(1) A person applying for a money transmitter license under this
chapter shall do so in a form and in a medium prescribed in rule
by the director. The application must state or contain:
(a) The legal name, business addresses, and residential
address, if applicable, of the applicant and any fictitious or
trade name used by the applicant in conducting its business;
(b) The legal name, residential and business addresses, date
of birth, social security number, employment history for the
five-year period preceding the submission of the application of
the applicant's proposed responsible individual, and
documentation that the proposed responsible individual is a
citizen of the United States or has obtained legal immigration
status to work in the United States. In addition, the applicant
shall provide the fingerprints of the proposed responsible
individual upon the request of the director;
(c) For the ten-year period preceding submission of the
application, a list of any criminal convictions of the proposed
responsible individual of the applicant, any material litigation
in which the applicant has been involved, and any litigation
involving the proposed responsible individual relating to the
provision of money services;
(d) A description of any money services previously provided
by the applicant and the money services that the applicant seeks
to provide in this state;
(e) A list of the applicant's proposed authorized delegates
and the locations in this state where the applicant and its
authorized delegates propose to engage in the provision of money
services;
(f) A list of other states in which the applicant is
licensed to engage in money transmission, or provide other money
services, and any license revocations, suspensions, restrictions,
or other disciplinary action taken against the applicant in
another state;
(g) A list of any license revocations, suspensions,
restrictions, or other disciplinary action taken against any
money services business involving the proposed responsible
individual;
(h) Information concerning any bankruptcy or receivership
proceedings involving or affecting the applicant or the proposed
responsible individual;
(i) A sample form of contract for authorized delegates, if
applicable;
(j) A description of the source of money and credit to be
used by the applicant to provide money services; and
(k) Any other information regarding the background,
experience, character, financial responsibility, and general
fitness of the applicant, the applicant's responsible individual,
or authorized delegates that the director may require in rule.
(2) If an applicant is a corporation, limited liability
company, partnership, or other entity, the applicant shall also
provide:
(a) The date of the applicant's incorporation or formation
and state or country of incorporation or formation;
(b) If applicable, a certificate of good standing from the
state or country in which the applicant is incorporated or
formed;
(c) A brief description of the structure or organization of
the applicant, including any parent or subsidiary of the
applicant, and whether any parent or subsidiary is publicly
traded;
(d) The legal name, any fictitious or trade name, all
business and residential addresses, date of birth, social
security number, and employment history in the ten-year period
preceding the submission of the application for each executive
officer, board director, or person that has control of the
applicant;
(e) If the applicant or its corporate parent is not a
publicly traded entity, the director may request the fingerprints
of each executive officer, board director, or person that has
control of the applicant;
(f) A list of any criminal convictions, material litigation,
and any litigation related to the provision of money services, in
the ten-year period preceding the submission of the application
in which any executive officer, board director, or person in
control of the applicant has been involved;
(g) A copy of the applicant's audited financial statements
for the most recent fiscal year or, if the applicant is a wholly
owned subsidiary of another corporation, the most recent audited
consolidated annual financial statement of the parent corporation
or the applicant's most recent audited consolidated annual
financial statement, and in each case, if available, for the
two-year period preceding the submission of the application;
(h) A copy of the applicant's unconsolidated financial
statements for the current fiscal year, whether audited or not,
and, if available, for the two-year period preceding the
submission of the application;
(i) If the applicant is publicly traded, a copy of the most
recent report filed with the United States securities and
exchange commission under section 13 of the federal Securities
Exchange Act of 1934 (15 U.S.C. Sec. 78m);
(j) If the applicant is a wholly owned subsidiary of:
(i) A corporation publicly traded in the United States, a
copy of audited financial statements for the parent corporation
for the most recent fiscal year or a copy of the parent
corporation's most recent report filed under section 13 of the
federal Securities Exchange Act of 1934 (15 U.S.C. Sec. 78m); or
(ii) A corporation publicly traded outside the United
States, a copy of similar documentation filed with the regulator
of the parent corporation's domicile outside the United States;
(k) If the applicant has a registered agent in this state,
the name and address of the applicant's registered agent in this
state; and
(l) Any other information that the director may require in
rule regarding the applicant, each executive officer, or each
board director to determine the applicant's background,
experience, character, financial responsibility, and general
fitness.
(3) A nonrefundable application fee and an initial license
fee, as determined in rule by the director, must accompany an
application for a license under this chapter. The initial
license fee must be refunded if the application is denied.
(4) The director may waive one or more requirements of
subsection (1) or (2) of this section or permit an applicant to
submit other information in lieu of the required information.
[2003 c 287 § 6.]