Chapter 8A — CONTINUING EDUCATION REQUIREMENTS.
- Section 27-8A-1 Continuing education requirements for insurance producers or service representatives.
- Section 27-8A-2 Failure to comply; extensions.
- Section 27-8A-3 Qualification of courses and programs.
- Section 27-8A-4 Advisory committee generally.
- Section 27-8A-5 Qualification for teaching approved course or seminar.
- Section 27-8A-6 Certification of compliance.
- Section 27-8A-7 Written certification as to successfully completed courses, programs, or seminars.
- Section 27-8A-8 Filing of false statement; revocation of license.
- Section 27-8A-9 Collection of fees; deposit in State Treasury.
- Section 27-8A-10 Insurance Agents and Brokers Continuing Education Fund - Creation; disbursements; carry over of unexpended balances.
- Section 27-8A-11 Application of fees paid by course providers prior to April 23, 1996; credit for courses completed within one year prior to April 23, 1996.
- Section 27-8A-12 Compliance forms not required for at least three months from April 23, 1996.
- Section 27-8A-13 Background investigations for license applicants.