North Dakota Code § 6-13-05

Submission to commissioner
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1. Upon request of the commissioner, a financial institution must submit a compliance 
self-critical analysis audit document to the commissioner, or the commissioner's 
designee, as a confidential document under the provisions of section 6 -01-07, without 
waiving the privilege set forth in this chapter to which the financial institution would 
otherwise be entitled. However, the provisions of section 6 -01-07 permitting the 
commissioner to release confidential documents and make them accessible to federal 
financial institution regulatory agencies does not apply to the compliance self -critical 
analysis audit documents voluntarily submitted. To the extent the commissioner has 
the authority to compel the disclosure of a compliance self -critical analysis audit 
document under other provisions of applicable law, any report furnished to the 
commissioner may not be provided to any other person or entity and must be 
accorded the same confidentiality and other protections as provided above for 
voluntarily submitted documents. Any use of a compliance self -critical analysis audit 
document furnished as a result of a request of the commissioner, whether under a 
claim of authority to compel disclosure or not, is limited to determining whether any 
disclosed defects in a financial institution's policies or procedures or inappropriate 
treatment of customers has been remedied or that an appropriate plan for their remedy 
is in place. The commissioner may not impose any type of administrative fine or 
penalty as to any area addressed or matter covered in a compliance self -critical 
analysis audit document furnished at the commissioner's request, except when there is 
clear and convincing evidence that the financial institution failed to undertake 
reasonable corrective action, eliminate inappropriate treatment of customers, or failed 
to implement an appropriate plan to rectify any noncompliance with state and federal 
statutes, rules, and orders.
2. A financial institution's compliance self -critical analysis audit document submitted to 
the commissioner remains subject to all applicable statutory or common-law privileges, 
including the work product doctrine, attorney -client privilege, or the subsequent 
remedial measures exclusion. A compliance self -critical analysis audit document 
submitted to and in the possession of the commissioner remains the property of the 
financial institution and is not subject to any disclosure or production under section 
44-04-18.
3. Disclosure of a compliance self -critical analysis audit document to a governmental 
agency, whether voluntary or pursuant to compulsion of law, does not constitute a 
waiver of the privilege with respect to any other person or any other governmental 
agency.

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