Maine Code § 32-13067-A

Denial or refusal to renew license; disciplinary action
Open in Lexace · Ask the AI about this section
In addition to the grounds enumerated in Title 10, section 8003, subsection 5-A, paragraph A, the
commission may deny a license, refuse to renew a license or impose the disciplinary sanctions
authorized by Title 10, section 8003, subsection 5-A for: [PL 2007, c. 402, Pt. BB, §12 (NEW).]
1. Lack of trustworthiness. Lack of trustworthiness and competence to transact real estate
brokerage services in such manner as to safeguard the interests of the public;
[PL 2007, c. 402, Pt. BB, §12 (NEW).]
2. Misconduct. Any act or conduct, whether of the same or different character than specified in
this chapter, that constitutes or demonstrates bad faith, incompetency, untrustworthiness or dishonest,
fraudulent or improper dealings;
[PL 2007, c. 402, Pt. BB, §12 (NEW).]
3. Act that constitutes grounds for denial. Performing or attempting to perform any act or acts
for which a license may lawfully be denied to any applicant;
[PL 2007, c. 402, Pt. BB, §12 (NEW).]
4. Substantial misrepresentation. Making any substantial misrepresentation by omission or
commission, but not including innocent misrepresentation;
[PL 2007, c. 402, Pt. BB, §12 (NEW).]
5. Failure to protect principal. Failing to act in a reasonably prudent manner in order to protect
and promote the interests of the principal with absolute fidelity;
[PL 2007, c. 402, Pt. BB, §12 (NEW).]
6. Failure to avoid error, exaggeration or concealment. Failing to act in a reasonably prudent
manner in order to avoid error, exaggeration or concealment of pertinent information;
[PL 2007, c. 402, Pt. BB, §12 (NEW).]
7. Liability of agency and designated broker. Violation of this chapter by a licensed or
unlicensed person acting on the agency's behalf if:
A. The designated broker had prior knowledge and did not take reasonable action to prevent the
violation; [PL 2007, c. 402, Pt. BB, §12 (NEW).]
B. The designated broker permitted or authorized a person to engage in activity for which that
person was not properly licensed; or [PL 2007, c. 402, Pt. BB, §12 (NEW).]
C. The designated broker failed to exercise a reasonable degree of supervision over employees and
independent contractors commensurate with their qualifications and experience; [PL 2007, c.
402, Pt. BB, §12 (NEW).]
[PL 2007, c. 402, Pt. BB, §12 (NEW).]
8. Unlawful payment. Offering, promising, allowing, giving or paying, directly or indirectly, any
part or share of compensation arising or accruing from a real estate brokerage transaction to any person
who is not licensed to perform the service for which the person is or would be compensated, if a license
is required under this chapter for performance of that service. A licensee may not be employed by or
accept brokerage compensation from any person other than the agency under which the licensee is at

the time licensed. An agency may share compensation with a nonresident licensee when the service by
the nonresident is performed outside this State;
[PL 2007, c. 402, Pt. BB, §12 (NEW).]
9. Suspension or revocation of license. Having had a professional or occupational license
application rejected for reasons related to untrustworthiness within 3 years prior to the date of
application or had a professional or occupational license suspended or revoked for disciplinary reasons;
and
[PL 2017, c. 210, Pt. F, §1 (AMD).]
10. Failure to meet professional qualifications; failure to submit complete application. Failing
to meet the professional qualifications for licensure as provided in this subchapter or failing to submit
a complete application within 30 days after being notified of the materials needed to complete the
application.
[PL 2007, c. 402, Pt. BB, §12 (NEW).]

‹ Prev All Maine sections Next ›


Lexace provides legal information, not legal advice, and no attorney–client relationship is created. Statute text is provided for general information and may not reflect the most recent amendments; verify against the official state code.