Board responsibilities.

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  • (1) The board shall:
    • (a) meet:
      • (i) at least quarterly; and
      • (ii) at the call of the chair;
    • (b) make written recommendations to the commissioner for rules governing the following aspects of the bail bond insurance business:
      • (i) qualifications, applications, and fees for obtaining:
        • (A) a license required by this Section 31A-35-401; or
        • (B) a certificate;
      • (ii) limits on the aggregate amounts of bail bonds;
      • (iii) unprofessional conduct;
      • (iv) procedures for hearing and resolving allegations of unprofessional conduct; and
      • (v) sanctions for unprofessional conduct;
    • (c) screen:
      • (i) bail bond agency license applications; and
      • (ii) persons applying for a bail bond agency license; and
    • (d) recommend to the commissioner action regarding the granting, renewing, suspending, revoking, and reinstating of bail bond agency license.
  • (2) The board may:
    • (a) conduct investigations of allegations of unprofessional conduct on the part of persons or bail bond agencies involved in the business of bail bond insurance; and
    • (b) provide the results of the investigations described in Subsection (2)(a) to the commissioner with recommendations for:
      • (i) action; and
      • (ii) any appropriate sanctions.




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