Victorian Consolidated Legislation
[Index]
[Table]
[Search]
[Notes]
[Noteup]
[Previous]
[Next]
[Download]
[Help]
Conveyancers Act 2006 - SECT 33
Inquiries into conduct of licensees
33. Inquiries into conduct of licensees
(1) At any time the Director may apply to VCAT for the holding of an inquiry
to determine whether a licensee-
(a) has contravened or failed to comply with this Act or the regulations;
or
(b) has contravened or failed to comply with the Sale of Land Act 1962; or
(c) remains eligible to hold a licence; or
(d) is guilty of conduct that renders the licensee unfit to hold a
licence; or
(e) improperly obtained, or is improperly holding, a licence.
(2) In the case of a licensee that is a company, at any time the Director may,
in addition to making an application under subsection (1), apply to VCAT for
the holding of an inquiry to determine whether a director of the licensee-
(a) has contravened or failed to comply with this Act or the regulations;
or
(b) has contravened or failed to comply with the Sale of Land Act 1962 or
failed to pay a fine imposed on him or her under that Act; or
(c) is guilty of conduct that renders the licensee unfit to hold a
licence; or
(d) improperly obtained, or is improperly holding, a licence.
[Index]
[Table]
[Search]
[Notes]
[Noteup]
[Previous]
[Next]
[Download]
[Help]