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FINANCE BROKERS CONTROL ACT 1975 - SECT 82

FINANCE BROKERS CONTROL ACT 1975 - SECT 82

82 .         Disciplinary proceedings against finance brokers

                The Commissioner may allege to the State Administrative Tribunal that there is proper cause for disciplinary action, as mentioned in section 83(2), to be taken against —

            (a)         a person who was immediately before the referral day a licensed finance broker; or

            (b)         a person who was a licensed finance broker when the conduct the subject of an inquiry allegedly occurred.

        [Section 82 inserted: No. 55 of 2004 s. 354; amended: No. 53 of 2004 s. 64; No. 14 of 2010 s. 71.]

[ 82A.         Deleted: No. 14 of 2010 s. 72.]