Ill. Admin. Code tit. 68, § 1450.700 - Sponsoring Broker Responsibilities
a) The sponsoring broker, other than a sole
proprietor with no other sponsored licensees, shall establish a written company
policy and remain ultimately responsible for compliance with Section 10-55 of
the Act and Section 1450.705. The sponsoring broker
shall name a designated managing broker who will be responsible for the
oversight of every office. The designated managing broker shall have the
authority to act on behalf of the sponsoring broker.
b) A sponsoring broker may delegate to
unlicensed personnel, including but not limited to accountants, office
managers, or unlicensed assistants (see Section
1450.740), activities or duties
not prohibited by the Act or this Part. Any licensee who supervises unlicensed
personnel shall be responsible for the unlicensed person's actions, in
accordance with Sections
1450.705(b) and
1450.740(d).
c) The sponsoring broker shall inform the
Division in writing of the name and license number of all designated managing
brokers employed by the sponsoring broker and the offices each designated
managing broker is responsible for managing.
d) The sponsoring broker is ultimately
responsible for maintaining a registry of sponsored licensees. If the
sponsoring broker maintains no physical office, the registry shall be included
on a virtual office website or digital platform.
e) No fewer than 14 days prior to a
sponsoring broker ceasing operations, the sponsoring broker shall provide
written notice to all sponsored licensees to allow the sponsored licensees to
secure new sponsoring brokers and shall provide written notice to all active
clients to allow the clients to secure brokerage agreements with new sponsoring
brokers.
f) Any violation of the
Act by any licensees employed by or associated with a sponsoring broker, or by
any unlicensed assistant or other unlicensed employee of a sponsoring broker,
shall not be cause for suspension or revocation of a sponsoring broker's
license, unless a sponsoring broker had knowledge of a violation of the Act. A
sponsoring broker's failure to provide an appropriate written company policy or
failure to properly supervise shall be cause for discipline, including
suspension or revocation, of the sponsoring broker's license.
g) All provisions of this Section shall apply
to self-sponsored managing broker licensees.
Notes
State regulations are updated quarterly; we currently have two versions available. Below is a comparison between our most recent version and the prior quarterly release. More comparison features will be added as we have more versions to compare.
No prior version found.