Fla. Admin. Code Ann. R. 61B-60.008 - Standards of Conduct; Penalties
(1)
The license of a broker or salesperson, as applicable, shall be suspended or
cancelled where:
(a) Upon termination of a
surety bond pursuant to Section
326.004(11),
F.S., the licensee fails to simultaneously file a new bond with the division;
or
(b) A salesperson withdraws from
the employment of a broker. In such a case, the broker shall immediately return
the salesperson's license to the division; or
(c) A broker severs his or her professional
relationship with a business entity so that the remaining salespersons are no
longer employed by a broker licensed as required pursuant to Chapter 326, F.S.
In such a case, the broker shall immediately notify the division and the
salesperson shall immediately return his or her license to the division pending
installation of a new broker at the respective business
entity.
(2) The division
shall suspend or revoke the license of a broker or salesperson under the
provisions of Section
326.006(2)(e),
(f), F.S., for cause shown including the
violation of applicable administrative rules.
(3) Standards of Conduct:
(a) A licensee shall not knowingly
misrepresent facts, shall have an affirmative duty to inform the division of
any changes in status or of any knowledge of any facts that may adversely
affect the licensee's fitness for licensure, shall undertake to perform only
those brokerage services that he or she can reasonably expect to complete with
professional competence, shall exercise due professional care in the
performance of brokerage services, and shall not permit others to carry out on
his or her behalf, either with or without compensation, acts that, if carried
out by the licensee, would place him or her in violation of Sections
326.001 through
326.006, F.S. or Chapter 61B-60,
F.A.C.
(b) A broker shall be deemed
responsible by the division for the actions of all salespersons who perform
brokerage functions under his or her supervision and
control.
(4) Guidelines
for Determining Civil Penalties:
(a) To assure
consistency with respect to the amount of any civil penalty to be assessed in a
consent order or final order, the following guidelines have been established.
Aggravating or mitigating circumstances, when considered, may increase or
decrease the respective amount of any civil penalty.
(b) Examples of aggravating or mitigating
circumstances may include the following:
1.
Criminal record of licensee;
2.
Civil litigation history bearing upon issues relating to the administration of
Chapter 326, F.S.;
3.
Administrative action history, either formal or informal, bearing upon issues
relating to the administration of Chapter 326, F.S.;
4. Cooperation of respondent relating to the
Division's investigation and prosecution of the instant matter;
5. Whether the division required the
assistance of external parties in preparation of the division's case;
6. Whether the licensee's conduct was
intentional;
7. Whether the
licensee, or any agent engaged by the licensee, knew or should have known that
the subject misfeasance or malfeasance constituted a violation of Chapter 326,
F.S., or the rules promulgated thereunder, or any other law or rule having
impact upon the respective proceeding;
8. Circumstances precipitating the
investigation;
9. Nature of the
violation;
10. History of similar
violation; and
11. Any combination
of any of the above factors.
(c) The imposition of a civil penalty is not
intended to preclude the division from imposing any further sanctions that it
may be authorized to impose pursuant to Chapter 326, F.S., or the rules
promulgated thereunder.
Notes
Specific Authority 326.002, 326.003, 326.004 FS. Law Implemented 326.004, 326.006 FS.
New 11-25-90, Amended 10-11-92, Formerly 7D-60.008, 7D-60.009, 7D-60.010, Amended 1-26-97, 3-13-02.
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