
COMMITTEE SUBSTITUTE
FOR
H. B. 4301
(By Delegates Douglas, Kuhn,

Prunty, Stephens and Leggett)
(Originating in the Committee on Finance)
[February 28, 2002]
A BILL to repeal article twelve, chapter forty-seven of the code
of West Virginia, one thousand nine hundred thirty-one, as
amended; and to amend chapter thirty of said code by adding
thereto a new article, designated article forty, relating to
the West Virginia real estate license act; requiring license
to sell real estate; providing definitions; scope of practice;
exceptions; qualifications, terms, appointments and removal
of members; powers and duties of commission; providing
rule-making authority; qualifications and requirements for
licensure; standards for examinations; continuing education
requirements; issuing and renewing licenses; denying,
suspending, revoking or reinstating licenses; professional
conduct; fees; special revenue account; administrative fines;
providing immunity from civil liability for commission members and persons reporting violations; requiring definite place of
business of licensees; display of license certificates; trust
fund accounts; prohibition against commingling funds;
delineating prohibited acts; investigating and resolving
complaints against licensees; hearings and judicial review;
penalties for violations; injunctions; criminal proceedings
for violations; requirements for bringing action for recovery
of compensation; duties of licensees; duration of existing
licenses; and continuation of commission.
Be it enacted by the Legislature of West Virginia:
That article twelve, chapter forty-seven of the code of West
Virginia, one thousand nine hundred thirty-one, as amended, be
repealed; and that chapter thirty of said code be amended by adding
thereto a new article, designated article forty, to read as
follows:
ARTICLE 40. WEST VIRGINIA REAL ESTATE LICENSE ACT.
§30-40-1. Legislative findings.
The Legislature hereby finds and declares that the practice of
real estate brokerage is a privilege, and any person engaged in the
professional practice of real estate brokerage should possess the
requisite experience and training and be subject to adequate
regulation and control. As a matter of public policy, it is
necessary to protect the public interest from the unauthorized, unqualified and unregulated practice of real estate brokerage
through enactment of this article and to regulate the granting of
such privileges and their use. This article shall be liberally
construed to carry out these purposes.
§30-40-2. Short title.
This article shall be known and may be cited as the "West
Virginia Real Estate License Act".
§30-40-3. License required.
It shall be unlawful for any person to engage in or carry on,
directly or indirectly, or to advertise or hold himself or herself
out as engaging in or carrying on the business or act in the
capacity of a real estate broker, associate broker, or salesperson
within this state, without first obtaining a license as provided
for in this article.
§30-40-4. Definitions.
Unless the context in which used clearly requires a different
meaning, as used in this article:
(a) "Applicant" means any person who is making application to
the commission for a license.
(b) "Associate broker" means any person who qualifies for a
broker's license, but who is employed or engaged by a licensed
broker to engage in any activity regulated by this article, in the
name of and under the direct supervision of the licensed broker.
(c) "Broker" means any person who for compensation or with the
intention or expectation of receiving or collecting compensation:
(1) Lists, sells, purchases, exchanges, options, rents,
manages, leases or auctions any interest in real estate; or
(2) Directs or assists in the procuring of a prospect
calculated or intended to result in a real estate transaction; or
(3) Advertises or holds himself or herself out as engaged in,
negotiates or attempts to negotiate, or offers to engage in, any
activity enumerated in subdivision (1) of this subsection.
(d) "Commission" means the West Virginia real estate
commission as established in section six of this article.
(e) "Compensation" means fee, commission, salary, or other
valuable consideration, in the form of money or otherwise.
(f) "Designated broker" means a person holding a broker's
license who has been appointed by a partnership, association,
corporation, or other form of business organization engaged in the
real estate brokerage business, to be responsible for the acts of
the business and to whom the partners, members, or board of
directors have delegated full authority to conduct the real estate
brokerage activities of the business organization.
(g) "Distance education" means courses of instruction in which
instruction takes place through media where the teacher and student
are separated by distance and sometimes by time.
(h) "Inactive" means a licensee who is not authorized to
conduct any real estate business and is not required to comply with
any continuing education requirements.
(i) "License" means a license to act as a broker, associate
broker or salesperson.
(j) "Licensee" means a person holding a license.
(k) "Member" means a commissioner of the real estate
commission.
(l) "Real estate" means any interest or estate in land and
anything permanently affixed to land.
(m) "Salesperson" means a person employed or engaged by or on
behalf of a broker to do or deal in any activity included in this
article, in the name of and under the direct supervision of a
broker, other than an associate broker.
§30-40-5. Scope of practice; exceptions.
(a) The practice of real estate brokerage includes acting in
the capacity of a broker, associate broker or salesperson as
defined in section four of this article.
(b) The practice of real estate brokerage does not include the
activities normally performed by an appraiser, mortgage company,
lawyer, engineer, contractor, surveyor, home inspector or other
professional who may perform an ancillary service in conjunction
with a real estate transaction.
(c) The provisions of this article do not apply to:
(1) Any person acting on his or her own behalf as owner or
lessor of real estate.
(2) The regular employees of an owner of real estate, who
perform any acts regulated by this article, where the acts are
incidental to the management of the real estate: Provided, That
the employee does not receive additional compensation for the act
and does not perform the act as a vocation.
(3) Attorneys-at-law: Provided, That attorneys-at-law shall
be required to submit to the written examination required under
section twelve of this article in order to qualify for a broker's
license: Provided, however, That an attorney-at-law who is
licensed as a real estate broker prior to the first day of July,
one thousand nine hundred eighty is exempt from the written
examination required under section twelve of this article.
(4) Any person holding, in good faith, a valid power of
attorney from the owner or lessor of the real estate.
(5) Any person acting as a receiver, trustee, administrator,
executor, guardian, conservator or under the order of any court or
under the authority of a deed of trust or will.
(6) A public officer while performing his or her official
duties.
(7) Any person acquiring or disposing of any interest in timber or minerals, or acquiring or disposing of easements and
rights-of-ways for pipelines, electric power lines and stations,
public utilities, railroads or roads.
(8) Any person employed exclusively to act as the management
or rental agent for the real estate of one person, partnership or
corporation.
(9) Any person properly licensed pursuant to the provisions of
article two-c, chapter nineteen of this code when conducting an
auction, any portion of which contains any leasehold or estate in
real estate, only when the person so licensed is retained to
conduct an auction by:
(A) A receiver or trustee in bankruptcy;
(B) A fiduciary acting under the authority of a deed of trust
or will; or
(C) A fiduciary of a decedent's estate.
(10) Any person employed by a broker in a noncommissioned
clerical capacity who may in the normal course of employment, be
required to:
(A) Disseminate brokerage preprinted and predetermined real
estate sales and rental information;
(B) Accept and process rental reservations or bookings for a
period not to exceed thirty consecutive days in a manner and
procedure predetermined by the broker;
(C) Collect predetermined rental fees for the rentals which
are to be promptly tendered to the broker; or
(D) Any combination thereof.
§30-40-6. Commission created; membership; appointment and removal
of members; qualifications; terms; organization.
(a) The West Virginia real estate commission is hereby
continued. The members of the commission in office on the date
this section takes effect shall, unless sooner removed, continue to
serve until their respective terms expire and until their
successors have been appointed and qualified.
(b) (1) Commencing with the terms beginning with the first day
of July, two thousand two, the commission shall consist of five
persons appointed for terms of four years by the governor with the
advice and consent of the Senate. Four commissioners must be
licensed under the provisions of this article and one commissioner
must be a citizen member who is not licensed under the provisions
of this article.
(2) Each licensed commissioner, at the time of his or her
appointment, must have been licensed and practiced in this state as
a real estate broker, associate broker or salesperson as his or her
primary vocation for a period of not less than ten years
immediately preceding the appointment. Each commissioner must have
been a resident of this state for at least six years prior to his or her appointment and must remain a resident during the
appointment term. No more than four commissioners shall belong to
the same political party.
(3) The appointment of three licensed commissioners, whether
for a full term or to fill a vacancy, shall be made by the
governor with the advice and consent of the Senate. The
appointment of one licensed commissioner, whether for a full term
or to fill a vacancy, shall be made by the governor from among
three nominees selected by the West Virginia association of
realtors. If the appointment is for a full term, the nominations
must be submitted to the governor not later than three months prior
to the date on which the appointment becomes effective. If the
appointment is to fill a vacancy, the nominations must be submitted
to the governor within thirty days after a request for the
nominations has been made by the governor to the West Virginia
association of realtors. If the association fails to submit
nominations in accordance with the requirements of this section,
the governor may make the appointment without the nominations.
(c) Any commissioner immediately and automatically forfeits
his or her membership on the commission if he or she has his or
her license to practice as a real estate broker, associate broker
or salesperson suspended or revoked by the board, is convicted of
a felony under the laws of this state or of the United States, becomes a nonresident of this state, or holds any elective public
office or becomes a member of any political committee.
(d) No member of the commission may be removed from office by
the governor except for official misconduct, incompetency, neglect
of duty, gross immorality or other good cause, but then only in the
manner prescribed by law for the removal by the governor of state
elective officials.
(e) No member of the commission may serve more than two
consecutive full terms and any member having served two full terms
may not be appointed for one year after completion of his or her
second full term. A member shall continue to serve until his or
her successor has been appointed and qualified.
(f) The governor shall designate one member of the commission
as chairman, and the members shall choose a vice chairman and a
secretary, each of whom shall continue to serve in their respective
capacity until replaced.
(g) Three members shall constitute a quorum for the conduct of
official business.
(h) Each commissioner shall receive the same compensation as
is paid to members of the Legislature for their interim duties as
recommended by the citizens legislative compensation commission and
authorized by law for each day or portion thereof engaged in the
discharge of official duties. Each commissioner shall be reimbursed for his or her actual and necessary expenses for each
day or portion thereof engaged in the discharge of official duties
in a manner consistent with guidelines of the travel management
office of the department of administration.
§30-40-7. General powers and duties.
The commission has all the powers set forth in article one of
this chapter, and in addition:
(a) May sue and be sued in its official name as an agency of
this state;
(b) Shall employ an executive director and shall fix his or
her compensation subject to the general laws of this state. The
commission shall determine the duties of the executive director, as
it shall deem necessary and appropriate to discharge the duties
imposed by the provisions of this code;
(c) Shall employ or contract with such other investigators,
hearing examiners, attorneys, consultants, clerks and assistants as
the commission deems necessary, and determine the duties and fix
the compensation of such investigators, clerks, and assistants
subject to the general laws of this state;
(d) Shall have the authority to issue subpoenas and subpoenas
duces tecum through any member, its executive director, or any duly
authorized representative;
(e) Shall prescribe, examine and determine the qualifications of any applicant for a license;
(f) Shall provide for an appropriate examination of any
applicant for a license;
(g) May enter into agreements with other jurisdictions whereby
the license issued by another jurisdiction may be recognized as
successfully qualifying a nonresident for a license in this state
without additional education or examination requirements;
(h) Shall issue, renew, deny, suspend, revoke or reinstate
licenses and take disciplinary action against any licensee;
(i) May investigate or cause to be investigated, alleged
violations of the provisions of this article, the rules promulgated
hereunder, and the orders or final decisions of the commission;
(j) Shall conduct hearings or cause hearings to be conducted
upon charges calling for the discipline of a licensee or for the
suspension or revocation of a license;
(k) May examine the books and records relating to the real
estate business of a licensee if the licensee is charged in a
complaint of any violation of this article, commission rule, or any
order or final decision issued by the commission: Provided, That
such examination shall not extend beyond the specific violation
charged in the complaint;
(l) May impose one or more sanctions as considered appropriate
in the circumstances for the discipline of a licensee. Available sanctions include, but are not limited to, denial of a license or
renewal thereof, administrative fine not to exceed one thousand
dollars per day per violation, probation, revocation, suspension,
restitution, require additional education, censure, denial of
future license, downgrade of license, reprimand or order the return
of compensation collected from an injured consumer;
(m) Shall meet at least once each calendar year at such place
and time as the commission shall designate, and at such other times
and places as it considers necessary to conduct commission
business;
(n) Shall publish an annual directory of licensees, in
compliance with the provisions of section thirteen, article one,
chapter thirty of this code;
(o) May sponsor real estate related educational seminars,
courses, workshops or institutes, may incur and pay the necessary
expenses and may charge a fee for attendance;
(p) May assist libraries, institutions and foundations with
financial aid or otherwise, in providing texts, sponsoring studies,
surveys and programs;
(q) May perform compliance audits on real estate brokerage
offices, education providers or any other person regulated by the
commission;
(r) May provide distance education courses for applicants for a license sufficient to meet the educational requirements contained
in subsections (a) and (b), section fourteen of this article; and
(s) Shall take all other actions necessary and proper to
effectuate the purposes of this article.
§30-40-8. Rule-making authority.
(a) The commission may propose rules for legislative approval
in accordance with the provisions of article three, chapter
twenty-nine-a of this code which are necessary for the conduct of
its business, the holding of hearings, and for the general
implementation, enforcement and administration of the provisions of
this article, including, but not limited to, establishing,
administering, and governing the following:
(1) Fees for applications, examinations, licenses, renewal of
licenses, changes to licenses requiring reissuance, courses,
investigations, copies of records, license certifications, and
other fees considered necessary by the commission, none of which
shall be prorated or refundable: Provided, That the fee schedule
in effect prior to enactment of this article, enumerated in section
nine, article twelve, chapter forty-seven of this code, shall
continue to be effective until withdrawn, revoked or amended;
(2) The minimum requirements and qualifications necessary for
approval by the commission of providers, instructors and the course
content of any prelicense education course required in section fourteen of this article;
(3) The experience required of an applicant;
(4) The minimum standards for licensure;
(5) The standards for examinations;
(6) The minimum requirements and qualifications necessary for
approval by the commission of providers, instructors and courses of
continuing professional education required by section sixteen of
this article;
(7) Continuing professional education requirements for
licensees, including any exemptions;
(8) Renewal of licenses;
(9) Use of firm or trade name;
(10) Denying, suspending, revoking, or reinstating a license;
(11) Form and use of contracts used in a real estate
transaction;
(12) Notification required to clients or customers of agency
relationship;
(13) Professional conduct requirements; and
(14) Any other purpose to carry out the requirements of this
article, or to protect the public interest.
(b) All rules in effect as of the passage of this article
previously promulgated by the commission pursuant to article
twelve, chapter forty-seven of this code, will remain in effect until amended, modified, repealed or replaced, except that
references to provisions of former enactments of this article are
interpreted to mean provisions of this article.
§30-40-9. Fees; special revenue account; administrative fines.
(a) All fees and other moneys, except administrative fines,
received by the commission shall be deposited into the treasury of
the state, at least once each month, into a special revenue fund
known as the "real estate license fund" which is continued.
(b) Except as may be provided in section ten, article one of
this chapter, the commission shall retain the amounts in the
special revenue fund from year to year and no funds collected under
this article may be used by the commission for any purpose other
than the administration and enforcement of this article. No
compensation or expense incurred under this article is a charge
against the general revenue fund.
(c) Any amounts received as administrative fines imposed
pursuant to this article shall be deposited into the general
revenue fund of the state treasury.
§30-40-10. Civil liability for commission members; liability
limitations of person reporting to commission.
(a) Members of the commission shall be immune from individual
civil liability for actions taken in good faith and without malice,
within the scope of their duties as commission members.
(b) Any person who reports or otherwise provides evidence of
violations of this article, the commission's rules, orders or final
decisions to the commission or other law-enforcement agency, is not
liable for making the report if it is made without malice and in
the reasonable belief that the report is warranted by the facts
known to him or her at the time.
§30-40-11. Application for license.
The commission shall only issue an original license to an
applicant if he or she:
(a) Submits an application, in writing, in a form prescribed
by the commission, which must contain but is not limited to:
(1) The applicant's social security number;
(2) The recommendation of at least two persons who:
(A) Are property owners at the time of signing the
application;
(B) Have been property owners for at least twelve months
preceding the signing of the application;
(C) Have known the applicant for at least two years;
(D) Are not related to the applicant;
(E) Are not affiliated with the applicant as an employer,
partner, or associate or with the broker that will employ the
applicant;
(F) Believe the applicant bears a good reputation for honesty, trustworthiness and fair dealing; and
(G) Believe the applicant is competent to transact the
business of a real estate broker, associate broker or salesperson,
as the case may be, in a manner that would protect the interest of
the public.
(3) A clear record indicating all jurisdictions where the
applicant holds or has held any professional license.
(4) A clear record indicating if the applicant has been
convicted of any criminal offense or if there is any criminal
charge pending against the applicant, or a member or officer of the
brokerage business, at the time of application.
(b) Is at least eighteen years of age.
(c) Is a high school graduate or the holder of an equivalency
diploma.
(d) Is trustworthy, of good moral character, and competent to
transact the business of a broker, associate broker or salesperson.
(e) Has paid the appropriate fee, if any, which must accompany
all applications for original license or renewal.
§30-40-12. Qualifications for broker's license.
(a) An applicant for a broker's license shall:
(1) Have served an apprenticeship as a licensed salesperson
for two years or shall produce evidence satisfactory to the
commission, in its sole discretion, of real estate experience equivalent to two years full-time experience as a licensed
salesperson;
(2) Submit satisfactory evidence of having completed the
required education course as provided for in section fourteen of
this article;
(3) Successfully pass the examination or examinations provided
by the commission.
(b) No broker's license shall be issued in the name of a
corporation, association or partnership except through one of its
members or officers.
(c) No broker's license shall be issued in the name of a
corporation, association or partnership unless each member or
officer, who will engage in the real estate business, obtains a
license as a real estate salesperson or associate broker.
§30-40-13. Qualifications for salesperson's license.
(a) An applicant for a salesperson's license shall:
(1) Submit satisfactory evidence of having completed the
required education course as provided in section fourteen of this
article.
(2) Successfully pass the examination or examinations provided
by the commission.
§30-40-14. Prelicense education.
(a) Applicants for a broker's license shall provide evidence satisfactory to the commission that he or she has completed at
least one hundred eighty clock-hours, equivalent to twelve college
semester credit hours, in a course or courses approved by the
commission: Provided, That an applicant for a broker's license who
holds a salesperson's license in this state shall only be required
to provide evidence that he or she has completed ninety clock-
hours, equivalent to six college semester hours, in a course or
courses approved by the commission.
(b) Applicants for a salesperson's license shall provide
evidence satisfactory to the commission that he or she has
completed ninety clock-hours, equivalent to six college semester
credit hours, in a course or courses approved by the commission.
(c) Any course required by subsection (a) or (b) of this
section, must have been completed during the five-year period
preceding the date of application in order to be accepted by the
commission.
§30-40-15. Licensing nonresidents.
(a) The commission may recognize a valid license issued by
another jurisdiction as satisfactorily qualifying a nonresident
person to obtain a comparable license in this state: Provided,
That the nonresident has qualified for original license in his or
her jurisdiction of residence by examination and by complying with
all the provisions for obtaining an original license in that jurisdiction, and the jurisdiction affords the same privilege to
licensees of this state.
(b) In order to obtain a license in this state, a nonresident
applicant must:
(1) Submit the appropriate application and fee, if any;
(2) Sign a statement that the applicant has read the real
estate license law and rules of this state and agrees to abide by
those provisions in all brokerage activity conducted in this state;
(3) Cause the real estate licensing body of the applicant's
resident jurisdiction to furnish a certification of licensure which
shall contain a clear record of any disciplinary actions;
(4) Cause the real estate licensing body of any other
jurisdiction where the applicant currently holds or has held a real
estate license to furnish a certification of licensure which shall
contain a clear record of any disciplinary actions;
(5) File with the commission an irrevocable written
designation that appoints the executive director of the commission
to act as the nonresident licensee's agent, upon whom all judicial
and other process or legal notices directed to the licensee may be
served. The designation must stipulate and agree that service upon
the executive director is equivalent to personal service upon the
licensee. A copy of the designation of appointment, certified by
the seal of the commission, may be admitted into evidence with the same force and affect as the original. The executive director
shall mail a copy of any process or legal notice immediately upon
receipt, by certified mail, to the last known business address of
the licensee. No judgment by default may be taken in any action or
proceeding until after thirty days of mailing, and then only upon
certification by the executive director that a copy of the
judicial, other process or legal notice was mailed as required; and
(6) File with the commission, a bond in the penalty of two
thousand dollars if the applicant wishes to maintain an active
license in this state. The bond must be issued by a recognized
surety, and must be for the benefit of and to indemnify any person
in this state who may have a cause of action against the principal.
§30-40-16. Continuing professional education.
(a) Every licensee shall complete seven hours of continuing
professional education for each fiscal year, with each hour
equaling fifty minutes of instruction.
(b) Upon application for the renewal of a real estate license
on active status, each licensee must furnish satisfactory evidence,
as established by the commission, that he or she has completed
seven hours of approved continuing professional education, during
the term of the previous license: Provided, That if the commission
issues a license certificate for a period of more than one fiscal
year, each licensee must furnish satisfactory evidence that he or she has completed the equivalent of seven hours of continuing
professional education for each year covered by the term of the
previous license.
(c) When a licensee in an inactive status makes application to
revert to an active status, he or she must furnish satisfactory
evidence to the commission that he or she has completed the
approved continuing professional education that would have been
required for active status, at the time the license was renewed.
(d) Approval from the commission shall be obtained by each
provider and instructor, and for any course prior to any
advertising or offering of the course.
(e) Real estate related continuing education courses provided
by or approved by the real estate appraiser licensing and
certification board, the department of highways, the West Virginia
state bar, or other agency of this state, shall be recognized as
approved by the commission.
(f) If approved in advance by the commission, distance
education courses may be used to satisfy the continuing education
requirement.
(g) Any licensee holding a license on the first day of July,
one thousand nine hundred sixty-nine, and continuously thereafter,
shall be exempt from the continuing professional education
requirement.
§30-40-17. Place of business; branch offices; display of
certificates; custody of license certificates;
change of address; change of employer by a
salesperson or associate broker; license
certificates; term of license.
(a) Every person holding a broker's license under the
provisions of this article shall:
(1) Have and maintain a definite place of business within this
state, which shall be a room or rooms used for the transaction of
real estate business and any allied business. The definite place
of business shall be designated in the license certificate issued
by the commission, and the broker may not transact business at any
other location, unless such other location is properly licensed by
the commission as a branch office: Provided, That a nonresident
broker who maintains a definite place of business in his or her
jurisdiction of residence may not be required to maintain an office
in this state if said jurisdiction offers the same privilege to
licensed brokers of this state;
(2) Conspicuously display his or her broker's license in the
main office, and the license of each associate broker and
salesperson, employed by the broker, who is primarily working from
the main office;
(3) Conspicuously display his or her branch office license in each branch office, and the license of each associate broker and
salesperson, employed by the broker, who is primarily working from
each branch office;
(4) Make application to the commission before changing the
address of any office, or within ten days after any change;
(5) Maintain in his or her custody and control, the license of
each associate broker and salesperson employed by him or her; and
(6) Promptly return the license of any associate broker or
salesperson whose employment with the broker is terminated.
(b) Every person holding an associate broker's or
salesperson's license under the provisions of this article shall:
(1) Conduct real estate brokerage activities only under the
direct supervision and control of his or her employing broker,
which shall be designated in the license certificate;
(2) Promptly make application to the commission of any change
of employing broker: Provided, That it shall be unlawful to
perform any act contained in this article, either directly or
indirectly, after employment has been terminated, until the
associate broker or salesperson has made application to the
commission for a change of employing broker and the application is
approved.
(c) The commission shall issue a license certificate which
shall:
(1) Be in such form and size as shall be prescribed by the
commission;
(2) Be imprinted with the seal of the commission, and shall
contain such other information as the commission may prescribe:
Provided, That a salesperson's and an associate broker's license
shall show the name of the broker by whom he or she is employed;
(3) In the case of an active licensee, be mailed or delivered
to the broker's main office address;
(4) In the case of an inactive licensee, be held in the
commission office;
(5) Be valid for a period that coincides with the fiscal year
beginning on the first day of July and ending on the thirtieth day
of June, and may be issued for a period covering more than one
fiscal year at the discretion of the commission: Provided, That
nothing contained herein shall authorize any person to transact
real estate business prior to becoming properly licensed.
§30-40-18. Trust fund accounts.
(a) Every person licensed as a broker under the provisions of
this article who does not immediately deliver all funds received,
in relation to a real estate transaction, to his or her principal
or to a neutral escrow depository, shall maintain one or more trust
fund accounts in a recognized financial institution and shall place
all funds therein: Provided, That nothing contained herein shall require a broker to maintain a trust fund account if the broker
does not hold any money in trust for another party.
(b) Funds that must be deposited into a trust fund account
include, but are not limited to, earnest money deposits, security
deposits, rental receipts, auction proceeds and money held in
escrow at closing.
(c) Each trust fund account must be established at a financial
institution which is insured against loss by an agency of the
federal government, and the amount deposited therein cannot exceed
the amount that is insured against loss.
(d) Each trust fund account must provide for the withdrawal of
funds without notice.
(e) No trust fund account may earn interest or any other form
of income, unless specifically authorized by commission rule.
(f) The broker may not commingle his or her own funds with
trust funds and the account may not be pledged as collateral for a
loan or otherwise utilized by the broker in a manner that would
violate his or her fiduciary obligations in relation to the trust
funds: Provided, That nothing contained herein prevents the broker
from depositing a maximum of one hundred dollars of his or her own
money in the trust fund account to maintain a minimum balance in
the account.
(g) No financial institution, in which a trust fund account is established under the provisions of this article, shall require a
minimum balance in excess of the amount authorized in subsection
(f) of this section.
(h) The broker shall be the designated trustee of the account
and shall maintain complete authority and control over all aspects
of each trust fund account, including signature authority:
Provided, That only one other member or officer of a corporation,
association or partnership, who is licensed under the provisions of
this article, may be authorized to disburse funds from the account:
Provided, however, That if disbursements from a trust fund account
require two signatures, one additional member or officer may be a
signatory as hereinbefore provided.
(i) The broker shall, at a minimum, maintain records of all
funds deposited into the trust fund account, which shall clearly
indicate the date and from whom the money was received, date
deposited, date of withdrawal, to whom the money belongs, for whose
account the money was received and other pertinent information
concerning the transaction. All records shall be open to
inspection by the commission or its duly authorized representative
at all times during regular business hours at the broker's place of
business.
(j) The broker shall cause the financial institution wherein
a trust fund account is maintained, to execute a statement, prepared by the commission, which shall include, but is not limited
to:
(1) Exact title of the account as registered by the financial
institution;
(2) The account number of the trust fund account;
(3) Identification of all persons authorized to make
withdrawals from the account;
(4) Name and address of the financial institution;
(5) Title of the person executing the statement on behalf of
the financial institution;
(6) Date the statement was executed; and
(7) Certification that the financial institution will notify
the real estate commission if any checks drawn against the account
are returned for any cause.
(k) The broker shall execute a statement authorizing the
commission, or its duly authorized representative, to make periodic
inspections of the trust fund account and to obtain copies of
records from any financial institution wherein a trust fund account
is maintained. A copy of any authorization shall be accepted by
any financial institution with the same force and effect as the
original.
(l) The broker shall notify the commission, within ten days,
of the establishment of or any change to a trust fund account.
§30-40-19. Refusal, suspension or revocation of a license.
(a) The commission shall have full power to refuse a license
for reasonable cause or to revoke, suspend or impose any other
sanction against a licensee if the licensee:
(1) Obtains, renews or attempts to obtain or renew a license,
for himself, herself or another, through the submission of any
application or other writing that contains false, fraudulent or
misleading information;
(2) Makes any substantial misrepresentation;
(3) Makes any false promises or representations of a character
likely to influence, persuade or induce a person involved in a real
estate transaction;
(4) Pursues a course of misrepresentation or makes false
promises or representations through agents or any medium of
advertising or otherwise;
(5) Uses misleading or false advertising;
(6) Uses any trade name or insignia of membership in any
organization in which the licensee is not a member;
(7) Acts for more than one party in a transaction without the
knowledge and written consent of all parties for whom he or she
acts;
(8) Fails, within a reasonable time, to account for or to
remit moneys or other assets coming into his or her possession, which belong to others;
(9) Commingles moneys belonging to others with his or her own
funds;
(10) Advertises or displays a "for sale", "for rent" or other
such sign on any property without an agency relationship being
established or without the owner's knowledge and written consent;
(11) Advertises any property on terms other than those
authorized by the owner;
(12) Fails to disclose, on the notice of agency relationship
form promulgated by the commission, whether the licensee represents
the seller, buyer or both;
(13) Fails to voluntarily furnish copies of the notice of
agency relationship, listing contract, sale contract, lease
contract or any other contract, to each party executing the same;
(14) Pays or receives any rebate, profit, compensation,
commission or other valuable consideration, resulting from a real
estate transaction, to or from any person other than the licensee's
principal: Provided, That this subsection may not be construed to
prevent the sharing of compensation or other valuable consideration
between licensed brokers;
(15) Induces any person to a contract to break the contract
for the purpose of substituting a new contract with a third party;
(16) Accepts compensation as a salesperson or associate broker for any act specified in this article, from any person other than
his or her employer, who must be a broker;
(17) Pays compensation to any person for acts or services
performed either in violation of this article or the real estate
licensure laws of any other jurisdiction;
(18) Pays a compensation to any person knowing that they will
pay a portion or all of that which is received, in a manner that
would constitute a violation of this article if it were paid
directly by a licensee of this state;
(19) Violates any of the provisions of this article, any rule
or any order or final decision issued by the commission;
(20) Procures an attorney for any client or customer, or
solicits legal business for any attorney at law;
(21) Engages in the unlawful or unauthorized practice of law
as defined by the supreme court of appeals of West Virginia;
(22) Commits or is a party to any material fraud,
misrepresentation, concealment, conspiracy, collusion, trick,
scheme or other device whereby any other person relies upon the
word, representation or conduct of the licensee;
(23) Continues in the capacity of or accepts the services of
any broker, associate broker or salesperson who is not properly
licensed;
(24) Fails to disclose any information within his or her knowledge, or to produce any document, book or record in his or her
possession for inspection of and copying by the commission or its
duly authorized representatives;
(25) Accepts other than cash or its equivalent as earnest
money or other deposit unless this fact is disclosed in the
contract to which the deposit relates;
(26) Accepts, takes, or charges any undisclosed compensation
on expenditures made by or on behalf of the licensee's principal;
(27) Discriminates against any person involved in a real
estate transaction which is in violation of any federal or state
antidiscrimination law, including any fair housing law;
(28) Fails to preserve for five years following its
consummation, records relating to any real estate transaction;
(29) Fails to maintain adequate records on the broker's "trust
fund account";
(30) In the case of a broker, fails to adequately supervise
all associate brokers and salespersons employed by him or her;
(31) Breaches a fiduciary duty owed by a licensee to his or
her principal in a real estate transaction;
(32) Directs any party to a real estate transaction in which
the licensee is involved, to any lending institution for financing
with the expectation of receiving a financial incentive, rebate or
other compensation, without first obtaining from his or her principal the signed acknowledgment of and consent to the receipt
of the financial incentive, rebate or other compensation;
(33) Represents to any lending institution, or other
interested party either verbally or through the preparation of
false documents, an amount in excess of the true and actual sale
price of the real estate or terms differing from those actually
agreed upon;
(34) Fails to disclose to an owner the licensee's true
position if he or she directly or indirectly through a third party,
purchases for himself or herself or acquires or intends to acquire
any interest in or any option to purchase the property;
(35) Lends a broker's license to any person, including a
salesperson, or permits a salesperson to operate as a broker;
(36) Has been convicted in a court of competent jurisdiction
in this or any other jurisdiction of forgery, embezzlement,
obtaining money under false pretense, bribery, larceny, extortion,
conspiracy to defraud, any other similar offense, a crime involving
moral turpitude, or a felony;
(37) Engages in any act or conduct which constitutes or
demonstrates bad faith, incompetency or untrustworthiness, or
dishonest, fraudulent or improper dealing;
(38) Induces any person to alter, modify, or change another
licensee's fee or commission for brokerage services, without that licensee's prior written consent;
(39) Negotiates a real estate transaction directly with any
person that is represented exclusively by another broker, unless
the conduct is specifically authorized by the other broker;
(40) Obtains, negotiates or attempts to obtain or negotiate a
contract whereby the broker is entitled to a commission only to the
extent that the sales price exceeds a given amount, commonly
referred to as a net listing;
(41) Fails or refuses, on demand, to furnish copies of a
document to a person whose signature is affixed to the document;
(42) In the case of an associate broker or salesperson,
represents or attempts to represent a broker other than his or her
employing broker;
(43) Fails to reduce a bona fide offer to writing;
(44) Guarantees, or authorizes or permits another licensee to
guarantee, future profits which may result from a real estate
transaction;
(45) Is disciplined by another jurisdiction if at least one of
the grounds for that discipline is the same as or equivalent to one
of the grounds for discipline in this article; or
(46) Engages in any other act or omission in violation of
professional conduct requirements of licensees established by
legislative rule of the commission.
(b) The provisions of this section shall be liberally
construed in order to carry out the objectives and purposes of this
article.
(c) As used in this section:
(1) The words "convicted in a court of competent jurisdiction"
mean a plea of guilty or nolo contendere entered by a person or a
verdict of guilt returned against a person at the conclusion of a
trial;
(2) A certified copy of a conviction order entered in a court
is sufficient evidence to demonstrate a person has been convicted
in a court of competent jurisdiction.
(d) Every person licensed by the commission has an affirmative
duty to report, in a timely manner, any known or observed violation
of this article or the rules, orders or final decisions of the
commission.
(e) The revocation of a broker's license shall automatically
suspend the license of every associate broker and salesperson
employed by the broker: Provided, That the commission shall issue
a replacement license for any licensee so affected, to a new
employing broker, without charge, if a proper application is
submitted to the commission during the same license term.
(f) A licensee whose license has been revoked shall be
ineligible to apply for a new license until after the expiration of two years from the date of revocation.
§30-40-20. Complaints; investigation.
(a) The commission may upon its own motion and shall upon the
verified complaint in writing of any person filing a complaint
setting forth a cause of action under this article or the rules
promulgated thereunder, ascertain the facts and if warranted hold
a hearing for the suspension or revocation of a license, or the
imposition of sanctions against a licensee.
(b) The commission shall consider complaints which are
submitted in writing and set forth the details of the transaction;
(c) Upon initiation or receipt of the complaint, the
commission shall provide a copy of the complaint to the licensee
for his or her response to the allegations contained in the
complaint. The accused party shall file an answer within twenty
days of the date of service. Failure of the licensee to file a
timely response may be considered an admission of the allegations
in the compliant: Provided, That nothing contained herein shall
prohibit the accused party from obtaining an extension of time to
file a response, if the commission, its executive director or other
authorized representative permits the extension.
(d) The commission may cause an investigation to be made into
the facts and circumstances giving rise to the complaint, and any
person licensed by the commission has an affirmative duty to assist the commission, or its authorized representative, in the conduct of
its investigation.
(e) After receiving the licensee's response and reviewing any
information obtained through investigation, the commission shall
determine if probable cause exists that the licensee has violated
any provision of this article or the rules.
(f) If a determination that probable cause exists for
disciplinary action, the commission may hold a hearing in
compliance with section twenty-one of this article, or may dispose
of the matter informally through a consent agreement or otherwise.
§30-40-21. Hearings; judicial review; cost of proceedings.
(a) Hearings shall be conducted in accordance with the
provisions of article five, chapter twenty-nine-a of this code and
the commission's rules.
(b) Hearings shall be held at a time and place determined by
the commission, but in no event less than thirty days after the
notice of hearing is given.
(c) Any member has the authority to administer oaths and to
examine any person under oath.
(d) If, after hearing, the commission determines the licensee
has violated any provision of this article, or the commission's
rules, a formal decision shall be prepared which contains findings
of fact, conclusions of law, and specifically lists the disciplinary actions imposed.
(e) The commission may elect to have an administrative law
judge or hearing examiner conduct the hearing. If the commission
makes this election, the administrative law judge or hearing
examiner, at the conclusion of a hearing, shall prepare a proposed
order which shall contain findings of fact and conclusions of law.
The commission may request that disciplinary actions imposed be a
part of the proposed order, or may reserve this obligation for its
consideration. The commission may accept, reject or modify the
decision of the administrative law judge or hearing examiner.
(f) Any person adversely affected by any decision or final
order made by the commission, after a hearing, is entitled to
judicial review by the circuit court of the county where the
hearing was held.
(g) In addition to any other sanction imposed, the commission
may require a licensee to pay the costs of the proceeding.
§30-40-22. Penalties for violations.
(a) Any person violating a provision of this article or the
commission's rules, is guilty of a misdemeanor. Any person
convicted of a first violation shall be fined not less than one
thousand dollars nor more than two thousand dollars, or confined in
the county or regional jail not more than ninety days, or both
fined and imprisoned;
(b) Any person convicted of a second or subsequent violation
shall be fined not less than two thousand dollars nor more than
five thousand dollars, or confined in the county or regional jail
for a term not to exceed one year, or both fined and imprisoned;
(c) Any corporation, association or partnership convicted of
a first violation of this article or the commission's rules, shall
be fined not less than two thousand dollars nor more than five
thousand dollars;
(d) Any corporation, association or partnership convicted of
a second or subsequent violation, shall be fined not less than five
thousand dollars nor more than ten thousand dollars;
(e) Any officer, member, employee or agent of a corporation,
association or partnership, shall be subject to the penalties
herein prescribed for individuals;
(f) Each and every day a violation of this article continues
shall constitute a separate offense.
(g) In addition to the penalties herein provided, if any
person receives compensation for acts or services performed in
violation of this article, he or she shall also be subject to a
penalty of not less than the value of the compensation received nor
more than three times the value of the compensation received, as
may be determined by a court of competent jurisdiction. Any
penalty may be recovered by a person aggrieved as a result of a violation of this article.
§30-40-23. Single act evidence of practice.
One act by any person in consideration of receiving
compensation, or with the expectation or intention of receiving
such compensation, or upon the promise of receiving compensation,
for any act or service contained in this article, shall constitute
and consider the person a broker, associate broker or salesperson
subject to the provisions of this article.
§30-40-24. Injunctions; criminal proceedings.
(a) Whenever the commission or other interested person
believes that any person has engaged, is engaging or is about to
engage in any act that constitutes a violation of this article, the
commission or other interested person may make application to any
court of competent jurisdiction for an order enjoining the acts or
services. Upon a showing that the person has engaged in or is
about to engage in any act which violates this article, an
injunction, restraining order, or another appropriate order may be
granted by the court without bond.
(b) Whenever the commission, its executive director, or its
authorized representative has reason to believe that any person has
knowingly violated a provision of this article, the commission or
its authorized representative may bring its information to the
prosecuting attorney in the county where the violation has occurred who shall cause appropriate criminal proceedings to be brought.
(c) Whenever any other interested person has reason to believe
that any person has knowingly violated a provision of this article,
such person may bring its information to the attention of the
appropriate law-enforcement officer who may cause an investigation
to be made in order for appropriate criminal proceedings to be
brought.
§30-40-25. Collection of compensation.
No person may bring or maintain any action in any court of
this state for the recovery of compensation for the performance of
any act or service for which a broker's license is required,
without alleging and proving that he or she was the holder of a
valid broker's license at all times during the performance or
rendering of any act or service: Provided, That an associate
broker or salesperson shall have the right to institute suit in his
or her own name for the recovery of compensation from his or her
employing broker for acts or services performed while in the employ
of said employing broker.
§30-40-26. Duties of licensees.
Every broker, associate broker and salesperson owes certain
inherent duties to the consumer which are required by virtue of the
commission granting a license under this article. The duties
include, but are not limited to:
(a) At the time of securing any contract whereby the broker is
obligated to represent a principal to a real estate transaction,
every licensee shall supply a true legible copy of the contract to
each person signing the contract.
(b) Any contract in which a broker is obligated to represent
a principal to a real estate transaction shall contain a definite
expiration date, and no provision may be included in any contract
whereby the principal is required to notify the broker of his or
her intention to cancel the contract after the definite expiration
date.
(c) No provision may be inserted in any contract for
representation that would obligate the person signing the contract
to pay a fee, commission or other valuable consideration to the
broker, after the contract's expiration date, if the person
subsequently enters into a contract for representation with a
different broker.
(d) Every licensee shall disclose in writing, on the notice of
agency relationship form promulgated by the commission, whether the
licensee represents the seller, the buyer, or both. The disclosure
shall be made prior to any person signing any contract for
representation by a licensee or a contract for the sale or purchase
of real estate.
(e) Every licensee shall promptly deliver to his or her principal, every written offer received.
(f) Every licensee shall make certain that all the terms and
conditions of a real estate transaction are contained in any
contract prepared by the licensee.
(g) At the time of securing the signature of any party to a
contract, the licensee shall deliver a true copy of the contract to
the person whose signature was obtained.
(h) Upon the final acceptance or ratification of any contract,
the licensee shall promptly deliver a true copy to each party that
has signed the contract.
§30-40-27. Duration of existing licenses.
Any valid license issued by the commission to a broker,
associate broker or salesperson pursuant to the provisions of
article twelve, chapter forty-seven of this code prior to the
effective date of this article shall continue to be valid until the
thirtieth day of June, two thousand two.
§30-40-28. Continuation of commission.
The real estate commission shall continue to exist until the
first day of July, two thousand four, pursuant to the provisions of
article ten, chapter four of this code, unless sooner terminated,
continued or reestablished pursuant to the provisions of that
article.
§47-30 is new; therefore, strike-throughs and underscoring
have been omitted.
§47-12 has been repealed, and its provisions have been
rewritten and moved into chapter thirty of the code; therefore,
strike-throughs and underscoring have been omitted.