(1) A surplus line
broker doing business under any name other than the surplus line
broker's legal name is required to register the name in
accordance with chapter 19.80 RCW and notify the commissioner
before using the assumed name.
(2) Every licensed surplus line broker shall have and
maintain in this state, or, if a nonresident surplus line broker,
in this state or in the state of the licensee's domicile, a place
of business accessible to the public. The place of business is
where the surplus line broker principally conducts transactions
under that person's license. A licensee maintaining more than
one place of business in this state shall obtain a duplicate
license or licenses for each additional place, and shall pay the
full fee therefor.
(3) Any notice, order, or written communication from the
commissioner to a person licensed under this chapter which
directly affects the person's license shall be sent by mail to
the person's last address of record with the commissioner.
(4) The license or licenses of each surplus line broker
shall be displayed in a conspicuous place in that part of the
place of business which is customarily open to the public.
(5) If a surplus line broker is dealing directly with the
insured in any capacity, the surplus line broker must comply with
the disclosure requirements contained in RCW 48.17.270.
(6) Every surplus line broker or other person licensed under
this chapter shall promptly reply in writing to an inquiry of the
commissioner relative to the business of insurance. A timely
response is one that is received by the commissioner within
fifteen business days from receipt of the inquiry. Failure to
make a timely response constitutes a violation of this section.
(7) A surplus line broker shall report to the commissioner
any administrative action taken against the surplus line broker
in another jurisdiction or by another governmental agency in this
state within thirty days of the final disposition of the matter.
This report must include a copy of the order, consent to order,
or other relevant legal documents.
(8) Within thirty days of the initial pretrial hearing date,
a surplus line broker shall report to the commissioner any
criminal prosecution of the surplus line broker taken in any
jurisdiction. The report must include a copy of the initial
complaint filed, the order resulting from the hearing, and any
other relevant legal documents.
[2009 c 162 § 6.]
NOTES:
Effective date -- 2009 c 162: See note following RCW 48.03.020.