1.
STATEMENT OF ORGANIZATION AND
OPERATIONS
Arkansas Auctioneers Licensing Board was created to define and regulate
the profession of auctioneers and auction house owners, by prescribing the
qualifications of the licensee and to provide a means to impose penalties
against those licensees found to be in violation of the act against the
public.
Pursuant to the Auctioneers Licensing Act originally adopted in 1989,
the Arkansas Auctioneers Licensing Board promulgates and adopts the following
rules in accordance with § 17-17-207 concerning official action of the
Board and the business of auctioning.
2.
INFORMATION FOR PUBLIC
GUIDANCE
2.1.
REQUEST FOR
INFORMATION. Board makes available a list of persons holding certain
responsibilities for handling FOIA request, licensing questions, and complaints
against licensees so that the public may obtain information about the Board or
make submissions or request. The names, mailing addresses, telephone numbers,
and electronic addresses can be obtained by contacting the Board's
office.
2.2.
OFFICIAL FORMS,
POLICIES, ORDERS AND MEMORANDUM. Board maintains a list of official
forms used by the Board and a list of all formal, written statement of policy
and written interpretative memoranda, and orders, decisions and opinions
resulting from adjudications, which may be obtained from the Board's
office.
2.3.
COPIES.
Copies of all forms used by the Board, written statements of policy and written
interpretive memoranda, and all orders issued by the Board, excluding materials
related to written and practical testing, may be obtained from the Board's
office.
3.
GENERAL
INFORMATION.
3.1.
DESCRIPTION OF
ORGANIZATION . The officers of the Auctioneers Licensing Board shall be
a chairman and vice- chairman. The Board shall elect officers from its
membership at its first regular meeting of the year, and each officer shall
serve for a term of one year or until his/her successor is elected and duly
qualified. If a vacancy occurs, the Board shall elect a successor to complete
the balance of the unexpired term of office. The Executive Secretary shall
serve as the Board's Secretary-Treasurer and shall be the custodian of all
funds.
3.2.
MEETINGS OF THE
BOARD . Regular meetings of the Board shall be held at least four times
each year at a time and place determined by the Board. Other meetings of the
Board shall be called by the Chairman or upon the written request of two Board
members. Meetings of the Board shall be conducted in accordance with Robert's
Rules of Order except where such rules conflict with these rules.
3.3.
QUORUM . Four members of
the Board shall constitute a quorum for the transaction of business. All
official action of the Board must be approved by the majority vote of the
members present.
3.4.
AGENDA . The Secretary-Treasurer will prepare the agenda for
regular and special meetings. The agenda will be distributed to Board members
and made available to the public in advance of the meeting. The agenda should
state with specificity the items that will be considered at the meeting or
hearing. The agenda should include the following topics, as applicable; the
Call to Order, Review of Minutes, Old Business, New Business, Other Business,
Adjudicatory Hearings, Rule-making hearings and Public Comment. The order of
the agenda items is tended to be flexible and may be adjusted to meet the needs
of the Board. The agenda may be amended by appropriate motion.
3.5.
AMENDMENT TO RULES . These
rules may be amended at any regular or special meeting of the Board, provided
such proposed amendments have been submitted to all members of the Board at
least 10 days prior to the meeting at which the amendment is to be considered.
The specified 10-day notice may be waived provided there is unanimous written
consent of all Board members. All requirements of the Arkansas Administrative
Procedures Act shall be complied with prior to the final adoption of an
amendment to these Rules.
3.6.
FISCAL YEAR OF THE BOARD . The fiscal year of the Board shall be
from July 1 to June 30.
3.7.
LIST OF LICENSEES . The Board shall annually prepare a list of the
names and addresses of all auctioneers licensed by it. This list shall contain
the names of all persons whose licenses have been suspended or revoked within
the preceding year as well as other information the Board deemed relative to
the enforcement. A copy of this list may be obtained from the Executive
Secretary by submitting a $5.00 fee payable by check or money order.
3.8.
FINANCIAL AFFAIRS . The
current rules of the Arkansas Department of Finance and Administration shall be
followed in the financial affairs of the Board.
3.9.
COMPENSATION . Board
members shall be compensated pursuant to Ark. Code Ann. § 25-16-901 et
seq.
4.
RULE MAKING
AUTHORITY .
4.1. The Board has been
authorized by the Legislature to promulgate rules. Ark. Code Ann. §
17-17-207. The Board follows the procedural requirement of the Arkansas
Administrative Procedures Act, in particular Ark. Code Ann. § 25-15-203
and § 25-15-204. Additionally, the Board is required to abide by the
provisions of Ark. Code Ann. § 10-3-309.
5.
EMERGENCY RULE-MAKING.
5.1.
REQUEST . The proponent of
a rule may request the Board to adopt an emergency rule. In addition to the
text of the proposed rule or amendment to an existing rule and any other
information required by the Administrative Procedures Act, the proponent will
provide a written statement setting out the facts or circumstances that would
support a finding of imminent peril to the public health, safety, or
welfare.
5.2.
ACTION UPON
RECEIPT OF REQUEST. Upon receipt of the written statement requesting an
emergency rule-making and documents or other evidence submitted in support of
the assertion that an emergency exists, the Board will make an independent
judgment as to whether the circumstances and facts constitute an imminent peril
to the public health, safety, or welfare requiring adoption of the rule upon
fewer than 30 days notice. If the Board determines that the circumstances
warrant emergency rule-making, it will make a written determination that sets
out the reasons for the Board's finding that an emergency exists. Upon making
this finding, the Board may proceed to adopt the rule without any prior notice
or hearing, or it may determine to provide an abbreviated notice and
hearing.
5.3.
EFFECTIVE DATE
OF EMERGENCY RULE . The emergency rule will be effective immediately
upon filing, or at a stated time less than ten (10) days thereafter, if the
Board finds that this effective date is necessary because of imminent peril to
the public health, safety, or welfare. The Board will file with the rule its
written findings justifying the determination that emergency rule-making is
appropriate and, if applicable, the basis for the effective date of the
emergency rule being less than ten days after the filing of the rule pursuant
to A.C.A. § 25-15-204(e). The Board will take appropriate measures to make
emergency rules known to persons who may be affected by
them.
6.
DECLARATORY ORDERS.
6.1.
PURPOSE AND USE . A declaratory order is a means of resolving a
controversy or answering questions or doubts concerning the applicability of
statutory provisions, rules, or orders over which the Board has authority. A
petition for declaratory order may be used only to resolve questions or doubts
as to how the statutes, rules or orders may apply to the petitioner's
particular circumstances. A declaratory order is not the appropriate means of
determining the conduct of another person or for obtaining a policy statement
of general applicability from a Board. A petition or declaratory order must
describe the potential impact of statutes, rules or orders upon the
petitioner's interest.
6.2.
PETITION . The process to obtain a declaratory order is begun by
filing with the Board a petition that provides the following information:
6.2.1. The caption shall read: Petition for
Declaratory Order Before the Arkansas Auctioneers Licensing Board.
6.2.2. The name, address, telephone number
and facsimile number of the petitioner.
6.2.3. The name, address, telephone number,
and facsimile number of the attorney of the petitioner.
6.2.4. The statutory provision(s), Board
rule(s), or Board order(s) on which the declaratory order is sought.
6.2.5. A description of how the statute,
rules, or orders may substantially affect the petitioner and the petitioner's
particular set of circumstances, and the question or issue on which petitioner
seeks a declaratory order.
6.2.6.
The signature of the petitioner or petitioner's attorney.
6.2.7. The date.
6.2.8. A request for a formal hearing, if
desired.
6.3.
DISPOSITION.
6.3.1. The Board may
hold a hearing to consider a petition for declaratory statement. If a hearing
is held, it shall be conducted in accordance with Ark. Code Ann. §
25-15-208 and § 25-15-213, and the Board's rules for adjudicatory
hearing.
6.3.2. The Board may rely
on the statements of fact set out in the petition without taking any position
with regard to the validity of the facts. Within ninety (90)days of the filing
of the petition, the Board will render a final order denying the petition or
issuing a declaratory order.
7.
PRACTICES AND PROCEDURES FOR
AUCTIONEERS
7.1. LICENSED REQUIRED. On
and after July 1, 1989, it shall be unlawful for any person to act as an
auctioneer or to advertise or to assume to act as an auctioneer within this
state without a license issued by the Auctioneers Licensing Board.
7.2. LICENSE NOT REQUIRED.
7.2.1. AUCTIONING OWN GOODS. An individual is
not required to be a licensed auctioneer to auction his own goods. When one is
auctioning his/her own goods without a license that person must have a legal
interest in all merchandise to be sold as one's "own goods". Consignment goods
are not considered one's "own goods".
7.2.2. Court Ordered or Public Authority: An
auctioneer license is not required to conduct an auction under the direction of
a public authority, pursuant to a judicial order or decree, or a sale by law
required to be at auction.
7.2.3.
Nonprofit Organization: An auctioneer license is not required for an auction
conducted by or for a nonprofit organization
7.2.4. Livestock Auction: An auctioneer
license is not required for an individual who conducts the auction of livestock
at a livestock auction facility.
7.2.5. Internet Auction: An auctioneer
license is not required to conduct an auction over the internet by means of a
website dedicated primarily to conducting auctions.
7.3.
EMERGENCY AUCTIONEER . When
an auctioneer or auction house owner exhausts all efforts to hire a licensed
auctioneer and is unable to hire a licensed auctioneer, the auctioneer or
auction house owner may employ an unlicensed emergency auctioneer for a period
of ninety (90) days.
7.3.1.
NOTIFICATION. The auctioneer or auction house owner must contact
the Board immediately and provide them with the name and contact information of
the emergency auctioneer. The auctioneer or auction house owner shall submit a
written statement to the Board that the unlicensed emergency auctioneer has
been advised that that he must make application for licensure and pay fees for
the next testing date.
7.3.2.
LICENSE REQUIRED. After 90 days, the emergency auctioneer must
meet all provisions of Ark. Code Ann. § 17-17-101 et seq.
7.4.
WRITTEN CONTRACT
7.4.1. Written Contract Required. Any
agreement to provide auctioneer services shall be reflected in a written
contract. A contract may be a simple written agreement but shall include the
following:
7.4.1.1. Date of
agreement;
7.4.1.2. Specific date,
time and location of auction;
7.4.1.3. Special terms and
conditions;
7.4.1.4. Commission
charged;
7.4.1.5. Other
expenses;
7.4.1.6. Signatures of
auctioneer or auction house owner and seller(s); and,
7.4.1.7. Agreement must include whether the
auction is absolute or with reserve and;
7.4.1.8. The amount of any buyer's premium to
be charged.
7.4.2.
Contract Must Be Signed Before Auction Conducted. The auction must not be held
prior to obtaining the auction contract.
7.5.
ADVERTISING
7.5.1. Absolute Auction. Any auction which is
to be an absolute auction shall be listed as such in advertisements for that
auction. If an auction is advertised as absolute, all high bids must be
accepted and ownership transferred.
7.5.2. License Number Required. Any
auctioneer or auction house owner who advertises to hold or conduct an auction
shall include in such advertisement his/her/its name and designate whether
auctioneer or auction house owner, business address, license number and such
other reasonable information deemed necessary or appropriate for such
sale.
7.6.
AUCTIONS - REQUIRED PROCEDURES - STANDARDS FOR AUCTION
7.6.1. Board Authorized to Attend Auctions.
Board member(s) or employee(s) shall have the authority to attend any auction
for the purpose of checking records of an auction and for any other
purpose.
7.6.2. Settlement of
Proceeds Made Within Ten Days. Settlement of any money received from auction of
another person's goods shall be made within ten (10) business days of the
auction.
7.6.3. Terms and
Conditions. Terms and conditions of each auction must be announced at the
beginning of the auction.
7.7.
MAINTAINING RECORDS OF
AUCTION . All auctioneers or auction house owners shall maintain records
of the auctions for a period of three (3) years.
7.8.
ESCROW ACCOUNTS. Funds in
Separate Account. An auctioneer/auction house owner shall be required to place
any funds belonging to someone else in an account separate from his/her
personal or business account. This separate account is called an "escrow
account" and is required of persons who handle the funds of others §
17-17-308(4). Only one escrow account is required and money from several
auctions may be placed in it at one time. Interest bearing accounts are not
illegal provided that all the parties agree to the disposition of the
interest.
8.
RECOVERY FUND
8.1.
PAYMENT
TO RECOVERY FUND . Each auctioneer shall pay to the Board, at the time
of initial licensure and at each annual renewal, a recovery fund fee of one
hundred ($100.00) dollars, in addition to all other fees assessed. Payment of
this fee shall continue until such time as the fund shall reach $180,000.00.
All applicants for renewal and all new licensees shall pay one hundred
($100.00) dollars per year for a minimum of two years and shall continue to pay
until such time as the recovery fund reaches $180,000.00. At the time the fund
balance falls to $100,000.00, or below, each licensee shall pay a proportionate
amount established by the Board until such time as the fund shall be restored
to $180,000.00.
8.2.
PAYMENT
OF DAMAGES. Damages from the recovery fund may be paid upon request only
if, after ordering a licensee to pay a specified amount to an aggrieved
person(s), the licensee fails to do so within thirty (30) calendar days and the
order has not been appealed.
8.3.
REQUIREMENTS FOR PAYMENT. In order to receive payment from the
recovery fund, an aggrieved party must submit a request for payment, which
request must contain:
8.3.1. Amount requested
to be paid;
8.3.2. Name and address
of payee;
8.3.3. Complaint number;
and
8.3.4. Notarized, signed
statement setting forth whether any amounts have been paid to the aggrieved
party by licensee.
8.4.
BOARD MAY AWARD ONLY COMPENSATORY DAMAGES. The Board's
jurisdiction and authority to award damages to an aggrieved party from the
recovery fund is limited to actual, compensatory damages. The Board shall not
award punitive or exemplary damages, nor shall it award interest on
damages.
8.5.
PAYMENT LIMITED
TO $15,000.00. The Board shall not pay in excess of fifteen thousand
dollars ($
15,000.00) for:
8.5.1. Any one (l) violation or continuing
series of violations regardless of the number of licensees who participated in
the violation or continuing series of violations; or
8.5.2. The acts of any one (l) licensee;
or
8.5.3. Any group of related
claims.
8.6.
DISCRETION OF THE BOARD. It shall be a matter solely within the
discretion and judgment of the Board whether certain violations constitute a
continuing series of violations or a group of related
claims.
9.
REQUIREMENTS AND QUALIFICATIONS FOR APPLICATION AND LICENSURE
9.1.
GENERAL. All board action
regarding licensure shall be governed by Ark. Code Ann. §§ 17-17-101
et seq. and, when applicable Ark. Code Ann. §§ 25-15-208 through
213.
9.2.
REQUIREMENT TO KEEP
CURRENT ADDRESS ON FILE. All auctioneers or auction house owners holding
a license issued by the board are required to provide the board with written
notice of any change in business address and/or primary mailing address within
30 days of the change. Upon receipt of a notice of change of address, the Board
shall issue a new license for the unexpired period of time as required. Service
of notices of hearing sent by mail will be addressed to the latest address on
file with the board.
9.3.
PRE-LICENSURE CRIMINAL BACKGROUND CHECK. Pursuant to Ark. Code
Ann. § 17-3-103, an individual may petition for a pre-licensure
determination of whether the individual's criminal record will disqualify the
individual from licensure and whether a waiver may be obtained.
9.3.1. The individual must obtain the
pre-licensure criminal background check petition from the Board.
9.3.2. The Board will respond with a decision
in writing to the completed petition within two (2) weeks of receipt of all
required documentation.
9.3.3. The
Board's response will state the reason(s) for the decision.
9.3.4. All decisions of the Board in response
to a pre-licensure criminal background check petition are not subject to
appeal.
9.3.5. The Board will
retain a copy of the petition and response and it will be reviewed during the
formal application process.
9.4.
APPLICANT QUALIFICATIONS .
Each applicant for a license shall make application to the Board upon a form
and in such a manner as the Board may require at least thirty (30) days prior
to the date of examination. Each applicant shall:
9.4.1. Be of good reputation, trustworthy,
and competent to transact the business of an auctioneer, in such a manner as to
safeguard the interest of the public. In furtherance of this requirement, each
applicant, shall provide two letters of reference to the Board which indicates
the applicant is well-known to the individual, that he/she is of good moral
character and bears a good reputation for honesty, truthfulness and
integrity;
9.4.2. At least 18 years
of age;
9.4.3. Provide a completed
application;
9.4.4. Provide a
completed Individual Record Check Form;
9.4.5. Provide a completed FBI Fingerprint
Card;
9.4.6. Enclose a check or
money order for an examination fee of $100.00;
9.4.7. Enclose a check or money order for a
license fee of $100.00 (if applying for reciprocity see Section 4
below);
9.4.8. Enclose a check for
in the appropriate amount as provided by the Board Office made payable to
Arkansas Auctioneers Licensing Board for a state background check;
9.4.9. Enclose a check for in the appropriate
amount as provided by the Board Officee made payable to the Arkansas State
Police for a federal background check;
9.4.10. Enclose a check or money order for
the Recovery Fund fee of $100.00;
9.4.11. Enclose a current photograph
full-face, passport-type (2"x2") of head and shoulders taken within the past
six months.
9.4.12. Submit to a
Criminal Background Check. All individuals seeking initial licensure as an
auctioneer or an individual seeking reinstatement of licensure as an auctioneer
in the State of Arkansas shall submit to a State and Federal Criminal
Background check.
9.4.13.
Disqualifying Conviction. If an individual has been convicted of an offense
listed in A.C.A. § 17-3-102, except those permanently disqualifying
offenses found in subsection (e), the Board may waive disqualification of a
potential applicant or revocation of a license based on the conviction if a
request for a waiver is made by:
9.4.13.1.1.
An affected applicant for a license; or
9.4.13.1.2. An individual holding a license
subject to revocation.
9.4.13.2.
The Board may grant a waiver upon consideration of the following, without
limitation:
9.4.13.2.1. The age at which the
offense was committed;
9.4.13.2.2.
The circumstances surrounding the offense;
9.4.13.2.3. The length of time since the
offense was committed;
9.4.13.2.4.
Subsequent work history since the offense was committed;
9.4.13.2.5. Employment references since the
offense was committed;
9.4.13.2.6.
Character references since the offense was committed;
9.4.13.2.7. Relevance of the offense to the
occupational license; and
9.4.13.2.8. Other evidence demonstrating that
licensure of the applicant does not pose a threat to the health or safety of
the public.
9.4.13.3. A
request for a waiver, if made by an applicant, must be in writing and accompany
the completed application and fees.
9.4.13.4. The Board will respond with a
decision in writing and will state the reasons for the decision.
9.4.13.5. An appeal of a determination under
this section will be subject to the Administrative Procedures Act §
25-15-201et seq.
9.5. Requirements for Licensing. In addition
to providing a completed application and fees required by Section 9.4 herein,
applicants must pass separate written and oral examinations. An applicant for
an auctioneer license must pass each exam with a score of 70% or better. An
applicant for an auction house license must only take the written portion of
the exam and pass it with a score of 70% or better.
9.6.
AUCTIONEER LICENSE
REQUIRED. If the owner of an auction house or the designated person of a
corporation operating as an auction house and the auctioneer are one and the
same, only one auctioneer's license need be obtained.
9.7.
AUCTION HOUSE LICENSE. An
auction house license shall be issued in the name of one person only. An
auction house license does not authorize the named individual to "call" an
auction. Continuing education hours for out of state corporations owning an
auction house may be obtained by the general manager or designated
person.
9.8.
NONRESIDENT
APPLICANTS. Every nonresident applicant shall file an irrevocable
consent that actions may be commenced against the applicant in any court of
competent jurisdiction in the State of Arkansas in addition to all requirements
listed in this section.
9.9.
REVIEW OF APPLICATION. The application and supporting
documentation will be reviewed by the Secretary-Treasurer. If it is determined
that the application is incomplete, the Secretary-Treasurer will inform the
applicant in writing and will specify why the application is incomplete. The
application process will be suspended. When a completed application, a
supplemental application, or the requested information is returned, the
Secretary-Treasurer will reinitiate action on the application for license. If
all requirements are met, the applicant will be allowed to take the licensing
examination.
9.10.
DURATION
OF APPLICATION.
9.10.1. Applications
are active for twelve (12) calendar months from the date the application is
received in the Board office.
9.10.2. If the application process is not
completed and the license issued in the twelve months, an applicant may request
Board approval for an extension of the twelve month application window. If an
extension is not requested, or is denied, the application becomes void and the
individual must apply as any new applicant at any future date.
9.10.3. If new requirements have been placed
for applicants in the twelvemonth window the Board may require that the new
requirements be met within the extension period as part of the application
extension approval.
9.10.4. A
second extension period will not be considered by the Board.
9.11.
RECORD
RETENTION. Applications for licensure and supporting documentation will
be maintained by the Board office for a period of three (3) years.
9.12.
WRITTEN EXAMINATION FOR
LICENSURE. The Board shall establish the contents of the examinations
for licensure and shall conduct an examination of applicants for licensure at
least four (4) times each year at a time and place specified by the
Board.
10.
RECIPROCAL REQUIREMENTS AND QUALIFICATIONS FOR APPLICATION AND
LICENSE
10.1.
RECIPROCAL
APPLICANT. A person holding a license to engage in auctions issued to
him/her by a proper authority of a state, territory, or possession of the
United States of America or the District of Columbia which other state has
licensing requirements comparable to Arkansas may upon application be licensed
without further examination.
10.2.
RECIPROCAL APPLICANT LICENSURE. Each applicant for a license
through reciprocity shall make application to the Board upon a form and in such
a manner as the Board may require.
10.2.1.1.
The Applicant shall hold a substantially similar license in another United
States' jurisdiction.
10.2.1.1.1. A license
from another state is substantially similar to an Arkansas Auctioneer's license
if the other state's licensure requirements require a written examination
demonstrating competency to act as an Auctioneer.
10.2.1.1.2. The applicant shall hold his or
her Auctioneer license in good standing;
10.2.1.1.3. The applicant shall not have had
a license revoked for an act of bad faith; or a violation of law, rules or
ethics.
10.2.1.1.4. The applicant
shall not hold a suspended or probationary license in a United States'
jurisdiction;
10.2.1.2.
The applicant shall be sufficiently competent to act as an Auctioneer;
and
10.2.1.3. The applicant shall
meet the requirements of Section 9.4 above.
10.2.2.
Required Documentation.
An applicant shall submit a fully-executed application, the required fee, and
the documentation described below:
10.2.2.1.
As evidence that the applicant's license from another jurisdiction is
substantially similar to Arkansas's, the applicant shall submit the following
information:
10.2.2.1.1. Evidence of current
and active licensure in that state; and
10.2.2.1.2. Evidence that the other state's
licensure requirements match those listed in 10.2.1.1.1.
10.2.2.2. To demonstrate that the applicant
meets the requirement in 10.2.1.1.2. through 10.2.1.1.4., the applicant shall
provide the Board with:
10.2.2.2.1. The names
of all states in which the applicant is currently licensed or has been
previously licensed;
10.2.2.2.2.
Letters of good standing or other information from each state in which the
applicant is currently or has ever been licensed showing that the applicant has
not had his license revoked for the reasons listed in 10.2.1.1.3. and does not
hold a license on suspended or probationary status as described in
10.2.1.1.4;
10.2.2.2.3. And proof
of having passed that state's competency exam.
10.3.
TEMPORARY
AND PROVISIONAL LICENSE
10.3.1. The
Board shall issue a temporary and provisional license immediately upon receipt
of the application, the required fee, and the documentation required under
10.2.2.
10.3.2. The temporary and
provisional license shall be effective until the Board makes a decision on the
application, unless the Board determines that the applicant does not meet the
requirements in 10.2.1.1 and 10.2.1.2., in which case the temporary and
provisional license shall be immediately revoked.
10.3.3. An applicant may provide the rest of
the documentation required above in order to receive a license, or the
applicant may only provide the information necessary for the issuance of a
temporary and provisional license.
10.4.
RECIPROCAL AUCTIONEER LICENSE
REQUIRED. If the owner of an auction house or the designated person of a
corporation operating as an auction house and the auctioneer are one and the
same, only one auctioneer's license need be obtained.
10.5.
RECIPROCAL AUCTION HOUSE
LICENSE. An auction house license shall be issued in the name of one
person only. An auction house license does not authorize the named individual
to "call" an auction.
10.6.
RECIPROCAL LICENSE FEE. The license fee applicable to a
nonresident applicant from a state with which we have a Reciprocal Agreement
shall be the same amount that such other reciprocal state charges
auctioneers/auction house owners who are residents of this state and who are
duly licensed in this state to obtain a license to conduct an auction in such
other state.
10.7.
SPECIAL
PROCEDURES FOR ACTIVE DUTY MILITARY, RETURNING MILITARY VETERANS AND THEIR
SPOUSES.
As used in this subsection, "returning military veteran" means a former
member of the United States Armed Forces who was discharged from active duty
under circumstances other than dishonorable.
10.7.1. The Board shall grant automatic
licensure to an individual who holds a substantially equivalent license in
another U.S. jurisdiction and is:
10.7.1.1. An
active duty military service member stationed in the State of
Arkansas;
10.7.1.2. A returning
military veteran applying for licensure within one (1) year of his or her
discharge from active duty; or
10.7.1.3. The spouse of a person under
10.6.1.1 or 10.6.1.2 above.
10.7.2. The Board shall grant automatic
licensure upon receipt of all the below:
10.7.2.1. Payment of the initial licensure
fee;
10.7.2.2. Evidence that the
individual holds a substantially equivalent license in another state;
and
10.7.2.3. Evidence that the
applicant is a qualified applicant under Section 10.7.1.
11.
DENIAL OF APPLICATION FOR LICENSURE.
11.1.
OPPORTUNITY FOR HEARING.
Except for failure to pass the license examination, if a determination is made
that the application should be denied; the Board will inform the applicant of
the opportunity for a hearing on the application. The grounds or basis for the
proposed denial of a license will be set forth in writing by the
Board.
11.2.
HEARING
REQUEST. The applicant must request, in writing, a hearing on the denial
of application within 30 days of the denial notice. Any hearing on the denial
of a license will be conducted in accordance with Ark. Code Ann. §
25-15-208 and Ark. Code Ann. § 25-15-213, and unless otherwise provide by
law, the applicant has the burden of establishing entitlement to the
license.
12.
ANNUAL
LICENSE RENEWAL
12.1.
RENEWAL OF
LICENSE. All auctioneer licenses expire on June 30 of each year unless
renewed. Notice of license renewal shall include notice of the penalty and
requirements for late renewal. Applications for license renewal postmarked by
June 30 shall include a license renewal fee of $100.00 and proof of required
Continuing Education.
12.2.
DENIAL OF APPLICATION FOR RENEWAL. An application for renewal of
license may be denied if the auctioneer has been convicted in a court of
competent jurisdiction of this or any other jurisdiction of a criminal offense
involving a felony listed under § 17-3-102 or any conduct which
demonstrates bad faith, dishonesty, incompetency, untruthfulness, or deceptive
practices or has failed to submit proof of the continuing education
requirements.
12.3.
LATE
RENEWAL. GRACE PERIOD. Auctioneers who fail to renew their license by
June 30 shall have a grace period of one hundred twenty (120) days to renew
their license. Applications for license renewal postmarked by October 31 shall
include a license renewal fee of $100.00 and proof of required Continuing
Education hours.
12.4.
LATE
RENEWAL FINAL NOTICE: The Board shall notify any auctioneer who fails to
renew his license by September 1 that the grace period for renewal ends on
October 31; that after that date they must cease and desist all auction
activities; and, that the fee for reinstatement of the lapsed license after
October 31 will be doubled to $200.00. This notice shall be sent certified
mail, return receipt requested.
12.5.
FAILURE TO RENEW LICENSE. LAPSED
STATUS. Any license not renewed on or before October 31 shall be
considered lapsed. Auctioneers who fail to renew their license by October 31
shall be notified of their lapsed status; to cease and desist all auction
activities; and, the process for reinstatement to active status. This
notification shall be by regular first class mail.
12.6.
REINSTATEMENT FROM LAPSED
STATUS. A lapsed license may be reinstated for a period of two (2)
months following the October 31st deadline for
license renewal. The lapsed licensee will be reinstated upon payment the late
renewal penalty of $200.00 and submission of required continuing education
hours.
12.7.
REVOCATION OF
LAPSED LICENSE. A license which has lapsed for two (2) months following
the October 31 deadline shall be considered revoked for nonrenewal. The Board
will notify the auctioneer that the license has been revoked for nonrenewal
effective December 31. The notice will be provided by certified mail, return
receipt requested. The auctioneer shall be advised that he may request a
hearing before the Board within thirty (30) days of receipt of the notice to
contest the revocation. Following revocation for nonrenewal the auctioneer must
reapply for licensure pursuant to the Rule for new applicants at the time of
the new application for licensure.
12.8.
LICENSE RENEWAL - SPECIAL
CIRCUMSTANCES
12.8.1. Military -
Individuals called up for active duty military service shall be entitled to
late renew within one (1) year following return from active duty by payment of
the current license renewal fee and submission of six (6) hours of Continuing
Education within the next license year.
12.8.2. Disaster Relief - Individuals, whose
employment requires them to participate in disaster relief services, failing to
renew due to disaster relief shall be entitled to renew for the current renewal
period with no Continuing Education hours but will be required to obtain twelve
(12) hours of Continuing Education during the next year prior to the next
renewal.
13.
CONTINUING EDUCATION
13.1.
CONTINUING EDUCATIONS REQUIREMENTS. GENERAL. As a prerequisite to
renewal of an auctioneer license, the licensee shall satisfactorily complete
six (6) hours of continuing education from an auctioneer continuing education
course approved by the Board. Correspondence courses may qualify for continuing
education credit. Such correspondence course must be approved by the
board.
13.2.
VERIFICATION OF
CONTINUING EDUCATIONS HOURS. The Board may verify any information
concerning continuing education that is submitted by the licensee as evidence
supporting the course information. The board may require applicant(s) or
licensee to provide information regarding the continuing education hours
claimed on the individual's renewal. Failure to do so may lead to disciplinary
action.
13.3.
EVIDENCE TO
SUPPORT COURSES TAKEN. It is the responsibility of each licensee to
retain evidence to support the courses taken for a period of (12) months after
the end of the renewal period for which the renewal application is submitted to
the Board;
13.3.1. Course attendance
verification by the sponsor.
13.3.2. Certificates of course
completion.
13.3.3. Other evidence
of support and justification
13.3.4. This requirement shall not apply to
courses offered by the Board.
13.4.
APPLICATION FOR CONTINUING
EDUCATIONS COURSE SPONSOR. Any request for Board approval of an
auctioneer continuing education course sponsor shall be by written application
on a form provided by the Board. Applicants for continuing education course
sponsor shall submit the following information:
13.4.1. Name, address, telephone number and
facsimile (FAX) number (if any) of the course sponsor;
13.4.2. If the ownership of the course
sponsor is a partnership, the names and addresses of the partners;
13.4.3. If the ownership of the course
sponsor is a corporation, the names and addresses of the officers and
directors;
13.4.4. If the ownership
of the course sponsorship is a limited liability company, the names and
addresses of the members and managers;
13.4.5. A course content outline describing
the subjects to be offered during the approval period. All course sponsors are
approved for a period of twelve (12) months;
13.4.6. A statement that each instructor
meets the qualifications required by Sections 13.10 and 13.11 of this
rule;
13.4.7. A statement that the
course sponsor shall provide the licensee who successfully completes an
approved course, a certificate of course completion that meets the requirements
of Section 13.9 of this rule;
13.4.8. A copy of the certificate of course
completion required under Section 13.9 of this rule;
13.4.9. And a statement that any facility
utilized by the course sponsor shall be at a location approved by the
Board.
13.5.
COURSE CURRICULUM APPROVAL REQUIRED. All sponsors must submit a
request for approval of speakers and an agenda to the Board for approval by May
15th each year. The curriculum should include at
least one (1) hour of law. A minimum total of six (6) hours must be
provided.
13.6.
COURSE
SPONSOR APPROVAL DATES. Sponsors of auctioneer continuing education
courses shall be considered approved as of the date of approval by the Board,
and therefore courses predating the approval date do not qualify.
13.7.
COURSE OUTLINE. A course
outline shall be prepared and distributed to the attendees. The outline shall
state the number of continuing education hours offered.
13.8.
COURSE RECORDS. An
approved auctioneer continuing education course sponsor must retain records of
students who complete the course for a minimum of two (2) years. These records
must include attendance records for all courses showing date, place, and
attendee's name. The course sponsor may be asked to provide the board copies of
records.
13.9.
APPROVED
AUCTIONEER CONTINUING EDUCATION SPONSOR. CERTIFICATE REQUIREMENTS. Upon
completion of a continuing education course, the approved auctioneer continuing
education sponsor shall provide all attendees a course completion certificate
that must include the following information:
13.9.1. The name of the
participant;
13.9.2. The license
number of the participant;
13.9.3.
The name, address, and signature of the sponsor;
13.9.4. The course title;
13.9.5. The course topic if not reflected in
the course title;
13.9.6. The date
and location of the course;
13.9.7.
And the number of approved actual course hours.
13.10.
INSTRUCTOR REQUIREMENTS.
Each instructor used by an approved auctioneer continuing education sponsor
must have a minimum of two (2) years experience in the field in which that
instructor is to teach.
13.11.
INSTRUCTORS. PROHIBITIONS. An auctioneer continuing education
sponsor is prohibited from hiring, or retaining in its employ, an instructor
who has:
13.11.1. Had an auctioneer, auction
company, or auction house license revoked or suspended by any
jurisdiction;
13.11.2. Obtained or
used, or attempted to obtain or use, in any manner, Arkansas auctioneer
licensing questions to be used on future examinations unless authorized by
law;
13.11.3. Been convicted of a
crime that has a direct bearing on the individuals ability to competently
instruct, including, but not necessarily limited to, violations of auction laws
and abuse of fiduciary responsibilities;
13.11.4. Falsely certified hours of
attendance or grades for any student; or
13.11.5. Unless allowed by law, refused to
appear and/or testify under oath at any hearing held by the Board.
13.12.
MONITORING CONTINUING
EDUCATIONS SERVICES. Continuing education courses offered by an
approved course sponsor may be monitored by the Board to ensure that
participants are physically present for the duration of the course. In order to
monitor a continuing education course, an approved course sponsor must do the
following:
13.12.1. Require the participants
to sign in and out as they enter and exit the classroom, noting the time of
arrival and departure;
13.12.2.
Ensure that order is maintained throughout the duration of the
course;
13.12.3. Maintain the
attendance sheets to assure their accuracy;
13.12.4. Verify the participant's signature
upon the participant's entrance and exit;
13.12.5. Distribute course completion
certificates to participants who have been physically present for duration of
the course.
13.13.
INFORMATION MUST BE VERIFIED. The Board may request verification
of any information submitted by the licensee and may request the licensee to
submit evidence supporting the course credit claimed. Failure to do so shall
subject a licensee to non-renewal or suspension of license.
13.14.
FAILURE TO MEET CONTINUING
EDUCATION PROVISIONS. A licensee who does not obtain the required
number of continuing education hours during a one (1) year licensure period may
cure that deficiency by taking them prior to renewal whereby all penalties and
fees will be due and payable to the Board prior to renewal.
13.15.
BOARD REVIEW OF CONTINUING
EDUCATIONS COMPLIANCE. If, as the result of an audit or other review,
the Board determines that the continuing education hours a licensee has claimed
do not meet the requirements of A.C.A. § 17-17-311 and these rules, the
Board shall notify the licensee of that determination.
13.16.
LICENSEE MAY SUBMIT REASONS FOR
FAILURE TO COMPLY. A licensee, who has been notified under Section
13.15 may within thirty (30) days submit information to the Board giving all
the substantive reasons in support of the licensee's position that an adequate
number of hours has been obtained.
13.17.
SEMINAR ATTENDANCE. Hours
for continuing education may be obtained through attendance at seminars
conducted by the following organizations:
13.17.1. National Auctioneers
Association
13.17.2. National
Auctioneers Automobile Dealers Association
13.17.3. Any state association
convention
13.17.4. Certified
Auctioneers Institute
13.17.5. Any
State Auctioneers Licensing Board
13.18.
HOURS OBTAINED BY PROVIDING
INSTRUCTORS. In addition, a licensee may obtain continuing education
hours by acting as an instructor at an accredited auction school. In order to
be credited for hours as an instructor, a licensee must provide to the Board
verification by a letter from the association or other entity that will verify
the number of instructor hours.
13.19.
RECIPROCAL HOURS. The
Board will accept through reciprocity any continuing education hours from such
other reciprocal state whether such hours be less or more than our state
requirement, provided such other state will accept Arkansas's continuing
education hours.
14.
COMPLAINTS
14.1.
COMPOSITION OF THE COMPLAINT COMMITTEEE. The Complaint Committee
shall consist of the Chair of the Board and any other member appointed by the
Chair of the Board.
14.2.
PROCEDURE FOR INITIATION OF COMPLAINT.
14.2.1. Initiation. The formal investigation
of a complaint against an auctioneer may be initiated when the complaint is in
writing and filed with the board. The complaint must contain a brief statement
setting forth the allegations of fact and naming the auctioneer against whom
the complaint is filed.
14.2.2.
Board Initiation. The Board may initiate an investigation upon its own motion
when it has reason to believe a violation of A.C.A. § 17-17-101 et seq. or
Board rule may have occurred. Individual board members should utilize the
written complaint method for complaints against individual
Auctioneers.
14.2.3. Time Limit for
Filing of Complaint. The Complaint committee may consider complaints only if
the complaint was filed within one (1) year from the time the alleged complaint
either occurred or was discovered. Any complaint not received within this time
limit shall not be considered and the complainant shall be so
notified.
14.3.
PROCEDURE FOR INVESTIGATION OF COMPLAINT.
14.3.1. Notification of the Respondent. Upon
receipt of the complaint the Complaint Committee shall notify the Auctioneer
named in the complaint by certified or registered mail of the complaint and
request a written response to the allegation/s.
14.3.2. Investigation. Upon receipt of the
auctioneer's response or upon the expiration of the time period permitted for
the licensee's response, the Complaint Committee shall conduct any further
inquiry or investigation which appears to be appropriate based upon the
circumstances of the individual case.
14.3.3. Investigative Officer. The
Investigative Officer shall be a person designated by the Chair of the Board.
The Chair of the Board shall agree, or contract, to pay compensation to, or
reimburse the expenses of, any person serving as investigative officer
authorized by the Board.
14.3.4.
Investigative Report. Upon completion of the investigation, the investigative
officer shall provide a written report to the Complaint Committee the results
of the investigation. The Complaint Committee will determine whether to
initiate a full board hearing, offer to the licensee an informal board hearing,
take other action or present to the Board a request to dismiss the complaint.
The report of the Complaint Committee shall be a summary of the results of the
investigation and shall be presented to the Board without naming the
licensee.
14.4.
ACTION BY THE BOARD. A majority vote of the board shall be
required to support the recommendation of the Complaint Committee to dismiss a
complaint. If the board agrees with the determination of the Complaint
Committee that the case should be dismissed, the complainant and the
respondent shall be so notified.
14.4.1. Additional Evidence. If additional
evidence of conduct contrary to the laws or Rules governing Auctioneers is
presented within sixty (60) days after the matter has been closed with no
action, the case may be reopened and acted upon under regular
procedures.
14.5.
ACTION ON COMPLAINT. If the Complaint Committee determines that
the complaint presents sufficient evidence of a violation; it may offer to the
licensee the following:
14.5.1. Formal
Disciplinary Hearing. If the Complaint Committee determines that a formal
disciplinary hearing is required, the hearing shall comply with the
requirements of the Administrative Procedure Act.
14.5.2. Informal Hearing. The Complaint
Committee may offer or the Licensee may request an informal hearing of a
complaint before the Board consisting of a face to face meeting between the
Licensee and the Board to discuss the allegations of the complaint. Prior to an
informal hearing the Licensee must sign a consent statement agreeing to the
terms and conditions of an informal hearing.
14.5.3. Consent Agreement. If the Complaint
Committee determines that a consent agreement may be appropriate, the Complaint
Committee shall authorize its Attorney to enter into negotiations for a consent
agreement subject to the Board's final approval. The Complaint Committee may
recommend terms for a consent agreement offer by the attorney to the
respondent.
14.6.
DISQUALIFICATION. During a formal disciplinary hearing, any member
of the Board, except the Board Chair, who served on the Complaint Committee,
was involved in the investigation or who initiated the complaint may be
disqualified from participation in the hearing at the request of the respondent
auctioneer.
14.7.
COUNTER
COMPLAINT. The Arkansas Auctioneers Licensing Board will not accept
formal complaints from a respondent against a complainant during the course of
an investigation of the initial complaint. Counter charges will only be
considered after the disposition of the initial complaint.
15.
ADJUDICATIVE HEARINGS
15.1.
SCOPE. This chapter
applies in all administrative adjudications conducted by the Arkansas
Auctioneers Licensing Board. This procedure is developed to provide a process
by which the Board formulates orders (for example, an order revoking a license
to practice, or imposing civil penalties).
15.2.
PRESIDING OFFICER. The
Board shall preside at the hearing or may designate a hearing officer to
preside at a hearing.
15.3.
APPEARANCES. Any party appearing in any Board proceeding has the
right, at his or her own expense, to be represented by counsel.
15.3.1. The respondent may appear on his or
her own behalf.
15.3.2. Any
attorney representing a party to an adjudicatory proceeding must file notice of
appearance as soon as possible.
15.3.3. Service on counsel of record is the
equivalent of service on the party represented.
15.3.4. On written motion served on the party
represented and all other parties of record, the presiding officer may grant
counsel of record leave to withdraw for good cause shown.
15.4.
CONSOLIDATION . If there
are separate matters that involve similar issues of law or fact, or identical
parties, the matters may be consolidated if it appears that consolidation would
promote the just, speedy, and inexpensive resolution of the proceedings, and
would not unduly prejudice the rights of a party.
15.5.
NOTICE TO INTERESTED
PARTIES . If it appears that the determination of the rights of parties
in a proceeding will necessarily involve a determination of the substantial
interests of persons who are not parties, the presiding officer may enter an
order requiring that an absent person be notified of the proceeding and be
given an opportunity to be joined as a party of record.
15.6.
SERVICE OF PAPERS . Unless
the presiding officer otherwise orders, every pleading and every other paper
filed for the proceeding, except applications for witness subpoenas and the
subpoenas, shall be served on each party or the party's representative at the
last address of record.
15.7.
INITIATION & NOTICE OF HEARING. An administrative adjudication
is initiated by the issuance by the Board of a notice of hearing. The notice of
hearing will be sent to the respondent by U.S. Mail, return receipt requested,
restricted delivery to the named recipient or his agent. Notice shall be
sufficient when it is so mailed to the respondent's latest address on file with
the Board. Notice will be mailed at least 30 days before the scheduled hearing.
The notice will include:
15.7.1. A statement
of the time, place, and nature of the hearing;
15.7.2. A statement of the legal authority
and jurisdiction under which the hearing is to be held; and
15.7.3. A short and plain statement of the
matters of fact and law asserted.
15.8.
MOTIONS. All requests for
relief will be by motion. Motions must be in writing or made on the record
during a hearing. A motion must fully state the action requested and the
grounds relied upon. The original written motion will be filed with the Board.
When time allows, the other parties may, within three (3) days of the service
of the written motion, file a response in opposition. The presiding officer may
conduct such proceedings and enter such orders as are deemed necessary to
address issues raised by the motion. However, a presiding officer, other than
the Board, will not enter a dispositive order unless expressly authorized in
writing to do so.
15.9.
ANSWER. A respondent may file an answer.
15.10.
DISCOVERY. Upon written
request, the Board will provide the information designated in A.C.A §
25-15-208(a) (3). Such requests should be received by the Board at least 10
days before the scheduled hearing.
15.11.
CONTINUANCES. The
Complaint Committee may grant a continuance of hearing for good cause shown.
Requests for continuances will be made in writing. The request must state the
grounds to be considered and be made as soon as practicable and, except in
cases of emergencies, no later than five (5) days prior to the date noticed for
the hearing. In determining whether to grant a continuance, the Complaint
Committee may consider:
15.11.1. Prior
continuances;
15.11.2. The
interests of all parties;
15.11.3.
The likelihood of informal settlements;
15.11.4. The existence of an
emergency;
15.11.5. Any
objection;
15.11.6. Any applicable
time requirement;
15.11.7. The
existence of a conflict of the schedules of counsel, parties, or
witnesses;
15.11.8. The time limits
of the request; and
15.11.9. Other
relevant factors.
15.11.10. The
Complaint Committee may require documentation of any grounds for
continuance.
15.12.
HEARING PROCEDURES
15.12.1. The
presiding officer presides at the hearing and may rule on motions, require
briefs, and issue such orders as will ensure the orderly conduct of the
proceedings; provided, however, any presiding officer other than the Board
shall not enter a dispositive order or proposed decision unless expressly
authorized in writing to do so.
15.12.2. All objections must be made in a
timely manner and stated on the record.
15.12.3. Parties have the right to
participate or to be represented by counsel in all hearings or pre-hearing
conferences related to their case.
15.12.4. Subject to terms and conditions
prescribed by the Administrative Procedure Act, parties have the right to
introduce evidence on issues of material fact, cross-examine witnesses as
necessary for a full an true disclosure of the facts, present evidence in
rebuttal, and, upon request by the Board, may submit briefs and engage in oral
argument.
15.12.5. The presiding
officer is charged with maintaining the decorum of the hearing and may refuse
to admit, or may expel, anyone whose conduct is disorderly.
15.13.
ORDER OF
PROCEEDINGS. The presiding officer will conduct the hearing in the
following manner:
15.13.1. The presiding
officer will give an opening statement, briefly describing the nature of the
proceedings.
15.13.2. The parties
are to be given the opportunity to present opening statements.
15.13.3. The parties will be allowed to
present their cases in the sequence determined by the presiding
officer.
15.13.4. Each witness must
be sworn or affirmed by the presiding officer, or the court reporter, and be
subject to examination and cross-examination as well as questioning by the
Board. The presiding officer may limit questioning in a manner consistent with
the law. 15.13.5. When all parties and witnesses have been heard, parties may
be given the opportunity to present final arguments.
15.14.
EVIDENCE
15.14.1. The presiding officer shall rule on
the admissibility of evidence and may, when appropriate, take official notice
of facts in accordance with all applicable requirements of law.
15.14.2. Stipulation of facts is encouraged.
The Board may make a decision based on stipulated facts.
15.14.3. Evidence in the proceeding must be
confined to the issues set forth in the hearing notice, unless the parties
waive their right to such notice or the presiding officer determines that good
cause justifies expansion of the issues. If the presiding officer decides to
admit evidence outside the scope of the notice, over the objection of a party
who did not have actual notice of those issues, that party, upon timely
request, will receive a continuance sufficient to prepare for the additional
issue and to permit amendment of pleadings.
15.14.4. A party seeking admission of an
exhibit must provide 12 copies of each exhibit at the hearing. The presiding
officer must provide the opposing parties with an opportunity to examine the
exhibit prior to the ruling on its admissibility. All exhibits admitted into
evidence must be appropriately marked and be made part of the record.
15.14.5. Any party may object to specific
evidence or may request limits on the scope of the examination or
cross-examination. A brief statement of the grounds upon which it is based
shall accompany such an objection. The objection, the ruling on the objection,
and the reasons for the ruling will be noted in the record. The presiding
officer may rule on the objection at the time it is made or may reserve the
ruling until the written decision.
15.14.6. Whenever evidence is ruled
inadmissible, the party offering that evidence may submit an offer of proof on
the record. The party making the offer of proof for excluded oral testimony
will briefly summarize the testimony or, with permission of the presiding
officer, present the testimony. If the excluded evidence consists of a document
or exhibit, it shall be marked as part of an offer of proof and inserted in the
record.
15.14.7. Irrelevant,
immaterial, and unduly repetitive evidence will be excluded. Any other oral or
documentary evidence, not privileged, may be received if it is of a type
commonly relied upon by reasonably prudent men and women in the conduct of
their affairs.
15.14.8. Reasonable
inferences. The finder of fact may base its findings of fact upon reasonable
inferences derived from other evidence received.
15.15.
DEFAULT. If a party fails
to appear or participate in an administrative adjudication after proper service
of notice, the Board may proceed with the hearing and render a decision in the
absence of the party.
15.16.
SUBPOENAS
15.16.1. At the request of
any party, the Board shall issue subpoenas for the attendance of witnesses at
the hearing. The requesting party shall specify whether the witness is also
requested to bring documents and reasonably identify said documents.
15.16.2. A subpoena may be served by any
person specified by law to serve process or by any person who is not a party
and who is eighteen (18) years of age or older. Delivering a copy to the person
named in the subpoena shall make service. Proof of service may be made by
affidavit of the person making service. The party seeking the subpoena shall
have the burden of obtaining service of the process and shall be charged with
the responsibility of tendering appropriate mileage fees and witness fees
pursuant to Rule 45, Arkansas Rules of Civil Procedure. The witness must be
served at least two days prior to the hearing. For good cause, the Board may
authorize the subpoena to be served less than two days before the
hearing.
15.16.3. Any motion to
quash or limit the subpoena shall be filed with the Board and shall state the
grounds relied upon.
15.17.
RECORDING THE
PROCEEDINGS. The responsibility to record the testimony heard at a
hearing is borne by the Board. Upon the filing of a petition for judicial
review, the Board will provide a verbatim transcript of testimony taken before
the Board.
15.18.
FACTORS TO
BE CONSIDERED IN IMPOSING SANCTIONS. In addition to any other
considerations permitted by Ark. Code Ann. § 17-17-101 et seq., if
applicable, the Board in imposing any sanction may consider the following:
15.18.1. The nature and degree of the
misconduct for which the licensee is being sanctioned.
15.18.2. The seriousness and circumstances
surrounding this misconduct.
15.18.3. The loss or damage to clients or
others.
15.18.4. The assurance that
those who seek similar professional services in the future will be protected
from the type of misconduct found.
15.18.5. The profit to the
licensee.
15.18.6. The avoidance of
repetition.
15.18.7. Whether the
conduct was deliberate, intentional, or negligent.
15.18.8. The deterrent effect on
others.
15.18.9. The conduct of the
individual during the course of the disciplinary proceeding.
15.18.10. The professional's prior
disciplinary record, including warnings.
15.18.11. Matters offered by the professional
in mitigation or extenuation, except that a claim of disability or impairment
resulting from the use of alcohol or drugs may not be considered unless the
professional demonstrates that he or she is successfully pursuing in good faith
a program of recovery.
15.19.
FINAL ORDER. The Board
will serve on the respondent a written order that reflects the action taken by
the Board. The order will include a recitation of facts found based on
testimony and other evidence presented and reasonable inferences derived from
the evidence pertinent to the issues of the case. It will also state
conclusions of law and directives or other disposition entered against or in
favor of the respondent. The order will be served personally or by mail on the
respondent. If counsel represents respondent, service of the order on
respondent's counsel shall be deemed service on the respondent.
16.
DENIAL,
SUSPENSION, OR REVOCATION OF LICENSE.
16.1.
VIOLATION OF LAW OR RULES.
The Board may impose a civil penalty or deny, suspend, refuse to renew or
revoke the license of any auctioneer or auction house owner for any of the
following causes:
16.1.1. For providing false
or fraudulent information on an application;
16.1.2. For obtaining a license through false
or fraudulent representation;
16.1.3. For making any substantial
misrepresentation in an application for a license or renewal of
license;
16.1.4. For pursuing a
continued and flagrant course of misrepresentation or making false promises
through agents, advertising, or otherwise;
16.1.5. For failing to account for or remit,
within ten (10) business days, any money belonging to others that comes into
his/her possession and for commingling funds of others with his/her own or
failing to keep such funds of others in an escrow or trustee account;
16.1.6. For conviction in a court of
competent jurisdiction of this state or any other jurisdiction of a felony
listed under § 17-3-102;
16.1.7. If the auctioneer/auction house owner
demonstrates bad faith, dishonesty, incompetency or untruthfulness, or
deceptive practices;
16.1.8. For
any violation of this Act or of any rule of the Board;
16.1.9. For a failure of a licensee to
provide to the Board any change of business address within 30 days of such
change; or
16.1.10. For failure to
renew a license within the one hundred twenty (120) day grace period;
16.1.11. For failing to enter into a written
contract with the seller and furnish voluntarily to the seller at the time of
execution copies of all written instruments prepared by the auctioneer/auction
house owner, including the contract;
16.1.12. For any other conduct that
constitutes improper, fraudulent, or dishonest dealings, to include falsely
accusing any auctioneer or auction house owner;
16.1.13. For failing to complete or submit
the continuing education requirements as specified by this chapter and the
rules adopted by the Board;
16.1.14. Submitting false information as to
the receipt of continuing education; or,
16.1.15. For failure to comply with A.C.A.
§ 17-17-301 and Sections 9, 10 and 12 of these rules.
16.2.
SANCTIONS FOR FALSE
INFORMATION. A licensee who submits false information under these rules
section shall be subject to the sanctions provided for under A.C.A. §
17-17-308.
17.
SANCTIONS AND PENALTIES
17.1.
SANCTIONS. After due notice and hearing, a person, found to have
violated provisions of Ark. Code Anno. 17-17-101 et seq or Section 16 of these
rules may have any one or more of the following sanctions imposed upon him by
the board:
17.1.1. Suspension, revocation or
denial of the license or the renewal thereof;
17.1.2. A penalty not to exceed one thousand
dollars ($1,000.00) for each violation;
17.1.3. Conditions or restrictions placed
upon the person's license; or
17.1.4. Such other requirements or penalties
as may be appropriate to the circumstances or the case, and which would achieve
the desired disciplinary purposes, but which would not impair the public
welfare and morals.
17.2.
PENALTY IN LIEU. Whenever
the Board finds that the holder of a license issued by it is guilty of a
violation of these rules or the laws of the State of Arkansas, it shall have
the power and authority to impose a penalty on the licensee in lieu of
suspension or revocation of the license.
17.3.
SUSPENSION OF LICENSE PENDING
PAYMENT OF PENALTY. Upon imposition of a penalty in lieu of suspension
or revocation, the Board may require that the license be suspended until the
penalty is paid.
17.4.
CIVIL
ACTION BY BOARD. If any person upon whom the Board has levied a civil
penalty fails to pay the civil penalty within thirty (30) days of the Board's
decision to impose the penalty, the amount of the fine shall be considered to
be a debt owed to the Board and may be collected by civil action by the
Board.
17.5.
PENALTY FOR
UNLICENSED PERSON. The Board may impose a civil penalty against any
unlicensed person, firm, or corporation practicing or offering to practice any
actions requiring licensure pursuant to the provisions herein.
17.6.
ADDITIONAL HOURS OF CONTINUING
EDUCATION MAY BE REQUIRED. The Board shall have the authority to require
additional continuing education hours for auctioneer or auction house owner
found in violation of the auctioneer law or these rules.
17.7.
VOLUNTARY SURRENDER OF
LICENSE . The licensee, in lieu of formal disciplinary proceedings, may
offer to surrender his or her license, subject to the Board's determination to
accept the proffered surrender, rather than conducting a formal disciplinary
proceeding.
17.8.
RE-LICENSURE OF A REVOKED OR SURRENDERED LICENSE. No individual
who has had his or her license revoked or who has surrendered his or her
license will be licensed, except on petition made to the Board. The application
for re-licensure is not allowed until at least five (5) years after the
revocation or surrender of license took effect. EXCEPTION: An individual or
corporation whose auctioneer license or auction house license was revoked for
non-renewal only, may make application for licensure at anytime pursuant to the
rules for licensure in effect at the time of application.
17.8.1. The applicant bears the burden of
proof that he is rehabilitated following the revocation or surrender of his
license, that he can engage in the conduct authorized by the license without
undue risk to the public health, safety, and welfare, and that he is otherwise
qualified for the license pursuant to Ark. Code Ann. §§ 17-17-101 et
seq..
17.8.2. The Board may impose
any appropriate conditions or limitations on a license to protect the public
health, safety, and welfare.
17.8.3. The Board may require that the person
seeking re-licensure take the licensing examination and/or submit proof of
continuing education hours.
18.
DISCLOSURE .
18.1. Requirements to Provide Information to
the Board. Every person licensed under the provisions Ark. Code. Ann §
17-17-101 et seq., shall upon request make available to the Arkansas
Auctioneers Licensing Board or its duly authorized representative any
information which the Board requires to verify compliance of the Licensee with
all provisions of Ark. Code. Ann. § 17-17-101 et seq., and these Board
rules.
19.
SEVERABILITY.
19.1. These rules
being for the regulation of the business of auctioneers and the protection of
the public, the provisions hereby are declared to be severable and the
invalidity of any rule, clause, sentence, paragraph or section hereof shall not
affect the validity of the remainder thereof.