Arkansas Administrative Code
Agency 054 - Arkansas Insurance Department
Rule 054.00.98-002 - Rule and Regulation 50 - "Agents Continuing Education" and Rule and Regulation 68 - "Limited Adjusters' Licenses"

Universal Citation: AR Admin Rules 054.00.98-002

Current through Register Vol. 49, No. 2, February 2024

SECTION 1. PURPOSE

The purpose of this Rule and Regulation is to establish requirements and standards for continuing education for natural persons licensed as insurance agents or brokers by the Commissioner.

SECTION 2. AUTHORITY

This Rule is issued under the authority vested in the Commissioner of insurance ("Commissioner") by Ark. Code Ann. Section 23-64-304(a), as amended by Act 1004 of 1997.

SECTION 3. EFFECTIVE DATE AND APPLICABILITY

This Rule and Regulation shall be effective April 15, 1998 and shall be applicable to those persons licensed to act as an insurance agent or broker, who must comply with Ark. Code Ann. §§ 23-64-301, et seq., on and after July 1, 1998, for the sale of the following types of Insurance:

A. Life and disability insurance.

B. Property and casualty Insurance. *

C. All lines of Insurance for which an examination is required for licensing.

SECTION 4. EXEMPTIONS

A. This Rule and Regulation shall not apply to the following individuals:
1. Persons holding licenses for which an examination is not required.

2. Adjusters and limited adjusters and consultants.

3. Any limited or restricted license the Commissioner may exempt.

4. Any person who is at least sixty (60) years of age.

5. Any person who has held a license as an agent, solicitor, consultant or broker for a period of at least fifteen (15) consecutive years.

6. Third-party administrators who do not solicit business.

7. Non-resident agents, non-resident consultants or brokers.

B. All persons requesting exemption from compliance under Subsection (A)(4) and (5) only shall complete and file with the License Division of the Arkansas Insurance Department the form as found in Appendix F. . ^

C. Newly licensed agents and brokers during the calendar year In which the applicant first received an Arkansas license shall not be required to comply with continuing education requirements; continuing education requirements shall be due on the licensee's birthday in the first annual period after first renewal of the license (i.e. one year from first renewal of the license).

SECTION 5. EDUCATIONAL REQUIREMENTS

A. Effective July 1, 1998, any non-exempt persons licensed as agents or brokers shall, before each annual period on their birthday, complete those courses of Instruction approved by the Commissioner and equivalent to the following:
1. A total of eight (8) hours of instruction for a life and disability license or life or disability licenses.

2. A total of eight (8) hours of instruction for a property and/or casualty license.

3. A total of ten (10) hours of instruction for those other persons holding dual licenses for life and/or disability and property and/or casualty.

B. Subject to submission and approval of the Commissioner, the courses or programs of instruction successfully completed which shall be deemed to meet the Commissioner's standards for continuing education requirements are:
1. Any part of the Life Under/writing Training Council Life Courses Curriculum and Health Courses.

2. Any part of the American College "CLU" diploma curriculum.

3. Any part of the Insurance Institute of America's Program in general insurance.

4. Any part of the American Institute for Property and Liability Under/writers' chartered Property Casualty Underwriter (CPCU) professional designated program.

5. Any part of the Certified Insurance Counselor Program.

6. Any course offered by Certified Health Consultant (CMC).

7. Any course offered by Registered Health Consultant.

8. Any insurance related course approved by the Commissioner and offered by an accredited college or university.

9. Any course or program of instruction, seminar, or meeting sponsored by any authorized Insurer, recognized agents' association or insurance trade association or any independent program of Instruction.

10. Any correspondence course, subject to the following:
i. All correspondence courses must have a sealed and numbered written examination which measures the licensee's knowledge of the Information. Course providers may also add oral or electronic correspondence courses, with oral or electronic examinations.

ii. All correspondence course examinations must be proctored.

iii. Proctors must provide an affidavit attesting under oath that the examination was proctored, that the examination was provided in a manner specified by the correspondence course provider, and that they are not part of or aware of any efforts to circumvent the requirements of the examination, as provided In Appendix G.

iv. Appendix G must accompany the licensee's completed Certificate, Appendix E. Correspondence course providers shall maintain all records on proctors and proctored examinations.

v. A proctor must be registered annually with and be acceptable to the Commissioner. Proctors may notserver for examinations of: family members or relatives or dependents, employers or supervisors, employees or subordinates, partners or joint "venturers or co-owners, current or former teachers or pupils, neighbors or personal friends or significant others, or for anyone in whom the proctor has an economic or other Interest in assuring the successful outcome of the examination.

vi. Course providers' filings must explain how correspondence course exams will not be duplicated for any two (2) test takers.

vii. Correspondence coures approved and subsequently purchased by the agent or broker, prior to the re-adoption date of this Rule, shall not be governed by this Rule; however course providers must contact the License Division to reconfirm credit hours.

11. Any other course or program approved by the Commissioner.

C. The Commissioner shall assign the number of continuing education hours for which approved courses qualify.

SECTION 6. COURSE PROVIDER APPROVAL

A. Application for approval as a provider shall be submitted to the License Division of the Arkansas Insurance Department not less than sixty (60) days prior to the expected use of the program. A provider shall Include the following information in duplicate:
1. Detailed description of the subject of the program or course including a course outline, list of any resource materials, and list of speakers or instructors or proctors.

2. Completion of Appendices A and B and D for the initial certification, and completion of Appendices C and D upon any change in curriculum or instructor.

3. Schedules of classes, seminars and meetings for all locations.

B. Changes in schedules are to be filed with the Insurance Department no later than two (2) weeks before such program or course is offered.

SECTION 7. INSTRUCTOR QUALIFICATIONS

A. A person teaching any approved course of instruction or lecturing at any approved seminar or meeting shall qualify for the same number of educational hours for that course as would be granted to a person taking and successfully completing such course, seminar or program.

B. Instructors must have had specific insurance training or educational experiences satisfactory and approved by the State Insurance Commissioner in order to be certified to teach any part of any approved course. Each instructor must have five (5) or more years of specific insurance * experience and/or education related to and in each part of the insurance training program in which he instructs and must be approved prior to teaching any course, or any part of a course, by the State Insurance Commissioner. Applicants for approval as an instructor shall complete and submit Appendix D to the License Division of the Arkansas Insurance Department.

C. No person will be approved as an instructor who has received disciplinary action by the Arkansas Insurance Department, the Insurance Department of another state, or any similar regulatory body or court. The Commissioner shall have the authority to waive this requirement

SECTION 8. PROGRAM REVIEW

Representatives of the insurance Commissioner shall have the authority to visit a course or program and review its offering at any time including, but not limited to, curriculum records and attendance records.

SECTION 9. FEES AND COMPLIANCE

A. Every person subject to this Regulation shall furnish, in a form satisfactory to the Commissioner, written certification as to the courses, programs and seminars of Instruction taken and successfully completed by such person. Such certification shall be executed by or on behalf of the course provider and may be In the form prescribed in Appendix E. The Commissioner shall provide direction to the vendor as to the form used. Each licensee or the approved course provider may make the filing for the licensee to the Commissioner or his designee. The Commissioner may require vendors to submit the agent's Certificate of Completion of Continuing Education hours on an electronic media to the Department, and may require the vendor to submit information to an outside vendor or other parties contracting with the Commissioner to maintain and update Insurance licensees' continuing education data.

B. Every person subject to this Rule and Regulation and who furnishes to the Commissioner or Vendor of the Commissioner, written certification as to the courses or programs of instruction taken and successfully completed shall tender a filing fee as directed by the Commissioner or Vendor of the Commissioner under his approval.

C. Excess educational hours accumulated during any annual period may be carried forward only to the next annual period.

D. For good cause shown, the Commissioner may grant an extension of time during which the requirements may be completed.

SECTION 10. PENALTIES

Upon failure of any agent or broker to comply with Ark Code Ann. Section 23-64-301, et seq., the Commissioner shall take the steps enumerated in-Ark. Code Ann. Section 23-64-304(d) against such individual's license. -, Failure to comply with this Rule may result in imposition of penalties contained in § 23-64-216, as amended,, or other applicable- laws or rules'.

SECTION 11. SEVERABILITY

Any section or provision of this Rule held by the court to be invalid or unconstitutional will not affect the validity of any other section or provision.

APPENDIX A

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APPENDIX B

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APPENDIX C

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APPENDIX D

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APPENDIX E

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APPENDIX F

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APPENDIX G

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