Alaska Administrative Code
Title 3 - Commerce, Community, and Economic Development
Part 2 - Division of Insurance
Chapter 23 - Producers, Managing General Agents, Surplus Lines Brokers, Reinsurance Intermediary Managers, Reinsurance Intermediary Brokers, Third Party Administrators, and Independent Adjusters
Article 4 - Fiduciary Responsibilities of Licensees
3 AAC 23.710 - Responsible persons in firm
Universal Citation: 3 AK Admin Code 23.710
Current through February 24, 2025
(a) The individual designated as compliance officer of a firm under AS 21.27.020(c)(3) is the person responsible for the firm's
(1)
compliance with the insurance statutes and regulations of this state;
(2) maintenance of adequate records;
and
(3) proper handling of all
money received by the firm in a fiduciary capacity.
(b) Repealed 3/30/2003.
(c) Repealed 3/30/2003.
(d) Repealed 3/30/2003.
As of Register 183 (October 2007), the regulations attorney made a technical revision under AS 44.62.125(b)(6) to 3 AAC 23.710(a).
Authority:AS 21.06.090
AS 21.27.020
AS 21.27.140
AS 21.27.350
Disclaimer: These regulations may not be the most recent version. Alaska may have more current or accurate information. We make no warranties or guarantees about the accuracy, completeness, or adequacy of the information contained on this site or the information linked to on the state site. Please check official sources.
This site is protected by reCAPTCHA and the Google
Privacy Policy and
Terms of Service apply.