Sentences with phrase «practice as a licensee»

Not exact matches

Deregulation of broadcasting in the U.S. and the Federal Communications Commission's apparent indifference to the practices of broadcast licensees and cable operators in effect seem to legitimize the operation of these media as businesses like any other business, disregarding the public trusteeship that is required by the Communications Act.
Other problems include the rising practice of parallel importing, which involves bypassing the local licensees of a product and buying the product from third parties in countries such as Indonesia, Brazil, Malaysia and the US.
As a PMA licensee, Dr. Pompa does not practice conventional medicine.
When it is determined that the owner, licensee manager or responsible DVM, or facility has violated any provisions of the Veterinary Practice Act or is in violation of the rules promulgated by the board, the board may take disciplinary action as provided by the Veterinary Practice Act.
16.25.1.6 OBJECTIVE: To promote, preserve and protect the public health, safety and welfare by regulating the practice of veterinarians, veterinary technicians, bovine artificial insemination technicians, and bovine pregnancy diagnosis technicians; to establish the authority to take action against any licensee or permittee for failure to meet set minimum standards for licensure or permit certification as promulgated by the board; and to inspect and regulate veterinary facilities to further protect the public.
(1) A facility owned by anyone other than a veterinarian currently licensed to practice in New Mexico must have a New Mexico licensed veterinarian as the licensee manager or responsible DVM who will take full responsibility for maintaining minimum standards as stated in board promulgated rules.
Any licensee who returns to the practice of veterinary medicine shall notify the department prior to reentering the profession and shall meet such mandatory continuing education requirements as shall be prescribed by regulation of the commissioner.
Any person practicing as a veterinary technician in New York state pursuant to this subdivision shall be subject to the personal and subject matter jurisdiction and disciplinary and regulatory authority of the board of regents as if he or she is a licensee and as if the exemption pursuant to this subdivision is a license.
Any licensee who returns to the practice of veterinary technology shall notify the department prior to reentering the profession and shall meet such mandatory continuing education requirements as shall be prescribed by regulation of the commissioner.
As of that date, the Law Society of Upper Canada became responsible for this regulation of paralegals, making them «licensees» with equal standing, but of a different scope of practice, than lawyers.
Forty percent (40 %) of racialized licensees identified their ethnic / racial identity as a barrier to entry to practice, while only 3 % of non-racialized licensees identified ethnic / racial identity as a barrier.
To address this and other issues regarding the quality of articles, a program such as the Law Practice Program should become the main articling program for all licensees.
Ahad will discuss the new program, which is designed to connect lawyers and paralegals volunteering as a coach or advisor with licensees looking for assistance with skills development, practice management, or substantial and procedural issues on particular files.
The report finds that «[r] acialized law licensees often come from immigrant families or are starting out without family network that include lawyers... so are thought not to have the same opportunities in law school or their entry into practice as non-racialized licensees
As the Law Society has indicated, in the documentation accompanying the recommendation as well as the legal opinion that accompanied the report to Convocation, the duty to promote equality, diversity and inclusiveness — not only in our legal practices, but also in our public lives — is implicit in the existing rules and obligations governing licensees, and not a new obligatioAs the Law Society has indicated, in the documentation accompanying the recommendation as well as the legal opinion that accompanied the report to Convocation, the duty to promote equality, diversity and inclusiveness — not only in our legal practices, but also in our public lives — is implicit in the existing rules and obligations governing licensees, and not a new obligatioas well as the legal opinion that accompanied the report to Convocation, the duty to promote equality, diversity and inclusiveness — not only in our legal practices, but also in our public lives — is implicit in the existing rules and obligations governing licensees, and not a new obligatioas the legal opinion that accompanied the report to Convocation, the duty to promote equality, diversity and inclusiveness — not only in our legal practices, but also in our public lives — is implicit in the existing rules and obligations governing licensees, and not a new obligation.
In regards to licensing in the accounting professions, as of December 19, 2011, the number of public accounting licensees that are active and qualified to practice is 4713 for ICAO, 16 for CGAO, and 0 for CMAO.
consider all relevant information available to the Society, including information about the Licensee as a result of an audit of the financial records of the Licensee, an investigation of the Licensee's conduct or capacity, a review of the Licensee's practice or a proceeding in respect of the Licensee's conduct, capacity or professional competence.
By participating in a Kentucky driving safety course, licensees may prevent the accumulation of negative points following a specific offense, as well as practice safe driving habits.
A. Licensed practice for a minimum period of five years, including not more than two years of practice as an entry - level conditional licensee;
(4) Any licensee who has had his or her clinical social work, marriage and family therapy, or mental health counseling license, or any other license to practice psychotherapy, disciplined by any jurisdiction within the last ten (10) years shall not be eligible to serve as a qualified supervisor.
A licensee who has not satisfied the mandatory continuing education requirement shall not be issued a triennial registration certificate by the department and shall not practice unless and until a conditional registration certificate is issued as provided for in subdivision three of this section.
Instructors who are qualified to teach include but not limited to, faculty of a licensed master social work or licensed clinical social work program offered by a higher education institution; or instructors who are specially qualified authorities in activities that are directed at developing and enhancing a licensee's practice as a LMSW or LCSW.
A person licensed under this chapter as a clinical social worker, marriage and family therapist, or mental health counselor, or certified as a master social worker shall conspicuously display the valid license issued by the department or a true copy thereof at each location at which the licensee practices his or her profession.
Also called, among other things «appointed agency,» this is a brokerage practice that allows the managing broker to designate which licensees in the brokerage will act as agents of the seller, and which will act as agents of the buyer, without the individual licensees being dual agents.
This comprehensive course starts with Fair Housing, including the history of Fair Housing, the history of housing practices, the role of state and federal laws in curbing unfair practices, protected classes, risk management in Fair Housing, New York Fair Housing, the impact of Fair Housing on the real estate professional, as well as the reaction of licensees to Fair Housing, an overview of the Fair Housing Act, other Civil Rights laws that impact Fair Housing, Fair Housing - related Presidential Executive Orders, Affirmatively Furthering Fair Housing (AFFH), criminal history and records used in Fair Housing, and emerging and existing Fair Housing issues.
For example, a licensee engaged in rental property management must comply with all business practice requirements as set out in the Rules, such as the need to display licences, the limitations that are placed on home offices, the requirements relating to the name that a licensee may use, and the provisions relating to advertising.
The changes would allow one or more licensees to be designated as agents for a seller or buyer, rather than the current practice of all licensees within a brokerage firm owing fiduciary duty to the principal.
For example, a licensee engaged in strata management must comply with all business practice requirements as set out in the Rules, such as the need to display licences, the limitations that are placed on home offices, the requirements relating to the name that a licensee may use, and the provisions relating to advertising.
As soon as your prospective licensee has started the Applied Practice Course, they may mail or courier their completed licence application, along with all required documents and the appropriate fee, to the CounciAs soon as your prospective licensee has started the Applied Practice Course, they may mail or courier their completed licence application, along with all required documents and the appropriate fee, to the Councias your prospective licensee has started the Applied Practice Course, they may mail or courier their completed licence application, along with all required documents and the appropriate fee, to the Council.
287 DOS 98 Matter of DOS v. Uqdah Realty & Management Corp. — deposits; jurisdiction; fraudulent practices; failure to pay judgment; vicarious liability; notary public; disclosure of agency relationship; broker violated 19 NYCRR 175.1 when he deposited escrow funds into his operating account; broker committed conversion when his operating account fell below deposit amount; broker engaged in fraudulent practices when he illegally retained buyer's trust funds and attempted to qualify prospective buyer for mortgage by falsely stating their employment; broker failed to disclose his agency relationship to his client; failure to pay judgment; corporate real estate broker vicariously liable and charged with actual knowledge of violation of law because of representative broker's cognizant misconduct as corporate officer; broker is not required to deposit a refundable commission in an escrow account unless contractually demanded; corporate broker and representative broker's license revoked; restitution of deposit of $ 12,000 plus interest; notary public commission revoked based on misconduct as a real estate licensee
The BCREA has developed two Managing Broker Toolkits and pre-recorded training webinars for managing brokers to assist them in understanding the new format of the courses, their content, and the ways that new licensees can be supported as they progress through the Applied Practice courses.
While all REALTORS ® are state - issued licensees as agents or brokers, the major difference between a «real estate licensee» and a REALTOR ® is that REALTORS ® have taken an oath to subscribe to a stringent, enforceable Code of Ethics with Standards of Practice that promote the fair, ethical and honest treatment of all parties in a transaction.
It is important to note that not all real estate licensees are REALTORS ® and therefore not be subject to the enforcement of the Code of Ethics as a standard practice.
79 DOS 99 Matter of DOS v. Pagano - disclosure of agency relationships; failure to appear at hearing; proper business practices; unauthorized practice of law; unearned commissions; vicarious liability; fraudulent practice; jurisdiction; ex parte hearing may proceed upon proof of proper service; DOS has jurisdiction after expiration of respondents» licenses as acts of misconduct occurred and the proceedings were commenced while the respondents were licensed; licensee fails to timely provide seller client with agency disclosure form prior to entering into listing agreement and fails to timely provide agency disclosure form to buyer upon first substantive contact; broker fails to make it clear for which party he is acting; broker violates 19 NYCRR 175.24 by using exclusive right to sell listing agreement without mandatory definitions of «exclusive right to sell» and «exclusive agency»; broker breaches fiduciary duties to seller clients by misleading them as to buyer's ability to financially consummate the transaction; broker breaches his fiduciary duty to seller by referring seller to the attorney who represented the buyers when he knew or should have known such attorney could not properly protect seller's interests; improper for broker to use listing agreements providing for broker to retain one half of any deposit if forfeited by buyer as such forfeiture clause could, by its terms, allow broker to retain part of the deposit when broker did not earn a commission; broker must conduct business under name as it appears on license; broker engaged in the unauthorized practice of law in preparing contracts for purchase and sale of real estate which did not contain a clause making it subject to the approval of the parties» attorneys and were not a form recommended by a joint bar / real estate board committee; broker demonstrated untrustworthiness and incompetency in using sales contract which purported to change the terms of the listing agreement to include a higher commission; broker demonstrated untrustworthiness and incompetency in using contracts of sale which were unclear, ambiguous, vague and incomplete; broker failed to amend purchase agreement to reflect amendment to increase deposit amount; broker demonstrated untrustworthiness in back - dating purchase agreements; broker demonstrated untrustworthiness in participating in scheme to have seller hold undisclosed second mortgage and to mislead first mortgagee about the purchaser's financial ability to purchase; broker demonstrated untrustworthiness by claiming unearned commission and filing affidavit of entitlement for unearned commission; DOS fails to establish by substantial evidence that respondent acted as undisclosed dual agent; corporate broker bound by the knowledge acquired by and is responsible for acts committed by its licensees within the actual or apparent scope of their authority; corporate and individual brokers» licenses revoked, no action taken on application for renewal until proof of payment of sum of $ 2,000.00 plus interests for deposits unlawfully retained
Two signatures are required to authorize a withdrawal from a CRF or SL trust account; but a managing broker may delegate this authority pursuant to section 7 - 9 (6) of the Council Rules to another licensee, a director or an officer of the brokerage, or to another person employed or engaged by the brokerage who is authorized to practice as a lawyer, a certified general accountant, a chartered accountant or a certified management accountant.
Licensees should also have their buyers and sellers consult their lawyers about dates — both as to court approval and completion — as the time required to have orders for sale approved may have increased as a result of changes to rules regarding foreclosure practice.
Some licensees make it a practice to never work as dual agents.
Such a system permits consumers to raise concerns about services a professional provides to them, as well as provides a process to investigate and, if necessary, discipline any licensee who fails to meet professional standards of practice.
It was concluded by Council and confirmed by the Unauthorized Practice Committee of the Law Society of British Columbia that, so long as licensees were acting as the rental property owner's agent pursuant to a written service agreement, they could appear at RTB hearings.
It is important to remember that under brokerage agency practice, when a licensee engaged by a brokerage lists a property for sale, the brokerage is appointed as the agent of the seller, and all of the brokerage's related licensees assume the agency obligations of the brokerage in relation to that seller.
Licensees from around the province are taking advantage of the education and information provided by the Council to assist them in their professional practice, as these figures demonstrate.
Standards of practice have been rising consistently and every licensee is expected to conform to the higher standards as they become the norm.
By placing conditions on an individual's or brokerage's licence, the Council may restrict aspects of a licensee's practice, require the licensee to report on particular areas of their business, or impose other conduct requirements as necessary.
The changes allow one or more licensees to be designated as agents for a seller or buyer, rather than the current practice of all licensees within a brokerage firm owing fiduciary duty to the principal.
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