A school shall permit the Board's Executive Director
or his or her designees to inspect the school or classes from time to time with
or without notice and to make available to the Board's Executive Director or
his or her designees, at any time when required to do so, information,
including, financial information, pertaining to the activities of the school
required for the administration of the
Act and this
Part. (Section 55(8) of the Act)
a) The
staff of the
Board shall initiate an investigation upon receipt of a verified
written complaint and may initiate an investigation in response to oral or
written information concerning any of the following:
1) Alleged violation of any of the conditions
governing issuance of the permit of approval;
2) Alleged failure to comply with this
Part;
3) Alleged fraudulent conduct
on the part of any person operating the institution or of any person, acting
within the scope of his/her employment by the institution, on account of which
any student ever enrolled in the institution has been injured or has suffered
financial loss;
4) Loss,
suspension, probation or similar adverse action taken by an accrediting body
with which the institution is or was affiliated;
5) Actions of federal or State regulatory
agencies or Offices of Attorneys General, Offices of Inspectors General, or
similar bodies that affect an institution's status with those bodies.
b) Whenever an inspection or other
information reveals lack of compliance with the Act or this Part, the Board
shall send the school a report of deficiencies. The school shall have 10 days
to respond to the report of deficiencies and report on actions that have been
taken to correct these deficiencies.