearage
pursuant to NRS 425.560.
(Added to NRS by 1997, 2165; A 2005, 2807; 2007, 3118)—(Substituted
in revision for NRS 645.6069)
NRS 645G.530 Disciplinary proceedings, fines and penalties not affected by
expiration, revocation or voluntary surrender of license. The expiration or revocation of a license by
operation of law or by order or decision of the Division or a court of
competent jurisdiction, or the voluntary surrender of a license does not:
1. Prohibit the Commissioner or the
Division from initiating or continuing an investigation of, or action or
disciplinary proceeding against, the exchange facilitator as authorized
pursuant to the provisions of this chapter or the regulations adopted pursuant
thereto; or
2. Prevent the imposition or collection of
any penalty authorized pursuant to the provisions of this chapter or the
regulations adopted pursuant thereto against the exchange facilitator.
(Added to NRS by 2007, 3110)
NRS 645G.535 Revocation, suspension or denial of renewal of license:
Complaint; notice of hearing.
1. The procedure set forth in this section
and NRS 645G.540 must be followed before the
Division revokes, suspends or denies the renewal of any license issued pursuant
to this chapter.
2. Upon the initiation of a complaint by
the Division, the matter must be set for a hearing by the Commissioner, who
shall schedule a hearing before the Commissioner, and the licensee is entitled
to be heard thereon in person or by counsel.
3. The Commissioner shall hold the hearing
within 90 days after the filing of a complaint by the Division. The time of the
hearing may be continued at the discretion of the Commissioner or upon the
written request of the licensee or of the Division for good cause shown.
4. The licensee must be given at least 30
days’ notice in writing by the Division of the date, time and place of the
hearing, together with a copy of the complaint and copies of all
communications, reports, affidavits or depositions in possession of the
Division relevant to the complaint. The Division may present evidence obtained
after the notice only if the Division shows that the evidence was not available
after diligent investigation before the time notice was given to the licensee
and that the evidence was given or communicated to the licensee immediately
after it was obtained.
5. Notice is complete upon delivery
personally to the licensee or by mailing by certified mail to the last known
address of the licensee.
(Added to NRS by 2007, 3110)
NRS 645G.540 Revocation, suspension or denial of renewal of license: Answer;
limitations on time of commencing proceeding.
1. The licensee shall file an answer to
the charges with the Commissioner not later than 30 days after service of the
notice and other documents described in subsection 4 of NRS
645G.535. The answer must contain an admission or denial of the allegations
contained in the complaint and any defenses upon which the licensee will rely.
If no answer is filed within the time limit described in this subsection, the
Division may, after notice to the licensee served in the manner authorized in
subsection 5 of NRS 645G.535, move for the entry
of a default against the licensee.
2. The answer may be served by delivery to
the Division, or by mailing the answer by certified mail to the principal
office of the Division.
3. No proceeding to suspend, revoke or
deny the renewal of any license may be maintained unless it is commenced by the
giving of notice to the licensee within 3 years of the time of the act charged,
whether of commission or omission, except:
(a) If the charges are based upon a
misrepresentation or failure to disclose, the period does not commence until
the discovery of facts which do or should lead to the discovery of the
misrepresentation or failure to disclose; and
(b) Whenever any action or proceeding is
instituted to which the Division or the licensee is a party and which involves
the conduct of the licensee in the transaction with which the charges are related,
the running of the 3-year period with respect to the institution of a
proceeding pursuant to this chapter to suspend, revoke or deny the renewal of
the license is suspended during the pendency of the action or proceeding.
(Added to NRS by 2007, 3110)
NRS 645G.545 Revocation, suspension or denial of renewal of license: Hearing;
transcript. The hearing on the
charges must be held at such time and place as the Commissioner prescribes. At
the hearing, a stenographic transcript of the proceedings must be made if
requested or required for judicial review. Any party to the proceedings
desiring a transcript must be furnished with a copy upon payment to the
Division of the reasonable cost of transcription.
(Added to NRS by 2007, 3111)
NRS 645G.550 Power of Commissioner to administer oaths, certify acts and
issue subpoenas; service of process.
1. The Commissioner shall have the power
to administer oaths, certify to all official acts, and issue subpoenas for
attendance of witnesses and the production of books and papers.
2. In any hearing or investigation in any
part of the State, the process issued by the Commissioner shall extend to all
parts of the State and may be served by any person authorized to serve process
of courts of record. The person serving any such process shall receive such
compensation as may be allowed by the Commissioner, not to exceed the fees
prescribed by law for similar service, and such fees must be paid in the same
manner as provided in NRS 645G.555 for the payment
of the fees of witnesses.
(Added to NRS by 2007, 3111)
NRS 645G.555 Fees and mileage for witness.
1. Each witness who appears by order of
the Commissioner is entitled to receive for his or her attendance the same fees
and mileage allowed by law to a witness in civil cases, which amount must be
paid by the party at whose request the witness is subpoenaed.
2. When any witness not otherwise required
to attend is subpoenaed by the Commissioner, his or her fees and mileage must
be paid by the Division.
(Added to NRS by 2007, 3111)
NRS 645G.560 Enforcement of subpoenas.
1. The district court in and for the
county in which any hearing may be held shall have the power to compel the
attendance of witnesses, the giving of testimony and the production of books
and papers as required by any subpoena issued by the Commissioner.
2. In case of the refusal of any witness
to attend or testify or produce any papers required by such subpoena, the
Commissioner may report to the district court in and for the county in which
the hearing is pending by petition, setting forth:
(a) That due notice has been given of the time
and place of attendance of the witness or the production of the books and
papers;
(b) That the witness has been subpoenaed in the
manner prescribed in this chapter; and
(c) That the witness has failed and refused to
attend or produce the papers required by subpoena before the Commissioner in
the cause or proceeding named in the subpoena, or has refused to answer
questions propounded to him or her in the course of such hearing,
Ê and asking
an order of the court compelling the witness to attend and testify or produce
the books or papers before the Commissioner.
3. The court, upon petition of the
Commissioner, shall enter an order directing the witness to appear before the
court at a time and place to be fixed by the court in such order, the time to
be not more than 10 days from the date of the order, and then and there show
cause why the witness has not attended or testified or produced the books or
papers before the Commissioner. A certified copy of the order shall be served
upon the witness. If it shall appear to the court that the subpoena was
regularly issued by the Commissioner, the court shall thereupon enter an order
that the witness appear before the Commissioner at the time and place fixed in
the order and testify or produce the required books or papers, and upon failure
to obey the order, the witness shall be dealt with as for contempt of court.
(Added to NRS by 2007, 3111)
NRS 645G.565 Depositions; taking of evidence in another state; rights of
party to hearing.
1. The Commissioner may, in any hearing
before the Commissioner, cause the depositions of witnesses residing within or
without the State to be taken in the manner prescribed by the Nevada Rules of
Civil Procedure for like depositions in civil actions in the district courts of
this State, and to that end may compel the attendance of witnesses and the
production of books and papers.
2. The clerk of the district court in and
for the county in which any hearing may be held by the Commissioner shall, upon
the application of the Commissioner, issue commissions to other states for the
taking of evidence therein for use in any proceedings before the Commissioner.
3. Any party to any hearing before the
Commissioner shall have the right to the attendance of witnesses in his or her
behalf at such hearing or upon deposition as set forth in this section upon
making request therefor to the Commissioner and designating the name and
address of the person or persons sought to be subpoenaed.
(Added to NRS by 2007, 3112)
NRS 645G.570 Decision of Commissioner on complaint: Rendition; notice;
effective date; stay of decision.
1. The Commissioner shall render an
informal decision on any complaint within 15 days after the final hearing
thereon and shall give notice in writing of the ruling or decision to the
applicant or licensee affected thereby within 60 days after the final hearing
thereon by certified mail to the last known address of the person to whom the
notice is sent.
2. If the ruling is adverse to the
licensee, the Commissioner shall also state in the notice the date upon which
the ruling or decision becomes effective, which date must not be less than 30
days after the date of the notice.
3. The decision of the Commissioner may
not be stayed by any appeal in accordance with the provisions of NRS 645G.575, unless the district court so orders
upon motion of the licensee, notice to the Division of the motion and
opportunity for the Division to be heard.
4. An appeal from a decision of the
district court affirming the revocation or suspension of a license does not
stay the order of the Commissioner unless the district or appellate court, in
its discretion and upon petition of the licensee, after notice and hearing
orders such stay, and upon the filing of a bond for costs in the amount of
$1,000.
(Added to NRS by 2007, 3112)
NRS 645G.575 Decision of Commissioner in disciplinary action final when in
favor of licensee; judicial review of decision against licensee.
1. A ruling or decision of the
Commissioner in any disciplinary action is final when in favor of the licensee.
2. If a ruling or decision is against the
licensee, the licensee is entitled to judicial review of the ruling or decision
in the manner provided by chapter 233B of
NRS.
(Added to NRS by 2007, 3112)
UNLAWFUL ACTS; PENALTIES
NRS 645G.900 Unlawful acts; penalties.
1. Any person who is not licensed pursuant
to this chapter who acts as an exchange facilitator in this State or holds
himself or herself out as a licensee and any licensee who commits an act set
forth in subsection 1 of NRS 645G.515 is:
(a) Guilty of a gross misdemeanor.
(b) Liable to the Division for a civil penalty of
$200 per day for each day that the violation continues.
2. The Division may file an action for
injunctive relief in the appropriate district court in this State to prevent
the occurrence or continuance of that act.
(Added to NRS by 2007, 3113)