Current through P.L. 171-2024
Section 23-2.5-7-6 - Annual loan broker office compliance examinations(a) A manager shall complete at least one (1) compliance examination per year of each loan broker office for which the manager is the supervisor designated under section 4 of this chapter.(b) A loan broker shall maintain complete documentation of each examination conducted by a manager under subsection (a):(1) at the principal place of business; and(2) for a minimum of five (5) years after the calendar year in which the examination is completed.Amended by P.L. 89-2024,SEC. 23, eff. 7/1/2024.Added by P.L. 175-2019,SEC. 2, eff. 7/1/2019.