Oregon Real Estate Law as of August 2009
Chapter
696 — Real Estate and Escrow Activities
2007 EDITION
REAL ESTATE AND ESCROW ACTIVITIES
OCCUPATIONS AND PROFESSIONS
REAL ESTATE LICENSEES
(Generally)
696.007 Statement of legislative purpose
696.010 Definitions
696.015 Legislative finding; short title
(Licensing)
696.020 License required for individuals engaged in professional
real estate activities; exception; rules
696.022 Licensing system for real estate brokers and property managers;
rules
696.024 Payments due and owing to Real Estate Agency
696.026 Conducting business under broker’s name, under registered
business name or through business organization; rules
696.028 Licensed personal assistant; rules
696.030 Exemptions
696.040 Single act sufficient to constitute professional real estate
activity
696.110 Exclusive nature of regulation of real estate licensees
696.130 Limited license
696.174 License renewal; continuing education courses; rules
696.200 Real estate broker or organization to maintain place of
business; branch offices; change of business location
696.205 Death or incapacity of sole proprietor real estate licensee;
temporary license; rules
696.232 Return of license by employee of agency; reissuance upon
termination of employment
(Client Trust Fund Accounts)
696.241 Clients’ Trust Accounts; notice to agency; authority
to examine account; branch trust account; interest earnings on trust
account; when broker entitled to earnest money; funds not subject
to execution; rules
696.243 Substituting copy for original canceled check allowed; electronic
fund transfers
696.245 Clients’ Trust Accounts; notice to bank; retention
of copy
(Nonresident and Reciprocal Real Estate Broker and Salesperson Licensing)
696.255 Nonresident license equivalent to appointment of commissioner
as agent for service of process; service on commissioner; fee
696.265 Recognition of nonresident real estate licensee; rules
(Miscellaneous)
696.270 Fees
696.280 Records of real estate brokers; rules
696.290 Sharing compensation with or paying finder’s fee to
unlicensed person prohibited; exceptions
696.294 Opinion letter; rules
696.301 Grounds for discipline
696.310 Intracompany supervision and control; effect of revocation
on licensed associates
696.315 Prohibition against licensee permitting nonlicensed individual
to engage in activity with or on behalf of licensee
696.320 Effect of suspension or revocation of principal broker license
on associated licensees
696.361 Regulation of real estate property manager
696.363 Relationship between licensees as independent contractors
or employer and employee
696.365 City or county business license tax
(Administration)
696.375 Real Estate Agency; Real Estate Commissioner; confirmation,
salary and security of commissioner
696.385 Power of agency; rulemaking procedures
696.392 Power of commissioner to administer oaths, take depositions
and issue subpoenas
696.395 Power of commissioner
696.396 Investigation of complaints and progressive discipline;
rules
696.398 Delegation by commissioner to employees; requirements
696.405 Real Estate Board; appointment; term; qualifications; compensation;
expenses
696.415 Officers; meetings; quorum
696.425 Powers and duties of board; expenses
696.430 Records of commissioner as evidence; records open to inspection;
rules
696.445 Advancement of education and research; Oregon Real Estate
News Journal; content as to disciplinary actions
696.490 Real Estate Account; disposition of receipts
696.495 Revolving fund; amount; use; procedure for repayment
ESCROWS AND ESCROW AGENTS
(Generally)
696.505 Definitions for ORS 696.505 to 696.590
696.508 Legislative finding; short title
(Licensing)
696.511 License required; application and information required;
issuance
696.520 Application of ORS 696.505 to 696.590
696.523 Application of ORS 696.505 to 696.590 to title insurance
activities
696.525 Bond for escrow agents
696.527 Deposits in lieu of bond; payment of claims; waiver
696.530 Expiration and renewal of license; fees; rules
696.532 Limited license
696.534 Records of escrow agents; rules
696.535 Grounds for refusing, suspending or revoking license
696.541 Authority of commissioner over escrow agents; rules
(Enforcement)
696.545 Investigation; injunction; jurisdiction
696.555 Commissioner to take possession of property and assets of
escrow agent when assets or capital impaired; appointment of receiver
696.570 Hearings procedure under ORS 696.505 to 696.590; subpoena
696.575 Civil or criminal actions not limited by ORS 696.505 to
696.590
696.577 Commissioner’s order against unlicensed agent
(Escrow Property)
696.578 Deposit and designation of money held in escrow; treatment
of earnings on escrow account; notice
696.579 Funds exempt from execution or attachment; designation of
funds
696.581 Written escrow instructions or agreement required; statement;
instructions containing blank prohibited; one-sided escrow; exception
696.582 Escrow agent to hold certain compensation; conditions; notice
of demand; disbursement of money; copy of notice to principal
(Civil Penalties)
696.585 Civil penalties
696.590 Penalty amounts
REAL ESTATE MARKETING
696.600 Definitions for ORS 696.392, 696.600 to 696.785 and 696.995
696.603 License required for persons engaged in real estate marketing
activities
696.606 Real estate marketing organization license; requirements;
deposit required; claims against deposit; rules
696.609 Exemptions from ORS 696.392, 696.600 to 696.785 and 696.995
696.612 Grounds for disciplinary action
696.615 Publication of sanctions imposed for violations
696.618 Denial of right to court action for unlicensed real estate
marketing organization
696.621 Real Estate Marketing Account
696.624 Consent by nonresident real estate marketing organization
to service of summons or process required
696.627 On-site inspection allowed; deposit
ACTIONS AND REMEDIES
696.710 Necessity of alleging license in action to collect compensation
696.720 Remedies are concurrent
696.730 Jurisdiction of courts for violations; revoking license
upon conviction; copy of order to commissioner
696.775 Authority of commissioner when license lapsed, expired,
revoked, suspended or surrendered
696.785 Commissioner duties when illegal commingling of funds found;
receivership procedure
MISCELLANEOUS
696.790 Authority of commissioner to require fingerprints
696.795 Authority of commissioner to conduct investigations and
proceedings
AGENTS’ OBLIGATIONS
696.800 Definitions
696.805 Real estate licensee as seller’s agent; obligations
696.810 Real estate licensee as buyer’s agent; obligations
696.815 Representation of both buyer and seller; obligations
696.820 Agency disclosure pamphlet; rules
696.822 Liability of principal for act, error or omission of agent
or subagent
696.835 Buyer and seller responsibilities
696.840 Compensation and agency relationships
696.845 Acknowledgment of existing agency relationships form; rules
696.855 Common law application to statutory obligations and remedies
696.870 Duties of real estate licensee under ORS 105.462 to 105.490,
696.301 and 696.870
696.880 Licensee not required to disclose proximity of registered
sex offender
PENALTIES
696.990 Penalties
696.995 Civil penalties for violation of ORS 696.603, 696.606 or
696.612
696.005 [1963 c.580 §39; repealed by 1965 c.617 §8]
REAL ESTATE LICENSEES
(Generally)
696.007 Statement of legislative purpose. (1) The Sixty-second
Legislative Assembly recognizes that notwithstanding amendments made
to ORS chapter 696 by sections 9, 17, 19, 23, 25, 27 to 30, 32 and
40 to 43, chapter 649, Oregon Laws 1977, section 40, chapter 617,
Oregon Laws 1981, and amendments made to ORS chapter 656 by chapter
864, Oregon Laws 1979, section 1, chapter 725, Oregon Laws 1981,
and section 4, chapter 854, Oregon Laws 1981, agencies of this state
are uncertain regarding application to real estate licensees of statutes
of this state relating to employers and employees. This section and
ORS 316.209 and 656.037 are enacted to eliminate that uncertainty,
to reaffirm the legislative intent of the enactments cited in this
section and to conform Oregon law to parallel provisions of the Internal
Revenue Code.
(2) Nothing in this section and ORS 316.209 and 656.037 shall be
construed to impair or invalidate any claim of refund or defense
against collection of any tax, which claim or defense is asserted
by a taxpayer who has services performed by an individual who does
not meet the requirements of ORS 316.209. [1983 c.597 §1]
Note: 696.007 was enacted into law by the Legislative Assembly
but was not added to or made a part of ORS chapter 696 or any series
therein by legislative action. See Preface to Oregon Revised Statutes
for further explanation.
696.010 Definitions. As used in ORS 696.010 to 696.495, 696.600
to 696.785, 696.800 to 696.870, 696.990 and 696.995, unless the context
requires otherwise:
(1) “Agency” means the Real Estate Agency.
(2) “Associated with” means to be employed, engaged
or otherwise supervised by, with respect to the relationship between
a real estate broker and a principal real estate broker.
(3) “Bank” includes any bank or trust company, savings
bank, mutual savings bank, savings and loan association or credit
union that maintains a head office or a branch in this state in the
capacity of a bank or trust company, savings bank, mutual savings
bank, savings and loan association or credit union.
(4)(a) “Branch office” means a business location, other
than the main office designated under ORS 696.200 (1), where professional
real estate activity is regularly conducted or that is advertised
to the public as a place where such business may be regularly conducted.
(b) Model units or temporary structures used solely for the dissemination
of information and distribution of lawfully required public reports
shall not be considered branch offices. A model unit means a permanent
residential structure located in a subdivision or development used
for such dissemination and distribution, so long as the unit is at
all times available for sale, lease, lease option or exchange.
(5) “Commissioner” means the Real Estate Commissioner.
(6) “Compensation” means any fee, commission, salary,
money or valuable consideration for services rendered or to be rendered
as well as the promise thereof and whether contingent or otherwise.
(7) “Competitive market analysis” means a method or
process used by a real estate licensee in pursuing a listing agreement
or in formulating an offer to acquire real estate in a transaction
for the sale, lease, lease-option or exchange of real estate. The
objective of competitive market analysis is a recommended listing,
selling or purchase price or a lease or rental consideration. A competitive
market analysis may be expressed as an opinion of the value of the
real estate in a contemplated transaction. Competitive market analysis
may include but is not limited to an analysis of market conditions,
public records, past transactions and current listings of real estate.
(8) “Expired” means, in the context of a real estate
licensee, that the license has not been renewed in a timely manner,
but may still be renewed.
(9) “Inactive” means, in the context of a real estate
licensee, that the license has been returned to the agency to be
held until the licensee reactivates the license or the license expires
or lapses.
(10) “Lapsed” means, in the context of a real estate
licensee, that the license has not been renewed in a timely manner
and is not eligible for renewal.
(11) “Letter opinion” has the meaning given that term
in ORS 696.294.
(12) “Management of rental real estate” means:
(a) Representing the owner of real estate in the rental or lease
of the real estate and includes but is not limited to:
(A) Advertising the real estate for rent or lease;
(B) Procuring prospective tenants to rent or lease the real estate;
(C) Negotiating with prospective tenants;
(D) Accepting deposits from prospective tenants;
(E) Checking the qualifications and creditworthiness of prospective
tenants;
(F) Charging and collecting rent or lease payments;
(G) Representing the owner in inspection or repair of the real
estate;
(H) Contracting for repair or remodeling of the real estate;
(I) Holding trust funds or property received in managing the real
estate and accounting to the owner for the funds or property;
(J) Advising the owner regarding renting or leasing the real estate;
(K) Providing staff and services to accommodate the tax reporting
and other financial or accounting needs of the real estate;
(L) Providing copies of records of acts performed on behalf of
the owner of the real estate; and
(M) Offering or attempting to do any of the acts described in this
paragraph for the owner of the real estate; or
(b) Representing a tenant or prospective tenant when renting or
leasing real estate and includes but is not limited to:
(A) Consulting with tenants or prospective tenants about renting
or leasing real estate;
(B) Assisting prospective tenants in renting or leasing real estate;
(C) Assisting prospective tenants in qualifying for renting or
leasing real estate;
(D) Accepting deposits or other funds from prospective tenants
for renting or leasing real estate and holding the funds in trust
for the prospective tenants;
(E) Representing tenants or prospective tenants renting or leasing
real estate; and
(F) Offering or attempting to do any of the acts described in this
paragraph for a tenant or prospective tenant.
(13) “Nonlicensed individual” means an individual:
(a) Who has not obtained a real estate license; or
(b) Whose real estate license is lapsed, expired, inactive, suspended,
surrendered or revoked.
(14) “Principal real estate broker” means an individual
who holds an active license as a principal real estate broker and
who employs, engages or supervises the professional real estate activity
of another real estate licensee.
(15) “Professional real estate activity” means any
of the following actions, when engaged in for another and for compensation
or with the intention or in the expectation or upon the promise of
receiving or collecting compensation, by any person who:
(a) Sells, exchanges, purchases, rents or leases real estate;
(b) Offers to sell, exchange, purchase, rent or lease real estate;
(c) Negotiates, offers, attempts or agrees to negotiate the sale,
exchange, purchase, rental or leasing of real estate;
(d) Lists, offers, attempts or agrees to list real estate for sale;
(e) Offers, attempts or agrees to perform or provide a competitive
market analysis or letter opinion, to represent a taxpayer under
ORS 305.230 or 309.100 or to give an opinion in any administrative
or judicial proceeding regarding the value of real estate for taxation,
except when the activity is performed by a state certified appraiser
or state licensed appraiser;
(f) Auctions, offers, attempts or agrees to auction real estate;
(g) Buys, sells, offers to buy or sell or otherwise deals in options
on real estate;
(h) Engages in management of rental real estate;
(i) Purports to be engaged in the business of buying, selling,
exchanging, renting or leasing real estate;
(j) Assists or directs in the procuring of prospects, calculated
to result in the sale, exchange, leasing or rental of real estate;
(k) Assists or directs in the negotiation or closing of any transaction
calculated or intended to result in the sale, exchange, leasing or
rental of real estate;
(L) Except as otherwise provided in ORS 696.030 (1)(L), advises,
counsels, consults or analyzes in connection with real estate values,
sales or dispositions, including dispositions through eminent domain
procedures;
(m) Advises, counsels, consults or analyzes in connection with
the acquisition or sale of real estate by an entity if the purpose
of the entity is investment in real estate; or
(n) Performs real estate marketing activity as described in ORS
696.600.
(16) “Real estate” includes leaseholds and licenses
to use including, but not limited to, timeshare estates and timeshare
licenses as defined in ORS 94.803, as well as any and every interest
or estate in real property, whether corporeal or incorporeal, whether
freehold or nonfreehold, whether held separately or in common with
others and whether the real property is situated in this state or
elsewhere.
(17) “Real estate broker” means an individual who engages
in professional real estate activity and who holds an active license
as a real estate broker.
(18) “Real estate licensee” means an individual who
holds an active license as a real estate broker, principal real estate
broker or real estate property manager.
(19) “Real estate property manager” means a real estate
licensee who is authorized to engage in management of rental real
estate.
(20) “Registered business name” means a name registered
with the Real Estate Agency under which the individual registering
the name engages in professional real estate activity.
(21) “Sole practitioner” means a real estate broker
conducting professional real estate activity not in conjunction with
other real estate brokers or principal real estate brokers. [Amended
by 1953 c.166 §5; 1955 c.322 §6; 1965 c.617 §1; 1973
c.416 §1; 1975 c.746 §1; 1977 c.649 §9; 1981 c.617 §2;
1985 c.589 §6; 1987 c.414 §37; 1987 c.468 §1; 1987
c.611 §12; 1989 c.724 §1; 1991 c.5 §26; 1995 c.217 §14;
1997 c.417 §5; 1999 c.488 §1; 2001 c.300 §10; 2003
c.347 §2; 2003 c.398 §6; 2005 c.116 §1; 2007 c.319 §1]
696.015 Legislative finding; short title. (1) The Legislative Assembly
finds the activity of persons seeking to assist others, for compensation,
to deal in real estate in this state to be a matter of public concern.
The provisions of ORS 696.010 to 696.495, 696.600 to 696.785, 696.800
to 696.870, 696.990 and 696.995 are enacted to assist in creating
for the public a healthy real estate market atmosphere and to assure
that professional real estate activity is conducted with high fiduciary
standards.
(2) ORS 696.010 to 696.495, 696.600 to 696.785, 696.800 to 696.870,
696.990 and 696.995 may be cited as the Oregon Real Estate License
Law. [1977 c.649 §2]
(Licensing)
696.020 License required for individuals engaged in professional
real estate activities; exception; rules. (1) The Real Estate Agency
may issue a real estate license only to an individual.
(2) An individual may not engage in, carry on, advertise or purport
to engage in or carry on professional real estate activity, or act
in the capacity of a real estate licensee, within this state unless
the individual holds an active license as provided for in this chapter.
(3) A real estate licensee is bound by and subject to the requirements
of ORS 696.010 to 696.495, 696.600 to 696.785, 696.800 to 696.870,
696.990 and 696.995 while:
(a) Engaging in professional real estate activity; or
(b) Acting on the licensee’s own behalf in the sale, exchange,
lease option or purchase of real estate or in the offer or negotiations
for the sale, exchange, lease option or purchase of real estate.
(4) The agency by rule may establish provisions for a nonlicensed
individual whose license is inactive or suspended and who acts on
the licensee’s own behalf in the sale, exchange, lease option
or purchase of real estate or in the offer or negotiations for the
sale, exchange, lease option or purchase of real estate. [Amended
by 1969 c.674 §1; 1975 c.746 §1a; 1977 c.649 §10;
1981 c.617 §2a; 2007 c.319 §4]
696.022 Licensing system for real estate brokers and property managers;
rules. (1) The Real Estate Agency shall establish by rule a system
for licensing real estate brokers, principal real estate brokers
and real estate property managers. The system shall establish, at
a minimum:
(a) The form and content of applications for licensing under each
category of real estate professional licensed by the agency;
(b) A licensing examination for each category of license;
(c) Schedules and procedures for issuing and renewing licenses;
(d) The term of a license in each category; and
(e) Terms and conditions under which the license of a real estate
licensee must be returned or transferred to the Real Estate Commissioner
for purposes including, but not limited to, inactivation, suspension
or termination of the license.
(2)(a) A real estate broker may engage in professional real estate
activity. A real estate broker may not employ, engage or supervise
the professional real estate activity of another real estate licensee.
(b) In order to qualify for a real estate broker’s license,
an applicant must furnish proof satisfactory to the commissioner
that the applicant has successfully completed the basic real estate
broker’s educational courses and the examination required by
rule of the agency. Proof of completion of all required courses must
be provided at the time of applying for the license.
(c) A real estate broker may conduct professional real estate activity
as a sole practitioner after:
(A) The individual has acquired three years of active experience
as a real estate broker; or
(B) The individual has acquired three years of active experience
as a real estate salesperson as defined in ORS 696.025 (1999 Edition)
and has successfully completed the real estate broker’s examination
required by rule of the agency.
(3)(a) A principal real estate broker may engage in professional
real estate activity. A principal real estate broker may conduct
professional real estate activity in conjunction with other real
estate brokers or principal real estate brokers. In addition, a principal
real estate broker must employ, engage or supervise the professional
real estate activity of another real estate licensee.
(b) In order to qualify for a principal real estate broker’s
license, an applicant must meet the requirements of subsection (2)(b)
of this section and must furnish proof satisfactory to the commissioner
that the applicant has successfully completed the brokerage administration
and sales supervision course, as required by agency rule, and has:
(A) Three years of active experience as a licensed real estate
broker; or
(B) Three years of active experience as a real estate salesperson
as defined in ORS 696.025 (1999 Edition) and has successfully completed
the real estate broker’s examination required by rule of the
agency.
(4) In order to qualify for a real estate property manager’s
license, an applicant must furnish proof satisfactory to the commissioner
that the applicant has successfully completed courses in the legal
aspects of real estate, real estate property management and accounting,
bookkeeping and trust accounting practices. The applicant also must
have successfully completed a real estate property manager’s
license examination prescribed by rule of the agency. Proof of completion
of all required courses must be provided at the time of applying
for the license.
(5)(a) A license for a real estate broker, principal real estate
broker or real estate property manager shall be granted only to an
individual who is trustworthy and competent to conduct professional
real estate activity in a manner that protects the public interest.
As a condition of licensing, the commissioner may require proof of
competence and trustworthiness that the commissioner deems necessary
to protect the public interest.
(b) In implementing this subsection, the commissioner shall require
fingerprints and criminal offender information of an applicant for
initial licensing and may require fingerprints and criminal offender
information of an applicant for license renewal. Fingerprints acquired
under this subsection may be used for the purpose of requesting a
state or nationwide criminal records check under ORS 181.534.
(6) A license may be issued under this section only to an individual
who is 18 years of age or older.
(7) In order to qualify for a real estate broker’s license,
a real estate salesperson licensed in another state or country must
successfully complete a course of study and pass a real estate broker’s
license examination, both as prescribed by agency rule.
(8) In order to satisfy the educational requirements under subsections
(2) to (4) and (7) of this section, a course must be approved by
the commissioner. The commissioner shall determine the final examination
score acceptable as evidence of successful completion for each required
course.
(9) The Real Estate Board may determine that an applicant for a
principal real estate broker’s license or a real estate broker’s
license has experience related to professional real estate activity
that is equivalent to the experience required under subsection (2)
or (3) of this section. [2001 c.300 §9; 2003 c.398 §7;
2005 c.116 §2; 2005 c.730 §37; 2007 c.319 §5]
Note: 696.022 to 696.028 were added to and made a part of the Oregon
Real Estate License Law by legislative action but were not added
to any smaller series therein. See Preface to Oregon Revised Statutes
for further explanation.
696.024 Payments due and owing to Real Estate Agency. To qualify
for a real estate license under ORS 696.022 or to renew an active
or inactive real estate license, the applicant must make full payment
of any unpaid moneys due and owing to the Real Estate Agency, including
any unpaid civil penalties assessed under a final order of the Real
Estate Commissioner. [2001 c.300 §15]
Note: See note under 696.022.
696.025 [1977 c.649 §8a; 1981 c.617 §3; 1987 c.468 §2;
1987 c.611 §13; 1989 c.724 §2; 1991 c.5 §27; repealed
by 2001 c.300 §84]
696.026 Conducting business under broker’s name, under registered
business name or through business organization; rules. (1) A real
estate broker or principal real estate broker may conduct professional
real estate activity under the broker’s name, a registered
business name or a name prescribed by agency rule. The business name
under which a broker conducts professional real estate activity has
no license standing independent of the broker.
(2) The agency by rule shall adopt a registration system for business
names. The system shall allow the registration of any branch office
of either a sole practitioner or a principal real estate broker.
(3) A real estate broker or principal real estate broker operating
under a business name registered by the broker need not be an owner
or officer of any organization otherwise lawfully entitled to use
the registered business name or have an ownership interest in the
registered name. However, all professional real estate activity conducted
by or on behalf of the broker must be conducted under the business
name registered by the broker.
(4) A real estate broker or principal real estate broker may register
two or more business names if the business names are for affiliated
or subsidiary business organizations. If a real estate broker or
principal real estate broker registers the business names for two
or more affiliated or subsidiary business organizations, the broker
may conduct professional real estate activity separately under each
business name. A real estate broker or principal real estate broker
must supervise and control the professional real estate activity
conducted under the broker’s name or registered business name.
(5) A real estate broker employed, engaged or supervised by a principal
real estate broker for required training and supervision by the principal
real estate broker may have an ownership interest in any business
through which the principal broker conducts professional real estate
activity, but may not control or supervise the professional real
estate activity of the principal broker and may not interfere with
or be responsible for the training and supervision of any other broker.
(6) A nonlicensed individual may have an ownership interest in
any business through which a real estate broker or principal real
estate broker engages in professional real estate activity, but may
not control or supervise the professional real estate activity of
any real estate broker or principal real estate broker licensed to
control or supervise the professional real estate activity of such
business.
(7) Two or more real estate brokers operating under the same registered
business name who do not exercise any administrative or supervisory
control over one another are solely responsible for their own professional
real estate activity.
(8) Notwithstanding any other provision of ORS 696.010 to 696.495,
696.600 to 696.785, 696.800 to 696.870, 696.990 and 696.995, a broker
associated with a principal broker may create a corporation, limited
liability company, limited liability partnership or any other lawfully
constituted business organization for the purpose of receiving compensation
from the principal broker. A business organization created under
this subsection may not be licensed under ORS 696.022 or conduct
in its own name professional real estate activity requiring a real
estate license. [2001 c.300 §8; 2005 c.116 §3; 2005 c.393 §1;
2007 c.319 §6; 2007 c.337 §3]
Note: See note under 696.022.
696.028 Licensed personal assistant; rules. The Real Estate Commissioner
may prescribe by rule the terms and conditions for licensed personal
assistant agreements including, but not limited to, the duties and
responsibilities of, the limitations on the activities of, and the
nature and scope of the business relationship between a real estate
licensee and a licensed personal assistant. [2001 c.300 §30]
Note: See note under 696.022.
696.030 Exemptions. (1) ORS 696.010 to 696.375, 696.392, 696.395
to 696.430, 696.490, 696.600 to 696.785, 696.990 and 696.995 do not
apply to:
(a) A nonlicensed individual who is a full-time employee of a single
owner of real estate whose real estate activity involves the real
estate of the employer and:
(A) Is incidental to the employee’s normal, nonreal estate
activities; or
(B) Is the employee’s principal activity, but the employer’s
principal activity or business is not the sale, exchange, lease option
or acquisition of real estate.
(b) A nonlicensed individual who acts as attorney in fact under
a duly executed power of attorney from the owner or purchaser authorizing
the supervision of the closing of or supervision of the performance
of a contract for the sale, leasing or exchanging of real estate
if the power of attorney was executed prior to July 1, 2002, in compliance
with the requirements of law at the time of execution or if:
(A) The power of attorney is recorded in the office of the recording
officer for the county in which the real estate is located;
(B) The power of attorney specifically describes the real estate;
and
(C) The individual does not use the power of attorney as a device
to engage in professional real estate activity without obtaining
the necessary real estate license.
(c) A nonlicensed individual who acts as attorney in fact under
a duly executed power of attorney in which the authorized agent is
the spouse of the principal, or the child, grandchild, parent, grandparent,
sibling, aunt, uncle, niece or nephew of the principal or of the
spouse of the principal, authorizing real estate activity if the
power of attorney is recorded in the office of the recording officer
for the county in which the real estate to be sold, leased or exchanged
is located.
(d) A nonlicensed individual who is an attorney at law rendering
services in the performance of duties as an attorney at law.
(e) A nonlicensed individual who acts in the individual’s
official capacity as a receiver, a conservator, a trustee in bankruptcy,
a personal representative or a trustee, or a regular salaried employee
of the trustee, acting under a trust agreement, deed of trust or
will.
(f) A nonlicensed individual who performs an act of professional
real estate activity under order of a court.
(g) A nonlicensed individual who is a regular full-time employee
of a single corporation, partnership, association or nonlicensed
individual owner of real property acting for the corporation, partnership,
association or nonlicensed individual owner in the rental or management
of the real property, but not in the sale, exchange, lease option
or purchase of the real property.
(h) An individual who is a registered professional engineer or
architect rendering services in performance of duties as a professional
engineer or architect.
(i) A nonlicensed individual who is employed by a real estate broker
or principal real estate broker and who acts as a manager for real
estate if the real estate activity of the nonlicensed individual
is limited to negotiating rental or lease agreements, checking tenant
and credit references, physically maintaining the real estate, conducting
tenant relations, collecting the rent, supervising the premises’ managers
and discussing financial matters relating to management of the real
estate with the owner.
(j) An individual who sells or leases cemetery lots, parcels or
units while engaged in the disposition of human bodies under ORS
97.010 to 97.040, 97.110 to 97.450, 97.510 to 97.730, 97.810 to 97.920
and 97.990 or an employee of the nonlicensed individual performing
similar activities.
(k) An individual who is a salaried employee of the State of Oregon,
or any of its political subdivisions, engaging in professional real
estate activity as a part of such employment.
(L) A nonlicensed individual who analyzes or provides advice regarding
permissible land use alternatives, environmental impact, building
and use permit procedures or demographic market studies, or a regular
full-time employee of the nonlicensed individual performing similar
activities. This exclusion does not apply to the handling of transactional
negotiations for transfer of an interest in real estate.
(m) An individual who is a hotelkeeper or innkeeper as defined
by ORS 699.005 arranging the rental of transient lodging at a hotel
or inn in the course of business as a hotelkeeper or innkeeper.
(n) An individual who is a travel agent arranging the rental of
transient lodging at a hotel or inn as defined in ORS 699.005 in
the course of business as a travel agent for compensation. For the
purpose of this paragraph, “travel agent” means a person,
and employees of the person, regularly representing and selling travel
services to the public directly or indirectly through other travel
agents.
(o) An individual who is a common carrier arranging the rental
of transient lodging at a hotel or inn as defined in ORS 699.005
in the course of business as a common carrier. For the purpose of
this paragraph, “common carrier” means a person that
transports or purports to be willing to transport individuals from
place to place by rail, motor vehicle, boat or aircraft for hire,
compensation or consideration.
(p) An individual who is a hotel representative arranging the rental
of transient lodging at a hotel or inn as defined in ORS 699.005
in the course of business as a hotel representative. For the purpose
of this paragraph, “hotel representative” means a person
that provides reservations or sale services to independent hotels,
airlines, steamship companies and government tourist agencies.
(q) A nonlicensed individual transferring or acquiring an interest
in real estate owned or to be owned by the individual.
(r) An individual who is a general partner for a domestic or foreign
limited partnership duly registered and operating within this state
under ORS chapter 70 engaging in the sale of limited partnership
interests and the acquisition, sale, exchange, lease, transfer or
management of the real estate of the limited partnership.
(s) An individual who is a membership camping contract broker or
salesperson registered with the Real Estate Agency selling membership
camping contracts.
(t) An individual who is a professional forester or farm manager
engaging in property management activity on forestland or farmland
when the activity is incidental to the nonreal estate duties involving
overall management of forest or farm resources.
(u) An individual who is a registered investment adviser under
the Investment Advisers Act of 1940, 15 U.S.C. §80b-1 et seq.,
rendering real estate investment services for the office of the State
Treasurer or the Oregon Investment Council.
(v) A nonlicensed individual who refers a new tenant for compensation
to a real estate licensee acting as the property manager for a residential
building or facility while the individual resides in the building
or facility or within six months after termination of the individual’s
tenancy.
(w) A nonlicensed individual who gives an opinion in an administrative
or judicial proceeding regarding the value of real estate for taxation
or representing a taxpayer under ORS 305.230 or 309.100.
(x) A nonlicensed individual acting as a paid fiduciary whose real
estate activity is limited to negotiating or closing a transaction
to obtain the services of a real estate licensee.
(y) A nonlicensed individual who is a fiduciary under a court order,
without regard to whether the court order specifically authorizes
real estate activity.
(z) An individual who is a representative of a financial institution
or trust company, as those terms are defined in ORS 706.008, that
is attorney in fact under a duly executed power of attorney from
the owner or purchaser authorizing real estate activity, if the power
of attorney is recorded in the office of the county clerk for the
county in which the real estate to be sold, leased or exchanged is
located.
(2) The vesting of title to real estate in more than one person
by tenancy by the entirety, tenancy in common or by survivorship
shall be construed as that of a single owner for the purposes of
this section. [Amended by 1955 c.322 §7; 1963 c.593 §1;
1967 c.277 §1; 1969 c.674 §2; 1975 c.746 §2; 1977
c.649 §11; 1979 c.125 §3; 1979 c.289 §1a; 1981 c.617 §4;
1985 c.639 §13; 1985 c.677 §64; 1991 c.5 §28; 1991
c.212 §1; 1993 c.18 §149; 1995 c.246 §1; 1997 c.307 §2;
1999 c.488 §2; 2001 c.300 §11; 2003 c.347 §1; 2005
c.116 §4; 2007 c.319 §7]
696.040 Single act sufficient to constitute professional real estate
activity. One act or transaction of professional real estate activity
is sufficient to constitute engaging in professional real estate
activity, within the meaning of this chapter. [Amended by 1955 c.322 §8;
1977 c.649 §12]
696.050 [Amended by 1955 c.322 §9; 1961 c.471 §1; 1963
c.412 §1; 1969 c.515 §1; 1969 c.674 §3; 1971 c.671 §1;
1973 c.416 §3; 1973 c.827 §78; 1974 c.36 §21; 1975
c.746 §3; 1977 c.191 §1; 1977 c.649 §13; 1981 c.617 §5;
1983 c.258 §1; 1989 c.532 §6; 1989 c.724 §3; 1991
c.5 §29; repealed by 2001 c.300 §84]
696.060 [Amended by 1975 c.746 §4; 1977 c.649 §14; 1981
c.617 §6; repealed by 2001 c.300 §84]
696.070 [Amended by 1963 c.412 §2; repealed by 1977 c.649 §53
and 1977 c.842 §17]
696.080 [Amended by 1975 c.746 §5; 1977 c.649 §15; 1981
c.617 §6a; 1987 c.611 §14; repealed by 2001 c.300 §84]
696.085 [1991 c.462 §2; repealed by 2001 c.300 §84]
696.090 [Amended by 1955 c.322 §10; repealed by 1977 c.649 §16
and 1977 c.842 §17 (694.169 enacted in lieu of 696.090)]
696.100 [Amended by 1963 c.412 §3; 1977 c.649 §17; repealed
by 2001 c.300 §84]
696.110 Exclusive nature of regulation of real estate licensees.
The provisions of ORS 696.010 to 696.495, 696.600 to 696.785, 696.800
to 696.870 and 696.995 shall be exclusive and no political subdivision
or agency of this state shall require or issue any license or charge
any fee for licensing or regulation of individuals licensed under
ORS 696.022. Nothing in this section shall limit the authority of
a county, city or town to levy and collect a general and nondiscriminatory
license fee upon all businesses in the county, city or town or to
levy a tax based upon the business conducted by any licensee or firm
within the county, city or town. [Amended by 1955 c.322 §11;
1961 c.309 §3; 1965 c.617 §2; 1975 c.746 §1b; 2001
c.300 §12; 2007 c.319 §22]
696.120 [Amended by 1977 c.649 §18; repealed by 2001 c.300 §84]
696.130 Limited license. (1) If the license of any real estate
broker or principal real estate broker is revoked by the Real Estate
Commissioner, the commissioner may not issue a new license until
the individual complies with the provisions of ORS 696.010 to 696.495,
696.600 to 696.785 and 696.800 to 696.870.
(2) Notwithstanding subsection (1) of this section, the commissioner
may issue the individual a limited license if, in the discretion
of the commissioner, it is in the public interest to do so. The commissioner
may limit a license issued under this subsection:
(a) By term;
(b) To acts subject to the supervision of a specific principal
real estate broker; or
(c) By conditions to be observed in the exercise and the privileges
granted.
(3) A limited license issued under this section does not confer
any property right in the privileges to be exercised thereunder,
and the holder of a limited license does not have the right to renewal
of such license. A limited license may be suspended or revoked, or
the licensee may be reprimanded, by the commissioner on the grounds
set out in ORS 696.301. [Amended by 1955 c.322 §12; 1969 c.674 §4;
1973 c.416 §4; 1975 c.746 §6; 1977 c.191 §2; 1977
c.649 §19; 1981 c.617 §7; 1987 c.611 §15; 1991 c.5 §30;
2001 c.300 §13; 2003 c.398 §8]
696.140 [Amended by 1961 c.471 §2; 1963 c.412 §4; 1973
c.416 §5; repealed by 1975 c.746 §10 (696.141 enacted in
lieu of 696.140)]
696.141 [1975 c.746 §11 (enacted in lieu of 696.140); 1977
c.649 §51; 1979 c.243 §1; repealed by 2001 c.300 §84]
696.150 [Amended by 1977 c.649 §20; repealed by 2001 c.300 §84]
696.160 [Amended by 1969 c.674 §5; 1975 c.746 §12; 1977
c.649 §21; 1987 c.611 §16; 1989 c.724 §4; 1991 c.5 §31;
repealed by 2001 c.300 §84]
696.162 [1975 c.746 §8; 1977 c.190 §1; 1977 c.649 §22;
1981 c.617 §8; 1987 c.468 §3; repealed by 1991 c.5 §46]
696.165 [1953 c.166 §4; 1969 c.674 §6; 1977 c.649 §23;
1981 c.617 §8a; 1991 c.5 §32; repealed by 2001 c.300 §84]
696.167 [1975 c.746 §9; 1977 c.649 §24; repealed by 1981
c.617 §41]
696.169 [1977 c.649 §16a (enacted in lieu of 696.090); 1989
c.724 §5; repealed by 2001 c.300 §84]
696.170 [Amended by 1955 c.322 §13; repealed by 1969 c.674 §20]
696.172 [1969 c.674 §9; repealed by 1975 c.746 §34]
696.174 License renewal; continuing education courses; rules. (1)
To qualify an active license for renewal, the real estate licensee
must present evidence of attendance during the preceding two license
years at 30 clock-hours of real estate oriented continuing education
courses, of which a minimum of 15 clock-hours shall be in required
course topics.
(2)(a) The Real Estate Commissioner, with advice from real estate
professionals, educators and the public, may accept a broad range
of topics for real estate oriented continuing education courses.
Required course topics shall be flexible so as to allow for changes
in the real estate profession.
(b) The minimum length of each course, required or elective, shall
be one hour. A standard form, created by the Real Estate Agency in
consultation with real estate professionals, shall be developed to
ensure that licensees have completed the required number of hours.
Certification of attendance by the principal real estate broker with
whom the real estate broker is associated, or self-certification
if the licensee is a sole practitioner, a principal real estate broker
or a real estate property manager, shall be considered evidence of
attendance.
(3) The commissioner, with advice from real estate professionals,
educators and the public, shall prescribe rules for certifying continuing
education courses. The rules shall provide for correspondence courses
and other distance learning alternatives, including but not limited
to rules for minimum course length, comprehension of written materials
and tests for course completion. The rules shall also provide that
continuing education course topics contain an advanced course in
real estate practices that must be completed by a licensee prior
to the licensee’s first renewal of an active license.
(4) The commissioner may waive the continuing education requirements
of subsection (1) of this section for any licensee who submits satisfactory
evidence of inability to attend such courses because of health or
other circumstances beyond the licensee’s control. [1969 c.674 §11;
1973 c.416 §6; 1977 c.649 §25; 1981 c.617 §9; 1983
c.359 §1; 1987 c.611 §19; 1989 c.724 §6; 1991 c.5 §33;
1995 c.335 §1; 2001 c.300 §14]
696.176 [1969 c.674 §10; 1975 c.746 §13; 1977 c.649 §26;
repealed by 2001 c.300 §84]
696.180 [Amended by 1977 c.649 §27; repealed by 2001 c.300 §84]
696.190 [Amended by 1977 c.649 §28; repealed by 1981 c.617 §41]
696.200 Real estate broker or organization to maintain place of
business; branch offices; change of business location. (1) Except
for real estate brokers associated with a principal real estate broker,
every real estate broker and principal real estate broker shall maintain
in this state a place of business to be designated as the broker’s
main office and designate the place of business by a sign that contains
the name under which the broker is licensed.
(2) The place of business must be specified in the application
for a real estate license, and designated in the license. Prior to
the change of a business location, the broker shall notify the Real
Estate Commissioner in writing of the new location. The change of
a business location without notification to the commissioner is grounds
for revocation of licenses previously issued.
(3) A real estate broker or principal real estate broker may establish
one or more branch offices as separate business locations under the
management of the broker. A broker may conduct and supervise the
business of more than one office, whether main or branch. The broker
shall register each branch office with the commissioner and designate
each branch office by a sign that contains the name under which the
broker is licensed.
(4) Upon vacating any business location, the broker shall ensure
that the sign containing the broker’s name or the name under
which the broker has operated is removed from the location that the
broker has vacated. A broker may not display any name at the designated
places of business named in the broker’s license or licenses
other than the name under which the broker is licensed. [Amended
by 1955 c.322 §14; 1961 c.471 §3; 1965 c.367 §1; 1973
c.416 §7; 1975 c.746 §14; 1977 c.649 §29; 1979 c.823 §1;
1981 c.617 §10; 1989 c.532 §7; 2001 c.300 §16; 2003
c.398 §9; 2005 c.116 §5]
696.205 Death or incapacity of sole proprietor real estate licensee;
temporary license; rules. (1) If a real estate licensee who is a
sole practitioner or who is the sole principal real estate broker
of a real estate business dies or becomes incapacitated, the Real
Estate Commissioner may issue a temporary license to the executor,
administrator or personal representative of the estate of the deceased
real estate licensee or to the court-appointed fiduciary of the incapacitated
real estate licensee, or to some other individual designated by the
commissioner, in order to continue to transact the real estate business
in the case of the incapacitated real estate licensee or to wind
up the affairs of the deceased or incapacitated real estate licensee.
The term of a temporary license issued under this section may not
exceed one year from the date of issuance unless the commissioner,
in the discretion of the commissioner, extends the term of the temporary
license based on sufficient cause provided by the temporary licensee
to the commissioner.
(2) The Real Estate Agency may adopt administrative rules to administer
this section or to authorize an individual to transact or wind up
real estate business on behalf of the deceased or incapacitated real
estate licensee. [1975 c.746 §7; 2001 c.300 §17; 2005 c.116 §6;
2007 c.319 §8]
696.210 [Amended by 1977 c.649 §30; repealed by 2001 c.300 §84]
696.220 [Repealed by 1955 c.322 §15]
696.221 [1955 c.322 §4; 1969 c.674 §12; 1977 c.649 §31;
1983 c.258 §2; 1991 c.5 §34; 2001 c.300 §18; repealed
by 2005 c.116 §24]
696.224 [1955 c.322 §5; 1969 c.674 §13; 1977 c.649 §32;
1983 c.258 §3; 1989 c.724 §12; 1991 c.5 §35; repealed
by 2001 c.300 §84]
696.226 [1955 c.322 §2; 1977 c.649 §33; 1983 c.258 §4;
1991 c.5 §36; 2001 c.300 §19; repealed by 2005 c.116 §24]
696.228 [1969 c.674 §8; 1977 c.649 §34; 1983 c.258 §5;
repealed by 2001 c.300 §84]
696.230 [Repealed by 1969 c.674 §21]
696.232 Return of license by employee of agency; reissuance upon
termination of employment. (1) An employee or officer of the Real
Estate Agency licensed as a real estate licensee under this chapter
shall return the employee’s or officer’s license to the
agency at the time of commencing employment. The agency shall hold
the license as an active license held in suspense. At the termination
of an employee’s or officer’s employment, the license
may be returned to the licensee as an active or inactive license.
The agency shall activate a license held in suspense without payment
of further fee, and the license expires on the date on which it would
have expired if the license had not been held in suspense.
(2) Except as stated in subsection (1) of this section, the return
of the license to the licensee and all renewals are subject to the
provisions of ORS 696.010 to 696.495, 696.600 to 696.785, 696.800
to 696.870 and 696.995. [1975 c.746 §16; 1977 c.649 §35;
1983 c.258 §6; 2001 c.300 §63; 2005 c.116 §7]
696.235 [1975 c.746 §15; 1977 c.649 §36; 1981 c.617 §11;
1989 c.724 §7; 1995 c.335 §2; 2001 c.300 §20; repealed
by 2005 c.116 §24]
696.240 [Amended by 1957 c.383 §1; 1963 c.580 §49; repealed
by 1975 c.746 §17 (696.241 enacted in lieu of 696.240)]
(Client Trust Fund Accounts)
696.241 Clients’ Trust Accounts; notice to agency; authority
to examine account; branch trust account; interest earnings on trust
account; when broker entitled to earnest money; funds not subject
to execution; rules. (1) Each sole practitioner and each principal
real estate broker shall maintain in this state one or more separate
bank accounts that shall be designated a Clients’ Trust Account
in which all trust funds received or handled by the sole practitioner
or broker and the real estate licensees subject to the supervision
of the broker on behalf of any other person shall be deposited unless,
pursuant to written agreement of all parties having an interest in
the trust funds, the trust funds are immediately placed in a neutral
escrow depository in this state.
(2) Each sole practitioner or principal real estate broker shall
file with the Real Estate Agency, on forms approved by the Real Estate
Commissioner, a statement identifying the name of the bank or banks,
account number or account numbers, and name of account or accounts
for each Clients’ Trust Account maintained.
(3) Each sole practitioner or principal real estate broker shall
authorize the agency, by a form approved by the commissioner, to
examine any Clients’ Trust Account, by a duly authorized representative
of the agency. The examination shall be made at such times as the
commissioner may direct.
(4) If a sole practitioner or principal real estate broker maintains
a separate Clients’ Trust Account in a branch office, a separate
bookkeeping system shall be maintained in the branch office, provided
a copy of the records required by the provisions of ORS 696.280 are
maintained in the main office of the sole practitioner or broker.
(5) Trust funds received by a sole practitioner or principal real
estate broker may be placed by the sole practitioner or broker in
a federally insured interest-bearing bank account, designated a Clients’ Trust
Account, but only with the prior written approval of all parties
having an interest in the trust funds. The earnings of such interest-bearing
account shall not inure to the benefit of the sole practitioner or
principal real estate broker unless expressly approved in writing
before deposit of the trust funds by all parties having an interest
in the trust funds.
(6) With prior written notice to all parties who have an interest
in the trust funds, a sole practitioner or principal real estate
broker may place trust funds received by the sole practitioner or
principal real estate broker in a federally insured interest-bearing
bank account that is designated a Clients’ Trust Account and
the earnings of which inure to the benefit of a public benefit corporation,
as defined in ORS 65.001, for distribution to organizations and individuals
for first-time homebuying assistance and for development of affordable
housing. The sole practitioner or principal real estate broker shall
select a qualified public benefit corporation to receive the interest
earnings.
(7) A sole practitioner or principal real estate broker is not
entitled to any part of any interest earnings on trust funds deposited
under subsection (5) of this section or to any part of the earnest
money or other money paid to the sole practitioner or broker in connection
with any real estate transaction as part or all of the sole practitioner’s
or broker’s compensation until the transaction has been completed
or terminated. The question of the disposition of forfeited earnest
money shall be negotiated between the sole practitioner or principal
real estate broker and the seller at the time of executing any listing
agreement or earnest money agreement. The result of such negotiation
shall be filled in on the agreement form at the time of signing by
the seller and either separately initialed by the seller or placed
immediately above the signature of the seller.
(8) Clients’ Trust Account funds are not subject to execution
or attachment on any claim against a sole practitioner or principal
real estate broker.
(9) A sole practitioner or principal real estate broker may not
knowingly keep or cause to be kept any funds or money in any bank
under the heading of Clients’ Trust Account or any other name
designating such funds or money as belonging to the clients of any
sole practitioner or principal real estate broker, except actual
trust funds deposited with the sole practitioner or broker.
(10) The agency by rule shall establish an optional procedure by
which a sole practitioner or a principal real estate broker may elect
to disburse disputed funds held in relation to the sale, exchange
or purchase of real estate from a Clients’ Trust Account to
the person who delivered the funds to the sole practitioner or principal
real estate broker. The procedure shall allow disbursal not more
than 20 days after a request is made for the disbursal. A disbursal
pursuant to the procedure does not affect the claim of any other
person to the funds.
(11) The agency may provide by rule for other records to be maintained
and for the manner in which trust funds are deposited, held and disbursed.
[1975 c.746 §18 (enacted in lieu of 696.240); 1977 c.649 §39;
1981 c.617 §11a; 1985 c.589 §4; 1991 c.5 §37; 2001
c.300 §21; 2003 c.224 §1; 2005 c.116 §18; 2005 c.393 §2a;
2007 c.224 §1; 2007 c.319 §9; 2007 c.337 §4]
696.243 Substituting copy for original canceled check allowed;
electronic fund transfers. (1) Any real estate broker, principal
real estate broker, real estate property manager or escrow agent
who is required by the Real Estate Commissioner to maintain the canceled
checks used to disburse moneys from the licensee’s clients’ trust
account may substitute a copy of the original canceled check, if
the copy is provided by a bank and is produced by optical imaging
or other process that accurately reproduces the original or forms
a durable medium for reproducing the original, and the copy is at
least 300 dots per inch in quality.
(2) A real estate broker, principal real estate broker, real estate
property manager or escrow agent may use electronic fund transfers
for the deposit into or for withdrawal from a clients’ trust
account established under ORS 696.241 or 696.578, if the bank furnishes
to the licensee an accurate paper record of the deposits and withdrawals.
(3) As used in subsection (2) of this section, “electronic
fund transfer” has the meaning set forth in section 903 of
the Electronic Transfer Act (P.L. 90-321, 15 U.S.C. §1693a).
[1995 c.760 §4; 2001 c.300 §22]
Note: 696.243 was enacted into law by the Legislative Assembly
but was not added to or made a part of ORS chapter 696 or any series
therein by legislative action. See Preface to Oregon Revised Statutes
for further explanation.
696.245 Clients’ Trust Accounts; notice to bank; retention
of copy. (1) Each sole practitioner and each principal real estate
broker, at the time a Clients’ Trust Account is opened under
ORS 696.241, shall provide the bank in which the account is opened
with a notice in substantially the following form:
______________________________________________________________________________
NOTICE OF CLIENTS’ TRUST ACCOUNT
To: (name of bank) ________
Under the Oregon Real Estate License Law, I am the sole practitioner,
principal real estate broker or designated real estate appraiser
for (licensed name of broker or business) ____________.
Further, under ORS 696.241, I am required to maintain in Oregon
a Clients’ Trust Account for the purpose of holding funds belonging
to others.
With regard to the account(s) numbered _________ which is/are designated
as a Clients’ Trust Account, the account(s) is/are maintained
with you as a depository for money belonging to persons other than
myself and in my fiduciary capacity as a sole practitioner or principal
real estate broker established by client agreements in separate documents.
Dated: (insert date)
__________________
(signature of broker)
ACKNOWLEDGMENT OF RECEIPT
I, __________________, a duly authorized representative of (bank)
__________________, do hereby acknowledge receipt of the above NOTICE
OF CLIENTS’ TRUST ACCOUNT on (date)______.
__________________
(signature)
__________________
(title)
______________________________________________________________________________
(2) The acknowledged copy of the notice described in subsection
(1) of this section shall be retained by the sole practitioner or
principal real estate broker as provided in ORS 696.241 for the retention
of trust account records, subject to inspection by the Real Estate
Commissioner or the commissioner’s authorized representative.
[1985 c.589 §2; 1991 c.5 §38; 2001 c.300 §23; 2005
c.116 §19]
Note: 696.245 was added to and made a part of ORS 696.010 to 696.495
by legislative action but was not added to any smaller series therein.
See Preface to Oregon Revised Statutes for further explanation.
696.247 [1989 c.916 §1; 1991 c.716 §1; repealed by 1997
c.801 §37]
696.249 [1989 c.916 §2; 1991 c.716 §2; repealed by 1997
c.801 §37]
696.250 [Amended by 1953 c.202 §2; 1961 c.675 §1; 1965
c.367 §2; 1969 c.674 §14; 1975 c.746 §19; 1977 c.649 §37;
1981 c.617 §12; repealed by 1989 c.532 §10]
696.251 [1989 c.916 §2a; repealed by 1997 c.801 §37]
696.253 [1989 c.916 §3; repealed by 1997 c.801 §37]
696.254 [1989 c.916 §7; 1991 c.716 §4; 1993 c.744 §176;
repealed by 1997 c.801 §37]
(Nonresident and Reciprocal Real Estate Broker and Salesperson Licensing)
696.255 Nonresident license equivalent to appointment of commissioner
as agent for service of process; service on commissioner; fee. (1)
The acceptance by a nonresident of a real estate license shall be
considered equivalent to an appointment by the nonresident of the
Real Estate Commissioner as the nonresident licensee’s true
and lawful attorney, upon whom may be served any lawful summons,
process or pleading in any action or suit against the nonresident
licensee in any court of this state, arising out of any business
done by the nonresident licensee as a real estate licensee in this
state. The acceptance shall be considered equivalent to an agreement
by the nonresident licensee that any summons, process or pleading
so served shall be of the same legal force and validity as if served
on the nonresident licensee personally in this state.
(2) If it appears by the certificate of the sheriff of the county
in which an action or suit has been filed against a nonresident licensee,
that the defendant cannot be found in this state, service of any
summons, process or pleading in the action or suit may be made by
leaving a copy thereof, with a fee of $2, in the hands of the commissioner
or in the commissioner’s office. Such service shall be sufficient
and valid personal service upon the defendant; provided that:
(a) Notice of the service and copy of the summons, process or pleading
is sent forthwith by registered mail or by certified mail with return
receipt by the plaintiff or the plaintiff’s attorney to the
defendant, at the most recent address furnished to the commissioner
by the nonresident licensee or to the nonresident licensee’s
last-known address; and
(b) The affidavit of the plaintiff or the plaintiff’s attorney
of the mailing is appended to the summons, process or pleading and
entered as a part of the return thereof.
(3) Notwithstanding any other provision of this section, personal
service outside of the state in accordance with the statutes relating
to personal service of summons outside of the state shall relieve
the plaintiff from the mailing requirement under this section.
(4) Any summons served as provided in this section shall require
the defendant to appear and answer the complaint within four weeks
after receipt thereof by the commissioner.
(5) The fee of $2 paid by the plaintiff to the commissioner shall
be taxed as costs in favor of the plaintiff if the plaintiff prevails
in the action.
(6) The commissioner shall keep a record of each summons, process
or pleading served upon the commissioner under this section, showing
the day and hour of service. [1981 c.617 §12a; 1989 c.532 §9;
1991 c.249 §62]
696.258 [1989 c.532 §1; repealed by 2001 c.300 §84]
696.260 [Repealed by 1977 c.649 §53 and 1977 c.842 §17]
696.262 [1989 c.532 §§2,3; repealed by 1999 c.470 §4]
696.265 Recognition of nonresident real estate licensee; rules.
Notwithstanding ORS 696.040 to 696.232 and 696.255, the Real Estate
Commissioner may prescribe by rule the terms and conditions for license
recognition of a nonresident real estate broker or salesperson and
for reciprocity agreements with other states and countries, including
but not limited to application procedures, license qualifications,
license maintenance, limitations on activities and license renewal
requirements. [1989 c.532 §4; 1999 c.470 §3; 2001 c.300 §24]
Note: 696.265 was added to and made a part of 696.010 to 696.495
by legislative action but was not added to any smaller series therein.
See Preface to Oregon Revised Statutes for further explanation.
(Miscellaneous)
696.270 Fees. The maximum fees described in this section may be
charged by and paid to the Real Estate Agency. Actual fees shall
be prescribed by the Real Estate Commissioner with approval of the
Oregon Department of Administrative Services. This section applies
to the following fees:
(1) For each licensing examination applied for, $75.
(2) For each real estate broker’s, principal real estate
broker’s or real estate property manager’s license, $230.
(3) For each renewal of a real estate broker’s, principal
real estate broker’s or real estate property manager’s
license, $230.
(4) For each notification of the opening or closing of a registered
branch office of a real estate broker or principal real estate broker,
at times other than the time of issuing or renewing the broker’s
license, $10.
(5) For each change of name or address of a broker on the records
of the agency, $10.
(6) For each duplicate license, when the original license is lost
or destroyed and affidavit made thereof, $20.
(7) For each transfer of a real estate broker’s, principal
real estate broker’s or real estate property manager’s
license within the same license category, $10.
(8) For the renewal of a real estate broker’s, principal
real estate broker’s or real estate property manager’s
inactive license, $110.
(9) For the reactivation of a real estate broker’s, principal
real estate broker’s or real estate property manager’s
inactive license, $75.
(10) In addition to the renewal fee, for late renewal, $30.
(11) For a temporary license issued under ORS 696.205, $40, and
for an extension thereof, $40.
(12) For initial registration of a business name, $230. [Amended
by 1953 c.166 §5; 1955 c.457 §1; subsections (13), (14),
(15) enacted as 1955 c.322 §3; 1957 c.383 §2; 1961 c.670 §1;
1965 c.617 §3; 1969 c.674 §15; 1971 c.293 §1; 1975
c.746 §20; 1977 c.191 §3; 1977 c.649 §52; 1981 c.566 §4;
1987 c.58 §13; 1987 c.158 §146; 1987 c.611 §20; 1989
c.724 §8; 1991 c.5 §39; 1991 c.462 §3; 1997 c.451 §1;
2001 c.300 §25; 2003 c.398 §10; 2005 c.116 §20]
696.275 [1977 c.873 §18; repealed by 1987 c.58 §15]
696.280 Records of real estate brokers; rules. (1) A real estate
broker or principal real estate broker shall maintain within this
state, except as provided in subsection (4) of this section, complete
and adequate records of all professional real estate activity conducted
by or through the broker. The Real Estate Agency shall specify by
rule the records required to establish complete and adequate records
of a broker’s professional real estate activity. The only documents
the agency may require by rule a real estate broker or principal
real estate broker to use or generate are documents that are otherwise
required by law or are voluntarily generated during a real estate
transaction.
(2)(a) The records of a principal real estate broker or a sole
practitioner shall include records of attendance in continuing education
courses by the sole practitioner or broker. The records of attendance
shall state the name of the sole practitioner or broker and the date
of the sole practitioner’s or broker’s attendance, and
shall be the basis for self-certification under ORS 696.174.
(b) A principal real estate broker’s records shall include
records of attendance in continuing education courses by real estate
licensees associated with the principal broker. The record of attendance
shall state the name of the licensee and the date of the licensee’s
attendance, and shall be the basis for the certificate of attendance
submitted under ORS 696.174.
(3) The records shall at all times be open for inspection by the
Real Estate Commissioner or the commissioner’s authorized representatives.
The records of each transaction shall be maintained by the licensee
for a period of not less than six years after the date the transaction
closed or failed. The records may be maintained in any format that
allows for inspection and copying by the commissioner or the commissioner’s
representatives, as determined by the commissioner by rule.
(4) The agency may prescribe by rule terms and conditions under
which a real estate broker or principal real estate broker may maintain
records outside this state. [Amended by 1977 c.649 §38; 1981
c.617 §12b; 1983 c.258 §7; 1983 c.359 §2; 1991 c.5 §40;
1995 c.335 §3; 2001 c.300 §26; 2005 c.116 §21; 2007
c.319 §9a]
696.290 Sharing compensation with or paying finder’s fee
to unlicensed person prohibited; exceptions. (1) A real estate licensee
shall not offer, promise, allow, give, pay or rebate, directly or
indirectly, any part or share of the licensee’s compensation
arising or accruing from any real estate transaction or pay a finder’s
fee to any person who is not a real estate licensee licensed under
ORS 696.022. However, a real estate broker or principal real estate
broker may pay a finder’s fee or a share of the licensee’s
compensation on a cooperative sale when the payment is made to a
licensed real estate broker in another state or country, provided
that the state or country in which that broker is licensed has a
law permitting real estate brokers to cooperate with real estate
brokers or principal real estate brokers in this state and that such
nonresident real estate broker does not conduct in this state any
acts constituting professional real estate activity and for which
compensation is paid. If a country does not license real estate brokers,
the payee must be a citizen or resident of the country and represent
that the payee is in the business of real estate brokerage in the
other country. A real estate broker associated with a principal real
estate broker shall not accept compensation from any person other
than the principal real estate broker with whom the real estate broker
is associated at the time. A principal real estate broker shall not
make payment to the real estate broker of another principal real
estate broker except through the principal real estate broker with
whom the real estate broker is associated. Nothing in this section
prevents payment of compensation earned by a real estate broker or
principal real estate broker while licensed, because of change of
affiliation or inactivation of the broker’s license.
(2) Nothing in subsection (1) of this section is intended to prohibit
a real estate licensee who has a written property management agreement
with the owner of a residential building or facility from authorizing
the payment of a referral fee, rent credit or other compensation
to an existing tenant of the owner or licensee, or a former tenant
if the former tenant resided in the building or facility within the
previous six months, as compensation for referring new tenants to
the licensee.
(3) Nothing in subsection (1) of this section is intended to prevent
an Oregon real estate broker or principal real estate broker from
sharing compensation on a cooperative nonresidential real estate
transaction with a person who holds an active real estate license
in another state or country, provided:
(a) Before the out-of-state real estate licensee performs any act
in this state that constitutes professional real estate activity,
the licensee and the cooperating Oregon real estate broker or principal
real estate broker agree in writing that the acts constituting professional
real estate activity conducted in this state will be under the supervision
and control of the cooperating Oregon broker and will comply with
all applicable Oregon laws;
(b) The cooperating Oregon real estate broker or principal real
estate broker accompanies the out-of-state real estate licensee and
the client during any property showings or negotiations conducted
in this state; and
(c) All property showings and negotiations regarding nonresidential
real estate located in this state are conducted under the supervision
and control of the cooperating Oregon real estate broker or principal
real estate broker.
(4) Nothing in subsection (1) of this section is intended to prohibit
a real estate licensee from directly compensating a licensed personal
assistant if permitted by the terms, conditions and requirements
of a licensed personal assistant agreement under ORS 696.028.
(5) As used in subsection (3) of this section, “nonresidential
real estate” means any real property that is improved or available
for improvement by commercial structures or five or more residential
dwelling units. [Amended by 1953 c.42 §2; 1961 c.670 §2;
1969 c.674 §16; 1975 c.746 §21; 1977 c.649 §40; 1981
c.617 §13; 1989 c.724 §9; 1997 c.307 §1; 1999 c.470 §1;
2001 c.300 §27; 2007 c.337 §5]
696.294 Opinion letter; rules. (1) As used in this section, “letter
opinion” means a document that expresses a real estate licensee’s
conclusion regarding a recommended listing, selling or purchase price
or a rental or lease consideration of certain real estate and that
results from the licensee’s competitive market analysis.
(2) The Real Estate Commissioner by rule shall specify the minimum
contents of a letter opinion, including but not limited to the distinction
between a letter opinion and a real estate appraisal. [2007 c.319 §3]
Note: 696.294 was added to and made a part of 696.010 to 696.495
by legislative action but was not added to any smaller series therein.
See Preface to Oregon Revised Statutes for further explanation.
696.300 [Amended by 1959 c.585 §1; 1961 c.670 §3; 1969
c.674 §17; 1971 c.743 §409; 1973 c.421 §50; 1974 c.1 §25;
repealed by 1975 c.746 §22 (696.301 enacted in lieu of 696.300)]
696.301 Grounds for discipline. Subject to ORS 696.396, the Real
Estate Commissioner may suspend or revoke the real estate license
of any real estate licensee, reprimand any licensee or deny the issuance
or renewal of a license to an applicant who has done any of the following:
(1) Created a reasonable probability of damage or injury to a person
by making one or more material misrepresentations or false promises
in a matter related to professional real estate activity.
(2) Represented, attempted to represent or accepted compensation
from a principal real estate broker other than the principal real
estate broker with whom the real estate broker is associated.
(3) Disregarded or violated any provision of ORS 659A.421, 696.010
to 696.495, 696.600 to 696.785 and 696.800 to 696.870 or any rule
of the Real Estate Agency.
(4) Knowingly or recklessly published materially misleading or
untruthful advertising.
(5) Acted as an agent and an undisclosed principal in any transaction.
(6) Intentionally interfered with the contractual relations of
others concerning real estate or professional real estate activity.
(7) Intentionally interfered with the exclusive representation
or exclusive brokerage relationship of another licensee.
(8) Accepted employment or compensation for the preparation of
a competitive market analysis or letter opinion that is contingent
upon reporting a predetermined value or for real estate in which
the licensee had an undisclosed interest.
(9) Represented a taxpayer as described in ORS 305.230 or 309.100,
contingent upon reporting a predetermined value or for real estate
in which the licensee had an undisclosed interest.
(10) Failed to ensure, in any real estate transaction in which
the licensee performed the closing, that the buyer and seller received
a complete detailed closing statement showing the amount and purpose
of all receipts, adjustments and disbursements.
(11) Has been convicted of a felony or misdemeanor substantially
related to the licensee’s trustworthiness or competence to
engage in professional real estate activity.
(12) Demonstrated incompetence or untrustworthiness in performing
any act for which the licensee is required to hold a license.
(13) Violated a term, condition, restriction or limitation contained
in an order issued by the commissioner.
(14) Committed an act of fraud or engaged in dishonest conduct
substantially related to the fitness of the applicant or licensee
to conduct professional real estate activity, without regard to whether
the act or conduct occurred in the course of professional real estate
activity.
(15) Engaged in any conduct that is below the standard of care
for the practice of professional real estate activity in Oregon as
established by the community of individuals engaged in the practice
of professional real estate activity in Oregon. [1975 c.746 §23
(enacted in lieu of 696.300); 1977 c.649 §41; 1981 c.617 §14;
1989 c.532 §8; 1991 c.5 §41; 1993 c.547 §9; 1993 c.570 §13;
1999 c.470 §2; 2001 c.300 §28; 2003 c.398 §10a; 2005
c.116 §22; 2005 c.393 §3; 2007 c.319 §10; 2007 c.337 §6]
696.310 Intracompany supervision and control; effect of revocation
on licensed associates. (1) If two or more principal real estate
brokers are in business together, the brokers may have equal supervisory
control over and shall be equally responsible for the conduct of
other principal real estate brokers or real estate brokers associated
with the principal real estate brokers, or other employees employed
by the principal real estate brokers. The principal real estate brokers
shall execute a written agreement between them and establish office
policies specifying the supervisory control and responsibility for
each principal real estate broker who is a party to the agreement.
(2) An act constituting a violation of any of the provisions of
ORS 696.010 to 696.495, 696.600 to 696.785, 696.800 to 696.870 and
696.995 or of any rule adopted thereunder by any licensee is not
cause for the suspension or revocation of a license of any real estate
licensee associated with or engaged by such licensee, unless it appears
to the satisfaction of the Real Estate Commissioner that such associated
or engaged real estate licensee had guilty knowledge of the act.
A course of dealing shown to have been persistently and consistently
followed by any real estate licensee shall constitute prima facie
evidence of such knowledge upon the part of any real estate licensee
associated with or engaged by that licensee. [Amended by 1977 c.649 §42;
1981 c.617 §15; 2001 c.300 §31]
696.315 Prohibition against licensee permitting nonlicensed individual
to engage in activity with or on behalf of licensee. A real estate
licensee may not knowingly permit a nonlicensed individual to engage
in professional real estate activity, with or on behalf of the licensee.
[1977 c.649 §7; 1981 c.617 §15a; 2007 c.319 §11]
696.320 Effect of suspension or revocation of principal broker
license on associated licensees. The suspension or revocation of
a principal real estate broker’s license renders inactive every
license of the real estate brokers engaged by the principal real
estate broker pending a transfer of the license. The Real Estate
Agency shall transfer a license rendered inactive under this section
if the real estate licensee requests a transfer within 30 days after
the effective date of the suspension or revocation of the principal
real estate broker’s license and pays a transfer fee. [Amended
by 1969 c.674 §18; 1975 c.746 §24; 1977 c.649 §43;
1981 c.617 §15b; 1989 c.724 §10; 2001 c.300 §32; 2005
c.116 §9]
696.325 [1975 c.746 §36; 1977 c.649 §44; repealed by
1981 c.617 §41]
696.330 [Amended by 1967 c.206 §1; repealed by 1971 c.734 §21]
696.340 [Repealed by 1971 c.734 §21]
696.345 [1977 c.649 §4; repealed by 1991 c.5 §46]
696.350 [Repealed by 1971 c.734 §21]
696.355 [1977 c.649 §6; 1987 c.468 §4; 1991 c.5 §42;
repealed by 2001 c.300 §84]
696.359 [1981 c.617 §39; repealed by 2001 c.300 §84]
696.360 [Amended by 1967 c.206 §2; repealed by 1971 c.734 §21]
696.361 Regulation of real estate property manager. A real estate
property manager is regulated and bound as a real estate broker and
as a principal real estate broker. [1987 c.611 §18; 1989 c.724 §17;
1991 c.5 §43; 2001 c.300 §33]
696.363 Relationship between licensees as independent contractors
or employer and employee. Nothing contained in ORS 696.010 to 696.495,
696.600 to 696.785, 696.800 to 696.870, 696.990 and 696.995 prevents
the establishment of an independent contractor relationship between
real estate licensees or requires the establishment of an employer-employee
relationship. [1981 c.617 §40]
696.365 City or county business license tax. (1) A city or county
may not impose a business license tax on or collect a business license
tax from an individual licensed as a real estate broker who engages
in professional real estate activity only as an agent of a principal
real estate broker.
(2) As used in this section, “business license tax” has
the meaning given that term in ORS 701.015. [1987 c.581 §4;
2001 c.300 §78; 2007 c.319 §12]
Note: 696.365 was added to and made a part of ORS 696.010 to 696.495
but was not added to any smaller series therein by legislative action.
See Preface to Oregon Revised Statutes for further explanation.
(Administration)
696.375 Real Estate Agency; Real Estate Commissioner; confirmation,
salary and security of commissioner. (1) The Real Estate Agency is
established.
(2) The Real Estate Agency shall be under the supervision and control
of an administrator who shall be known as the Real Estate Commissioner.
The Governor shall appoint the Real Estate Commissioner who shall
have been, before the date of appointment, for five years a real
estate broker or principal real estate broker actively engaged in
business as such in this state. The Governor also may appoint an
individual who has been actively connected with the administration
of the agency for at least one year as acting or temporary commissioner.
The commissioner shall hold office at the pleasure of the Governor
and shall be responsible for the performance of the duties imposed
upon the agency. The Real Estate Commissioner shall receive such
salary as may be provided by law.
(3) The appointment of the commissioner is subject to confirmation
by the Senate in the manner prescribed in ORS 171.562 and 171.565.
(4) Before entering upon the duties of office the commissioner
shall give to the state a fidelity bond with one or more corporate
sureties authorized to do business in this state, or an irrevocable
letter of credit issued by an insured institution, as defined in
ORS 706.008, in either case in the sum fixed by the Governor. The
premium for the bond or the fee for the letter of credit shall be
paid by the agency. [1963 c.580 §§40,41; 1974 c.25 §1;
1975 c.746 §25; 1987 c.414 §38; 1991 c.331 §104; 1995
c.674 §1; 1997 c.631 §523; 2001 c.300 §34; 2007 c.319 §13]
696.380 [Repealed by 1963 c.580 §103]
696.385 Power of agency; rulemaking procedures. The Real Estate
Agency shall have the power to:
(1) Adopt a seal by which it shall authenticate its proceedings.
(2) From time to time, prepare and cause to be printed and circulated
among the real estate licensees of Oregon such printed matter as
it may deem helpful or educational or proper for the guidance and
welfare of such licensees.
(3) Make and enforce any and all such reasonable rules as shall
be deemed necessary to administer and enforce the provisions of,
and enforce and discharge the duties defined in, any law with the
administration or enforcement of which the agency is charged.
(4) Except as provided in subsection (5) of this section, when
the agency proposes to adopt, amend or repeal a rule concerning real
estate licensees, the agency shall:
(a) Submit a copy of the proposed rule to the Real Estate Board
at least 45 days prior to publication of the notice of intended action
required under ORS 183.335 for the rule.
(b) Consider any recommendations that the board, by majority vote,
makes concerning the proposed rule.
(c) Publish as part of the statement of need in the matters any
written comments submitted by the board for publication under paragraph
(b) of this subsection.
(5) Subsection (4) of this section does not apply to a temporary
rule that is adopted, amended or suspended pursuant to ORS 183.335
(5). However, the agency shall submit to the board a copy of any
proposed temporary rule as soon as practicable and, to the extent
possible under the circumstances, consider any recommendations that
the board may make by majority vote regarding the temporary rule.
[1963 c.580 §48; 1965 c.617 §5; 1981 c.617 §16; 1985
c.565 §116]
696.390 [Repealed by 1963 c.580 §103]
696.392 Power of commissioner to administer oaths, take depositions
and issue subpoenas. (1) The Real Estate Commissioner may administer
oaths, take depositions and issue subpoenas to compel the attendance
of witnesses and the production of books, papers, records, memoranda
or other information necessary to the carrying out of the laws the
commissioner is charged with administering.
(2) If any person fails to comply with a subpoena issued under
this section or refuses to testify on any matters on which the person
may be lawfully interrogated, the procedure provided in ORS 183.440
shall be followed to compel obedience. [1995 c.217 §13]
696.395 Power of commissioner. The Real Estate Commissioner shall
have the power to:
(1) For the purpose of administration, organize and reorganize,
as necessary, the Real Estate Agency in the manner that the commissioner
deems necessary to properly conduct the work of the agency.
(2) Appoint all subordinate officers and employees of the agency,
or such other agents or representatives, and prescribe their duties
and fix their compensation, subject to the applicable provisions
of the State Personnel Relations Law. Subject to any other applicable
law regulating travel expenses, the officers, employees, agents or
representatives of the agency shall be allowed such reasonable and
necessary travel and other expenses as may be incurred in the performance
of their duties.
(3) Require a fidelity bond or an irrevocable letter of credit
issued by an insured institution as defined in ORS 706.008 of any
officer or employee of the agency who has charge of, handles or has
access to any state money or property, and who is not otherwise required
by law to give a bond or letter of credit. The amounts of the bonds
or letters of credit shall be fixed by the commissioner, except as
otherwise provided by law, and the sureties or letter of credit issuers
shall be approved by the commissioner. The agency shall pay the premium
on the bonds and the fees for the letters of credit. [1963 c.580 §42;
1977 c.649 §45; 1987 c.414 §38a; 1991 c.331 §105;
1997 c.631 §524]
696.396 Investigation of complaints and progressive discipline;
rules. (1) The Real Estate Commissioner shall provide by rule for
the progressive discipline of real estate licensees and an objective
method for investigation of complaints alleging grounds for discipline
under ORS 696.301.
(2) The rules adopted by the commissioner under this section:
(a) Must establish procedures for the discovery of material facts
relevant to an investigation and for the reporting of those facts
without conclusions of violation or grounds for discipline to the
commissioner or the commissioner’s designee by the individual
assigned to investigate the complaint.
(b) Must provide for progressive discipline designed and implemented
to correct inappropriate behavior.
(c) May not authorize imposition of a suspension or a revocation
of a real estate license unless the material facts establish a violation
of a ground for discipline under ORS 696.301 that:
(A) Results in significant damage or injury;
(B) Exhibits incompetence in the performance of professional real
estate activity;
(C) Exhibits dishonesty or fraudulent conduct; or
(D) Repeats conduct or an act that is substantially similar to
conduct or an act for which the real estate licensee was disciplined
previously. [2005 c.393 §5]
696.398 Delegation by commissioner to employees; requirements.
(1) The Real Estate Commissioner may delegate to any of the officers
and employees of the Real Estate Agency to exercise or discharge
in the commissioner’s name any power, duty or function vested
in or imposed upon the commissioner under this chapter. The power
to administer oaths and affirmations, subpoena witnesses, take evidence
and require the production of books, papers, correspondence, memoranda,
agreements or other documents or records, and to sign notices and
orders may be exercised by an officer or employee of the agency only
when specified in writing by the commissioner and filed in the records
of the Real Estate Agency.
(2) An official act of an individual acting in the commissioner’s
name and by authority of the commissioner shall be deemed to be an
official act of the commissioner. [1975 c.746 §26; 2007 c.319 §14]
696.400 [Repealed by 1963 c.580 §103]
696.405 Real Estate Board; appointment; term; qualifications; compensation;
expenses. (1) The Real Estate Board is established within the Real
Estate Agency. The board shall consist of nine members appointed
by the Governor to hold office for a period of four years, but to
serve at the pleasure of the Governor. Seven members of the board
appointed by the Governor must have been, before the date of their
appointment, real estate licensees actively engaged for five years
in professional real estate activity in this state. Two members to
be appointed by the Governor shall not be real estate licensees or
have been connected with, or employed by, the Real Estate Agency
or a predecessor thereof. In case of a vacancy for any cause, the
Governor shall make an appointment to become immediately effective
for the unexpired term.
(2) A member of the board is entitled to compensation or expenses
as provided in ORS 292.495. [1963 c.580 §43; 1969 c.314 §97;
1975 c.746 §27; 1977 c.649 §46; 1981 c.617 §17; 1987
c.414 §39; 1993 c.744 §250]
696.410 [Repealed by 1963 c.580 §103]
696.415 Officers; meetings; quorum. (1) The Real Estate Board shall
annually select one of its members as chairperson, who shall preside
at the meetings of the board. In the absence of the chairperson some
other member of the board may serve as chairperson. The board shall
meet at such times and places as determined by the board and may
also meet upon call of the chairperson.
(2) A majority of the board shall constitute a quorum for the transaction
of business. A vacancy on the board shall not impair the right of
the remaining members to perform all the duties and exercise all
the functions and authority of the board. [1963 c.580 §45]
696.420 [Repealed by 1963 c.580 §103]
696.425 Powers and duties of board; expenses. (1) The Real Estate
Board is authorized to inquire into the needs of the real estate
licensees of Oregon, the functions of the Real Estate Agency and
the matter of the business policy thereof, to confer with and advise
the Governor as to how the agency may best serve the state and the
licensees, and to make recommendations and suggestions of policy
to the agency as the board may deem beneficial and proper for the
welfare and progress of the licensees and of the public and of the
real estate business in Oregon.
(2) The board shall conduct all examinations for applicants for
real estate licenses, prepare or cause to be prepared the questions
to be asked in the examinations and grade or cause to be graded the
papers of each applicant after the completion of the examination
and file a written report with the agency as to applicants taking
the examination who have passed and who have failed to pass the examination.
The board shall provide the manner and methods for conducting examinations.
(3) The expenses of the board shall be paid from moneys available
to the agency for payment of administrative expenses relating to
the real estate activities of the agency. [1963 c.580 §46; 1969
c.674 §19; 1977 c.649 §47; 1981 c.617 §18; 1987 c.414 §39a;
1993 c.744 §179]
696.430 Records of commissioner as evidence; records open to inspection;
rules. Copies of all records and papers in the office of the Real
Estate Commissioner duly certified and authenticated by the seal
of the commissioner shall be received in evidence in all courts equally
and with like effect as the original. Except for records of open
investigations, all records kept in the office of the commissioner
under authority of ORS 696.010 to 696.495, 696.600 to 696.785, 696.800
to 696.870 and 696.995 shall be open to public inspection under such
reasonable rules and regulations as shall be prescribed by the commissioner.
[Amended by 2001 c.300 §35]
696.435 [1963 c.546 §5; 1965 c.617 §6; repealed by 2001
c.300 §84]
696.440 [Repealed by 1963 c.580 §103]
696.445 Advancement of education and research; Oregon Real Estate
News Journal; content as to disciplinary actions. (1) Pursuant to
ORS 696.385 (2), the Real Estate Agency shall provide for the advancement
of education and research in connection with the educational requirements
for the securing of licenses for real estate licensees under ORS
696.010 to 696.495, 696.600 to 696.785, 696.800 to 696.870 and 696.995.
(2) The Real Estate Commissioner may assign and reassign staff
in the agency to perform such duties as the commissioner considers
necessary to carry out subsection (1) of this section, including
but not limited to the preparation and distribution of a periodic
publication to be known as the Oregon Real Estate News Journal and
the preparation and publication of other printed matter of an educational
nature for the benefit of real estate licensees.
(3) The commissioner shall publish in the Oregon Real Estate News
Journal the names and addresses of all applicants for real estate
or escrow licenses whose licenses have been refused, of real estate
licensees who have been reprimanded, of real estate and escrow licensees
whose licenses have been suspended or revoked and of real estate
and escrow licensees who have been assessed civil penalties. Each
such publication shall include a brief description of the situation
involved and the grounds for the commissioner’s action. [1974
c.26 §5; 1975 c.746 §28; 1977 c.649 §48; 1981 c.617 §19;
1983 c.258 §8; 2001 c.300 §64]
696.450 [Repealed by 1963 c.580 §103]
696.460 [Repealed by 1963 c.580 §103]
696.470 [Repealed by 1963 c.580 §103]
696.480 [Amended by 1977 c.649 §49; repealed by 1981 c.617 §41]
696.490 Real Estate Account; disposition of receipts. (1) There
is established in the General Fund of the State Treasury the Real
Estate Account. All moneys, fees and charges collected or received
by the Real Estate Agency shall be deposited in the account.
(2) The moneys in the Real Estate Account are continuously appropriated
for the payment of the expenses of the agency in carrying out the
provisions of ORS 92.305 to 92.495, 94.803, 94.807 to 94.945, 100.005
to 100.910, 100.990, 696.010 to 696.785, 696.800 to 696.870 and 696.995.
[Amended by 1955 c.457 §2; 1961 c.309 §4; 1963 c.440 §16;
1963 c.580 §50; 1965 c.617 §7; 1971 c.293 §2; 1974
c.26 §1; 1977 c.41 §2; 1981 c.85 §11; 1983 c.17 §30;
1983 c.530 §53; 1985 c.565 §117]
696.495 Revolving fund; amount; use; procedure for repayment. (1)
Upon written request by the Real Estate Agency, the Oregon Department
of Administrative Services shall draw a warrant on the Real Estate
Account, established by ORS 696.490, for use as a revolving fund.
Warrants drawn to establish or increase the revolving fund, rather
than to reimburse the revolving fund, may not exceed the aggregate
sum of $1,500. The State Treasurer shall hold the revolving fund
in a special account against which the Real Estate Agency may draw
checks.
(2) The Real Estate Agency may use the revolving fund for the purpose
of paying witness fees and other administrative expenses.
(3) All claims for reimbursement of moneys paid from the revolving
fund are subject to approval by the Director of the Oregon Department
of Administrative Services and by the Real Estate Commissioner. When
such claims have been approved, a warrant covering them shall be
drawn in favor of the Real Estate Agency and used to reimburse the
revolving fund. Such warrants shall be charged against the Real Estate
Account established by ORS 696.490. [1974 c.26 §3; 1977 c.41 §3]
696.500 [Amended by 1959 c.27 §1; repealed by 1961 c.309 §5]
ESCROWS AND ESCROW AGENTS
(Generally)
696.505 Definitions for ORS 696.505 to 696.590. As used in ORS
696.505 to 696.590, unless the context requires otherwise:
(1) “Collection escrow” means an escrow in which the
escrow agent:
(a) Receives:
(A) Installment payments;
(B) Instruments evidencing or securing an obligation; or
(C) Instruments discharging the security interest; and
(b) Disburses the payments or delivers the instruments upon specified
conditions pursuant to the written instructions of an obligor and
obligee.
(2) “Commissioner” means the Real Estate Commissioner.
(3) “Compensation” means any fee, commission, salary,
money or valuable consideration for services rendered or to be rendered
as well as the promise thereof and whether contingent or otherwise.
(4) “Escrow” means any transaction wherein any written
instrument, money, evidence of title to real or personal property
or other thing of value is delivered, for the purpose of paying an
obligation or effecting the sale, transfer, encumbrance or lease
of real or personal property, to a person not otherwise having any
right, title or interest therein, to be held by that person as a
neutral third party until the happening of a specified event or the
performance of a prescribed condition, when it is then to be delivered
by the neutral third party to a grantee, grantor, promisee, promisor,
obligee, obligor, bailee, bailor or any agent or employee of any
of them pursuant to the written instructions of the principals to
the transaction.
(5) “Escrow agent” means any person who engages in
the business of receiving escrows for deposit or delivery and who
receives or is promised any fee, commission, salary or other valuable
consideration, whether contingent or otherwise, for or in anticipation
of performance.
(6) “Principal” means:
(a) The buyer and seller, lessor and lessee and the exchanging
parties in an escrow transaction involving the sale, lease, lease-option
or exchange of real property or personal property; and
(b) The borrower in an escrow transaction involving the refinancing
of real or personal property, including but not limited to the refinancing
of an obligation secured by a land sale contract requiring a deed
to be delivered as part of such refinancing.
(7) “Real estate closing escrow” means an escrow where
the escrow fee is paid in whole or in part by the principals to a
real estate transaction and wherein the unpaid purchase price is
delivered to an escrow agent for disbursal pursuant to the written
instructions of the principals to the transaction simultaneously
on the transfer of specified title to the real property.
(8) “Subservicer” means an escrow agent, a financial
institution or a trust company, as those terms are defined in ORS
706.008, or a collection agency registered under ORS 697.015 when
providing, pursuant to written instructions, a portion of the escrow
services for an escrow to an escrow agent, or a person in the business
of receiving escrows under the laws of another state, that would
otherwise provide the escrow services directly to the principals.
[1963 c.440 §1; 1977 c.351 §4; 1981 c.617 §20; 1991
c.874 §1; 1993 c.18 §150; 2003 c.427 §4; 2005 c.116 §23;
2007 c.337 §2]
696.508 Legislative finding; short title. (1) The Legislative Assembly
finds the activity of escrow agents in handling large sums of money
and important rights of clients to be of public concern. In order
to permit uniform and equitable regulation of all escrow agents and
to improve the standards of escrow conduct, the provisions of ORS
696.505 to 696.590 shall be construed to grant the Real Estate Commissioner
authority to protect the public.
(2) ORS 696.505 to 696.590 may be cited as the Oregon Escrow Law.
[1977 c.351 §2]
696.510 [Repealed by 1961 c.309 §6]
(Licensing)
696.511 License required; application and information required;
issuance. (1) A person may not directly or indirectly engage in or
carry on, or purport to engage in or carry on, the business of an
escrow agent, or act in the capacity of an escrow agent, unless the
person holds an active license as an escrow agent under the provisions
of ORS 696.505 to 696.590.
(2)(a) Every escrow agent before engaging in the escrow business
shall file in the office of the Real Estate Commissioner an application
for a license, in writing, verified by the applicant and in the form
prescribed by the commissioner. The application must include the
location of the agent’s main office and all branch offices
in this state, the name or style of doing business, the names, resident
and business addresses of all persons interested in the business
as principals, partners, elected officers, trustees and directors,
specifying as to each the person’s capacity and title, the
general plan and character of business and the length of time the
agent has been engaged in business. Notification of changes in the
information contained in the application or in the ownership of the
business must be immediately filed with the commissioner.
(b) If the applicant is an individual, the applicant must be 18
years of age or older.
(3) For the initial license of an escrow agent, the commissioner
may require information and evidence the commissioner considers necessary
to demonstrate the applicant’s qualifications to transact escrow
business including, but not limited to, information regarding the
applicant’s financial resources, the applicant’s escrow
business in another state or the experience or training of employees
in escrow business, or a testimonial of an escrow agent licensed
in this state. Subject to subsection (4) of this section, an applicant:
(a) Who is an individual must demonstrate a minimum of three years
of experience in the administration of escrows within Oregon or a
state with comparable escrow laws; or
(b) Who is not an individual must demonstrate a minimum collective
experience among its personnel of three years in the administration
of escrows within Oregon or a state with comparable escrow laws.
(4) The commissioner may waive the three-year experience requirement
in subsection (3) of this section for an applicant who demonstrates
other qualifications sufficient to ensure the protection of the public.
(5) For the initial license or license renewal of an escrow agent,
the commissioner shall require fingerprints and a state or nationwide
criminal records check under ORS 181.534 of an applicant for an initial
license and may require fingerprints and a state or nationwide criminal
records check under ORS 181.534 of an applicant for license renewal.
The commissioner may require additional information for an initial
license or license renewal under this subsection that the commissioner
considers necessary for protecting the public. For purposes of requiring
fingerprints and a criminal records check, “applicant” means
an individual who has more than five percent ownership interest in
the escrow agency and the corporate officers in direct control of
escrow operations.
(6) For license renewal, an escrow agent shall provide:
(a) A certification of training, by which the applicant certifies
that the applicant provides escrow agency staff within Oregon with
an average of six hours or more of training per year per permanent,
full-time employee in subjects that bear directly on the administration
of escrows; and
(b) A statement identifying by name, address and telephone number
one or more individuals who can respond to the inquiries of or referrals
by the commissioner or the commissioner’s authorized representative
regarding the applicant’s escrow business.
(7) The commissioner, if satisfied that the applicant should not
be refused a license under ORS 696.535, shall issue or renew an escrow
agent license for an applicant that complies with the requirements
of ORS 696.505 to 696.590.
(8) To qualify for issuance or renewal of an escrow agent license,
an applicant shall pay any outstanding civil penalties or other moneys
due and owing to the Real Estate Agency except civil penalties or
other moneys due that are the subject of judicial or administrative
review on the date of the application for license or license renewal.
[1963 c.440 §§4,17; 1975 c.746 §29; 1977 c.351 §5;
1981 c.617 §21; 1991 c.874 §2; 2001 c.300 §36; 2003
c.427 §5; 2005 c.730 §§38,86; 2007 c.319 §15]
696.515 [1963 c.440 §3; repealed by 1981 c.617 §41]
696.520 Application of ORS 696.505 to 696.590. The provisions of
ORS 696.505 to 696.590 do not apply to and the term “escrow
agent” does not include:
(1) Any person doing business under the laws of this state or the
United States relating to banks, mutual savings banks, trust companies,
savings and loan associations, consumer finance companies, or insurance
companies except to the extent that the person provides real estate
closing escrow services other than those permitted under subsection
(3) of this section.
(2) An attorney at law rendering services in the performance of
duties as attorney at law.
(3) Any firm or corporation lending money on real or personal property
and which firm or corporation is subject to licensing, supervision
or auditing by a federal or state agency but only to the extent of
closing a loan transaction between such firm or corporation and a
borrower, and seller, if a fee for escrow services is not charged
to the seller.
(4) Any person doing any of the acts specified in ORS 696.505 (4)
under order of any court.
(5) Any real estate broker or principal real estate broker licensed
under ORS 696.022 who performs the closing for the principals in
a real estate transaction handled by the broker, if the principals
are not charged a separate fee for escrow services.
(6) Any collection agency registered under ORS 697.015 that is
engaged in any collection or billing activity without holding documents
relating to the debt. [1963 c.440 §2; 1967 c.359 §701;
1971 c.398 §1; 1977 c.351 §6; 1981 c.617 §22; 1991
c.874 §3; 2001 c.300 §37; 2003 c.427 §6; 2007 c.337 §7]
696.523 Application of ORS 696.505 to 696.590 to title insurance
activities. The provisions of ORS 696.505 to 696.590 apply to those
escrow activities of a title insurance company, or an insurance producer
of a title insurance company which prepares abstracts or makes searches
of title which are used as a basis for the insurance of titles by
a title insurance company. [1971 c.398 §3; 1977 c.351 §7;
2003 c.364 §55]
696.525 Bond for escrow agents. (1) At the time of filing an application
for an escrow agent license, the applicant shall deposit with the
Real Estate Commissioner a corporate surety bond running to the State
of Oregon, executed by a surety company satisfactory to the commissioner,
in the amount required by this section.
(2) If the total annual receipts of client trust funds, as reported
in the required annual report of the escrow agent, are:
(a) Less than $30 million, the bond or deposit must be $50,000.
(b) $30 million or more, but less than $60 million, the bond or
deposit must be $125,000.
(c) $60 million or more, but less than $100 million, the bond or
deposit must be $250,000.
(d) $100 million or more, but less than $300 million, the bond
or deposit must be $375,000.
(e) $300 million or more, the bond or deposit must be $500,000.
(3) The provisions of the corporate surety bond must be in the
form substantially as follows:
______________________________________________________________________________
Know All Persons by These Presents, That we, ______ as principal,
and ______, a corporation, qualified and authorized to do business
in the State of Oregon as surety, are held and firmly bound unto
the State of Oregon for the use and benefit of any interested person,
in the sum of $______, lawful money of the United States of America,
to be paid to the State of Oregon for the use and benefit aforesaid,
for which payment well and truly to be made, we bind ourselves, our
heirs, executors, administrators, successors, and assigns, jointly
and severally, firmly by these presents.
The condition of the above obligation is such that: Whereas the
above-named principal has made application for registration as an
escrow agent within the meaning of ORS 696.505 to 696.590 and is
required by the provisions of ORS 696.505 to 696.590 to furnish a
bond in the sum above named, conditioned as herein set forth:
Now, therefore, if the principal, the principal’s agents
and employees, shall strictly, honestly and faithfully comply with
the provisions of ORS 696.505 to 696.590, and shall pay all actual
damages suffered by any person by reason of the violation of any
of the provisions of ORS 696.505 to 696.590, now or hereafter enacted,
or by reason of any fraud, dishonesty, misrepresentation or concealment
of material facts growing out of any transaction governed by the
provisions of ORS 696.505 to 696.590, then this obligation shall
be void; otherwise to remain in full force and effect.
This bond shall become effective on the ___ day of ______, 2__,
and shall remain in force until the surety is released from liability
by the commissioner, or until this bond is canceled by the surety.
The surety may cancel this bond and be relieved of further liability
hereunder by giving 30 days’ written notice to the principal
and to the commissioner.
This bond shall be one continuing obligation, and the liability
of the surety for the aggregate of any and all claims which may arise
hereunder shall in no event exceed the amount of the penalty hereof.
In witness whereof, the seal and signature of the principal hereto
is affixed, and the corporate seal and the name of the surety hereto
is affixed and attested by its duly authorized officers at ___________,
Oregon, this ___ day of _________, 2___.
__________________(Seal)
Principal
__________________(Seal)
Surety
By __________________
______________________________________________________________________________
[1963 c.440 §5; 1971 c.398 §4; 1977 c.351 §8; 1981
c.617 §23; 1983 c.258 §9; 1991 c.874 §4; 2001 c.300 §72;
2003 c.427 §7]
696.527 Deposits in lieu of bond; payment of claims; waiver. (1)
Any escrow agent may satisfy the requirements of ORS 696.525 by depositing
with the State Treasurer, in an amount equal to the surety bond required,
a deposit consisting only of the following:
(a) Cash;
(b) Ample secured obligations of the United States, a state or
a political subdivision thereof;
(c) Certificates of deposit or other investments described in ORS
733.650 (4), to the extent that such investments are insured by the
Federal Deposit Insurance Corporation; or
(d) Any combination of paragraphs (a), (b) or (c) of this subsection.
(2) The State Treasurer shall accept and hold the deposit for the
faithful performance of escrow activity by the escrow agent. No claimant
or judgment creditor or the escrow agent shall have the right to
attach or levy upon any of the assets or securities held on deposit.
(3) The Real Estate Commissioner, by order, may authorize the State
Treasurer to use such deposit, as follows:
(a) To satisfy any final judgment entered against the escrow agent
for actual damages suffered by any person by reason of the violation
of any of the provisions of ORS 696.505 to 696.590, now or hereafter
enacted, or by reason of any fraud, dishonesty, misrepresentation
or concealment of material fact growing out of any escrow transaction;
(b) For use in the liquidation of the escrow agent under the provisions
of ORS 696.555; or
(c) To release any or all of such deposit to the escrow agent when,
in the opinion of the commissioner, such deposit is no longer necessary
to protect the public.
(4) The commissioner may waive the requirement of the surety bond
or deposit for any escrow agent that:
(a) Demonstrates to the commissioner’s satisfaction that
the capital and surplus or net worth, of such escrow agent as of
the end of the previous business accounting year of the agent is
equal to, or greater than, the average month-end balance of custodial
funds held by such agent during the previous business accounting
year;
(b) Provides a certified, annually renewable letter of credit executed
by a financial institution and satisfactory to the commissioner in
the amount of the surety bond required by ORS 696.525; or
(c) Provides a certified, personal guarantee executed by one or
more owners of the escrow agency and satisfactory to the commissioner
in the amount of the surety bond required by ORS 696.525.
(5) All other claims against the bond or deposit of an escrow agent
must be paid by the commissioner only upon the receipt of a final
court judgment against the escrow agent and only in the amount of
actual damages as ordered by the court. [1977 c.351 §3; 1981
c.617 §24; 1991 c.874 §5; 1999 c.107 §11; 2003 c.427 §8]
696.530 Expiration and renewal of license; fees; rules. (1) The
license of an escrow agent expires on June 30 next after the date
of issuance or on such date as may be specified by rule of the Real
Estate Commissioner. A license may be renewed by filing a renewal
application in writing, verified by the applicant and in the form
prescribed by the commissioner, and paying the annual license fee
for the next succeeding fiscal year.
(2) The filing fees are:
(a) For filing an original or a renewal application, $300 for the
main office and $150 for each branch office.
(b) For filing an application for a duplicate copy of a license,
upon satisfactory showing of loss of the license, the sum of $20.
(c) For a name change or a change of address of an escrow agent,
$10 for the main office plus $10 for each affected branch office.
(3) The commissioner, by rule, may provide an opportunity for the
late renewal of an expired escrow agent license by an applicant who
fails to renew the license by the date specified under subsection
(1) of this section. [1963 c.440 §6; 1977 c.351 §9; 1977
c.873 §19; 1981 c.617 §25; 1991 c.874 §14; 1997 c.451 §2;
2003 c.427 §9; 2005 c.116 §11; 2007 c.225 §1; 2007
c.768 §54a]
696.532 Limited license. (1) The Real Estate Commissioner may issue
or renew a limited escrow agent license if:
(a) An applicant elects not to apply for an escrow agent license;
or
(b) An applicant does not qualify for an escrow agent license.
(2) The commissioner may limit a license issued under this section:
(a) By term;
(b) To activities subject to supervision by a specific escrow agent;
(c) By conditions to be observed in the exercise of the privileges
granted; or
(d) In other ways determined by the commissioner as necessary or
appropriate to protect the public.
(3) A limited licensee shall comply with the requirements of ORS
696.505 to 696.590 and shall:
(a) Restrict the escrow business of the licensee to those escrows
specified in the application; or
(b) Limit its escrow business to collection escrows. [2003 c.427 §2]
Note: 696.532 and 696.534 were added to and made a part of 696.505
to 696.590 by legislative action but were not added to any smaller
series therein. See Preface to Oregon Revised Statutes for further
explanation.
696.534 Records of escrow agents; rules. (1) An escrow agent shall
keep and maintain at all times in the licensed office of the agent,
complete and suitable records of escrow transactions made by the
agent and of the business of the agent including, but not limited
to, books, papers and data clearly reflecting the financial condition
of the business of the agent. The records must be open for inspection
by the Real Estate Commissioner or the commissioner’s authorized
representatives at all times. An escrow agent shall keep escrow records
for a period of six years from the date the escrow closes or is terminated.
An escrow agent may maintain the records in any format, as determined
by the commissioner by rule, that allows for inspection and copying
by the commissioner or the commissioner’s representatives.
When an escrow agent acts as a subservicer for another escrow agent,
the subservicer shall keep its records in the manner required for
an escrow agent under this section.
(2) Notwithstanding the requirement of subsection (1) of this section
that an escrow agent maintain escrow records in the agent’s
licensed office, an escrow agent shall keep escrow records in the
office in which the transaction occurred for one year from the date
the escrow closes or is terminated.
(3) Notwithstanding the requirements of subsections (1) and (2)
of this section to maintain escrow records in specified locations,
an escrow agent may maintain escrow records at another location satisfactory
to the commissioner if the escrow agent provides the commissioner
with prior written notice of the proposed location. [2003 c.427 §3]
Note: See note under 696.532.
696.535 Grounds for refusing, suspending or revoking license. (1)
The Real Estate Commissioner may refuse to issue or may suspend or
revoke any license by entering an order to that effect with the commissioner’s
findings in respect thereto if, upon examination into the affairs
of the applicant or licensee in the performance of routine duties,
upon field examination or upon hearing, the commissioner determines
that the applicant or licensee:
(a) Has, under generally accepted accounting principles, a deficit
net worth;
(b) Has demonstrated unworthiness to transact the business of an
escrow agent;
(c) Does not conduct business in accordance with law or has violated
any provisions of ORS 696.505 to 696.590;
(d) Has committed fraud in connection with any transaction governed
by ORS 696.505 to 696.590;
(e) Has made any misrepresentations or false statement of an essential
or material fact to, or concealed any essential or material fact
from, any person in the course of the escrow business;
(f) Has knowingly made or caused to be made to the commissioner
any false representation of a material fact, or has suppressed or
withheld from the commissioner any information the applicant or licensee
possesses that, if submitted, would have disqualified the applicant
or licensee from original or renewed licensing under ORS 696.505
to 696.590;
(g) Has failed to account to the principals or persons entitled
thereto in a real estate transaction for the moneys, documents or
other things of value received in the transaction;
(h) Has not delivered, after a reasonable time, to persons entitled
thereto, moneys, documents or other things of value held or agreed
to be delivered by the licensee, as and when paid for and due to
be delivered;
(i) Has caused uncompensated material loss to principals by engaging
in a pattern of failures to act with neutrality between principals
in multiple escrows;
(j) Has refused to permit an examination by the commissioner of
the escrow agent’s books and affairs, or has refused or failed,
within a reasonable time, to furnish any information, records or
files or make any report that may be required by the commissioner
under the provisions of ORS 696.505 to 696.590; or
(k) Has been convicted of a felony or any misdemeanor that is substantially
related to the escrow agent’s competency or trustworthiness
to engage in the business of an escrow agent.
(2) It is sufficient cause for refusal or revocation of a license
in case of a partnership or corporation or any unincorporated association,
if any member of a partnership or any officer or director of the
corporation or association has been guilty of any act or omission
which would be cause for refusing or revoking the registration of
an individual agent. [1963 c.440 §7; 1971 c.734 §159; 1977
c.351 §10; 1981 c.617 §26; 1985 c.399 §3; 1991 c.874 §6;
1995 c.760 §5; 1997 c.812 §1; 2001 c.300 §38; 2003
c.427 §10]
696.540 [1963 c.440 §8; repealed by 1977 c.351 §11 and
1977 c.842 §17 (696.541 enacted in lieu of 696.540)]
696.541 Authority of commissioner over escrow agents; rules. (1)
The Real Estate Commissioner shall have general supervision and control
over all escrow agents doing business in this state. Subject to ORS
chapter 183, the commissioner may adopt such rules as reasonably
necessary for the administration and enforcement of ORS 696.505 to
696.590.
(2) All escrow agents are subject to audits or examinations by
the commissioner, or the commissioner’s authorized representatives
at any time the commissioner considers advisable. The commissioner
may collect from each escrow agent the reasonable expenses of such
audit or examination including but not limited to any administrative
expense for travel.
(3) The provisions of this section and of any other section relating
to the examination of the affairs of an escrow agent shall extend
to an escrow agent whose license has expired or been revoked or suspended,
if in the judgment of the commissioner, such agent has violated any
provisions of ORS 696.505 to 696.590. [1977 c.351 §12 (enacted
in lieu of 696.540); 1981 c.617 §27; 1985 c.399 §4; 1991
c.874 §7; 2001 c.300 §39; 2003 c.427 §11]
(Enforcement)
696.545 Investigation; injunction; jurisdiction. (1) The Real Estate
Commissioner may investigate either upon complaint or otherwise whenever
it appears that an escrow agent has violated ORS 696.505 to 696.590
or that any person is engaging in the escrow business without being
licensed under the provisions of ORS 696.505 to 696.590.
(2) If upon investigation it appears that such agent is so conducting
business the commissioner may, in addition to any other remedies,
bring action in the name and on behalf of the State of Oregon against
such person and any other person acting in violation of ORS 696.505
to 696.590, to enjoin such person and such other person from continuing
any act in violation of ORS 696.505 to 696.590.
(3) The circuit court of any county of this state is vested with
jurisdiction to restrain illegal practices or transactions and may
grant injunctions to prevent and restrain such illegal practices
or transactions, in addition to the penalties and other remedies
provided in ORS 696.505 to 696.590. The court shall have power, during
the pendency of the proceedings before it to issue such preliminary
restraining orders as may appear to be just and proper; and the findings
of the commissioner shall be deemed to be prima facie evidence and
sufficient ground, in the discretion of the court, for the issue
ex parte of a preliminary restraining order.
(4) In any such court proceedings the commissioner may apply for
and on due showing be entitled to have issued the court’s subpoena
requiring forthwith the appearance of any defendant and employees
of the defendant and the production of documents, books and records
as may appear necessary for the hearing of such petition, to testify
and give evidence concerning the acts or conduct or things complained
of in such application for injunction. [1963 c.440 §9; 1979
c.284 §194; 1981 c.617 §28; 1991 c.874 §8]
696.550 [1963 c.440 §10(1), (2); repealed by 1971 c.734 §21]
696.555 Commissioner to take possession of property and assets
of escrow agent when assets or capital impaired; appointment of receiver.
(1) When the Real Estate Commissioner ascertains by examination or
otherwise that the assets or capital of any agent are impaired, as
described in ORS 696.535 (1)(a), the commissioner may immediately
take possession of all the property, business and assets of the agent
which are located in this state and retain possession of them pending
the further proceedings specified in this section.
(2) Pursuant to subsection (1) of this section, the commissioner
may apply to the circuit court of the county in which the agent’s
principal place of business is located for an order directing the
agent to show cause why a receiver should not be appointed to take
charge of and manage or liquidate if necessary the assets of the
agent utilized in professional escrow activity in such a manner as
to prevent or minimize such financial loss to others.
(3) If the court is satisfied from reading the commissioner’s
petition that the facts therein alleged, if established, warrant
such receivership action, the court shall issue such order to show
cause. The court may at such time, without notice, issue a temporary
injunction restraining such agent, or any of the agent’s officers,
directors, stockholders, members, agents or employees, from the transaction
of any professional escrow activity, or the waste or disposition
of any such assets until further order of the court. Should such
an injunction be issued, a hearing on whether the injunction shall
be continued shall be held within five business days of its service.
(4) On return of the order to show cause, and after a full hearing,
the court shall either deny the application or grant the same, together
with such other relief as the court may deem necessary.
(5) Notwithstanding any other provision of law, no bond shall be
required of the commissioner or the commissioner’s authorized
representatives as a prerequisite for the issuance of any injunction
or other order pursuant to this section.
(6) At any time during such proceedings, the agent may satisfy
the court that the activity which prompted such proceedings has been
rectified or that financial loss to others no longer will likely
occur, in which case the court may dismiss such proceedings.
(7) The expenses of the receiver, compensation of the legal counsel
of the receiver, as well as all expenditures of the receiver required
in such proceedings shall be fixed by the court and shall be paid
out of funds in the hands of the receiver or entered as a judgment
against such licensee. [1963 c.440 §10(3), (4); 1975 c.746 §30;
1981 c.617 §29; 1991 c.874 §9; 2001 c.300 §40]
696.560 [1963 c.440 §11; 1975 c.746 §31; 1981 c.617 §30;
1985 c.589 §5; renumbered 696.578]
696.565 [1963 c.440 §12; renumbered 696.579]
696.570 Hearings procedure under ORS 696.505 to 696.590; subpoena.
(1) All hearings before the Real Estate Commissioner or the commissioner’s
authorized representative conducted under the authority of ORS 696.505
to 696.590 shall be conducted in accordance with the provisions of
ORS chapter 183.
(2) The commissioner, or anyone authorized by the commissioner,
shall have the power to subpoena witnesses and administer oaths in
connection with hearings in the enforcement of ORS 696.505 to 696.590.
[1963 c.440 §13; 1981 c.617 §30a]
696.575 Civil or criminal actions not limited by ORS 696.505 to
696.590. Nothing in ORS 696.505 to 696.590 shall limit any statutory
or common law right of any person to bring any action in any court
for any act involved in the transaction of the escrow business or
the right of the state to punish any person for any violation of
any law. [1963 c.440 §14]
696.577 Commissioner’s order against unlicensed agent. Whenever
the Real Estate Commissioner finds that any person is offering to
engage in or engaging in the business of an escrow agent without
a license as an escrow agent as required under ORS 696.505 to 696.590,
the commissioner may order the person to cease and desist from offering
to engage in or engaging in the business of an escrow agent. Any
proceeding under this section is subject to the requirements of ORS
chapter 183. [1981 c.617 §36]
(Escrow Property)
696.578 Deposit and designation of money held in escrow; treatment
of earnings on escrow account; notice. (1) All money deposited in
escrow to be delivered upon the close of the escrow or upon any other
contingency shall be deposited and maintained in a bank authorized
to do business within this state and kept separate, distinct and
apart from funds belonging to the escrow agent. Such funds, when
deposited, are to be designated as trust funds, escrow accounts,
or under some other appropriate name indicating that the funds are
not the funds of the escrow agent.
(2) Trust funds received by an escrow agent may be placed by the
agent in a federally insured interest-bearing bank account, designated
a clients’ trust account, but only with the prior written approval
of all parties having an interest in the trust funds. The earnings
of such interest-bearing account may inure to the benefit of the
escrow agent if expressly approved in writing before deposit of the
trust funds by all parties having an interest in the trust funds.
(3) With prior written notice to all parties who have an interest
in the trust funds, an escrow agent may place trust funds received
by the escrow agent in a federally insured interest-bearing bank
account that is designated a clients’ trust account and the
earnings of which inure to the benefit of a public benefit corporation,
as defined in ORS 65.001, for distribution to organizations and individuals
for first-time homebuying assistance and for development of affordable
housing. The escrow agent shall select a qualified public benefit
corporation to receive the interest earnings.
(4) Any bank services, as defined by rule by the Real Estate Commissioner,
provided to the escrow agent shall not be considered to affect the
impartiality or neutrality of the escrow agent. Such services are
permitted with approval in the written closing instructions of the
principals.
(5) Clients’ trust funds may be invested in secured obligations
of the United States, if:
(a) The depositing principal gives prior written approval to the
escrow agent for such investment after receiving written disclosure
as may be required by rule adopted by the commissioner;
(b) The depositing principal releases the escrow agent from any
liability for loss of such funds;
(c) The depositing principal agrees that any loss of funds shall
not be a claim against the bond, deposit, letter of credit or personal
guarantee of the agent under ORS 696.525 and 696.527; and
(d) The escrow agent does not have any interest in the investment
or earnings from the investment.
(6) If the funds to be invested represent earnest money in a transaction,
both principals in the transaction must give prior written approval
for the investment and are both considered depositing principals.
[Formerly 696.560; 1991 c.874 §10; 2003 c.224 §2; 2003
c.427 §12]
696.579 Funds exempt from execution or attachment; designation
of funds. (1) Escrow or trust funds are not subject to execution
or attachment on any claim against the escrow agent.
(2) No person shall knowingly keep or cause to be kept any funds
or money in any bank under the heading of “trust funds” or “escrow
accounts” or any other name designating such funds or money
as belonging to the clients of any escrow agency, except actual escrow
or trust funds deposited with such agency. [Formerly 696.565]
696.580 [1963 c.440 §15; repealed by 1973 c.794 §34]
696.581 Written escrow instructions or agreement required; statement;
instructions containing blank prohibited; one-sided escrow; exception.
(1) An escrow agent may not accept funds, property or documents in
any escrow transaction without dated, written escrow instructions
from the principals to the transaction or a dated executed agreement
in writing between the principals to the transaction.
(2) An escrow agent may not close an escrow or disburse any funds
or property in an escrow without obtaining dated, separate escrow
instructions in writing from the principals to the transaction adequate
to administer and close the transaction or, in the case of disbursement,
to disburse the funds and property.
(3) The following statement or its substantial equivalent shall
appear on or be attached to all written escrow instructions prepared
by an escrow agent for signature of the principals to a transaction.
The statement shall be in at least 10-point bold type. The statement
shall either appear immediately above the signatures of the principals
or be separately initialed by the principals:
______________________________________________________________________________
It is understood by the parties signing the above or attached instructions
that the instructions are the complete instructions between this
firm as an escrow agent and you as a principal to the escrow transaction.
These instructions may not include all the terms of the agreement
which is the subject of this escrow. Read these instructions carefully,
and do not sign them unless they are acceptable to you.
______________________________________________________________________________
(4) An escrow agent may not solicit or accept any original, amended
or supplemental escrow instructions containing any blank to be filled
in after signing. An escrow agent shall not allow any alteration
of original, amended or supplemental escrow instructions, unless
the alteration is signed or initialed by all principals who signed
or initialed the instructions before the alteration.
(5) An escrow agent may accept client funds, in excess of earnest
money required in transaction documents to be held, as individual
funds of the principal who has paid them into escrow. Such individual
funds may be disbursed with only the separate written instructions
of the principal who deposited the funds into escrow.
(6) An escrow agent may open a one-sided escrow, as defined by
rule by the Real Estate Commissioner. Such escrow funds may be disbursed
with only the separate written instructions of the principal who
deposited the funds into escrow.
(7) Except as authorized in ORS 105.475, notwithstanding the requirement
for dated, separate escrow instructions to close an escrow or disburse
funds or property in an escrow, an escrow agent:
(a) May disburse earnest money deposited based on an agreement
of the parties executed after the initial sales agreement; and
(b) May not impose additional requirements on the principals to
the transaction, including a requirement that the principals sign
a release of liability in favor of the escrow agent. [1985 c.399 §2;
1991 c.874 §11; 2007 c.289 §1]
696.582 Escrow agent to hold certain compensation; conditions;
notice of demand; disbursement of money; copy of notice to principal.
(1) An escrow agent shall hold, as provided in subsection (3) of
this section, the amount of money or other property agreed to as
compensation in a written real estate broker’s or principal
real estate broker’s compensation agreement, if the escrow
agent has at the office at which the escrow is being closed, before
the date of closing:
(a) A written notice of compensation, signed by the real estate
broker or principal real estate broker who is authorized under rules
adopted by the Real Estate Commissioner to enter into the compensation
agreement and sign the written notice of compensation, in substantially
the form set out in subsection (2) of this section; and
(b) The written closing instructions of the principals which do
not honor the amount and terms of payment in the notice of compensation.
(2) The notice of compensation required by subsection (1) of this
section may not be incorporated into any document of agreement between
the principals or between the broker and a principal, and shall be
in substantially the following form:
______________________________________________________________________________
Notice of
Real Estate Compensation
To: ____________
(Name of Escrow Company)
Re: ____________
(Names of Principals to
Transaction)
Your Escrow Number: ______
The undersigned real estate broker or principal real estate broker
states that such broker has a valid written compensation agreement
with ______ (Name of Principal), one of the principals to the transaction
referred to above, and that such principal is obligated to pay the
broker the compensation on account of that transaction. The compensation
amount is $_____ and is to be paid on the following terms: _________.
Request is hereby made that the compensation be paid in that amount
and on those terms, out of escrow and as a part of your closing of
that transaction.
__________________
(Name and Signature of Real Estate Broker
or Principal Real Estate Broker)
______________________________________________________________________________
(3) An escrow agent in a transaction described in subsection (1)
of this section may only disburse the moneys or other property to:
(a) The broker and principal, based upon a written agreement between
those parties and directed to the escrow agent as disbursement instructions;
(b) Any persons, as directed by order of a court of competent jurisdiction;
or
(c) The court, upon filing by the escrow agent of an interpleader
action for the moneys or property.
(4) If the filing of a notice of compensation with an escrow agent
under subsection (1) of this section is made more than 10 days prior
to the scheduled closing date, the real estate broker or principal
real estate broker filing the notice shall deliver a copy of the
notice to the principal identified in the notice. If the notice is
filed within 10 days of the scheduled closing date, a copy of the
notice shall be provided by the escrow agent to the principal identified
in the notice at the time of closing. [1985 c.449 §2; 2001 c.300 §41;
2007 c.337 §1]
(Civil Penalties)
696.585 Civil penalties. (1) Any person who violates any provision
of ORS 696.505 to 696.545, or any lawful rule or final order of the
Real Estate Commissioner or any final judgment made by any court
upon application of the commissioner, may be required to forfeit
and pay to the General Fund of the State Treasury, a civil penalty
in an amount determined by the commissioner of not more than $3,000
for each offense. Each violation shall be deemed a separate offense.
(2) In addition to the civil penalty set forth in subsection (1)
of this section, any person who violates any provision of ORS 696.505
to 696.590, any lawful rule or final order of the commissioner or
any final judgment made by a court upon application to the commissioner,
may be required to forfeit and pay to the General Fund of the State
Treasury, a civil penalty in an amount determined by the commissioner
but not to exceed the amount by which such person profited in any
transaction which violates any such provision, rule, order or judgment.
(3) Civil penalties under this section are imposed as provided
in ORS 183.745.
(4) The provisions of this section are in addition to and not in
lieu of any other enforcement provision contained in ORS 696.505
to 696.590. [1975 c.746 §32; 1981 c.617 §31; 1983 c.696 §26a;
1989 c.706 §24; 1991 c.734 §85; 1991 c.874 §12; 2003
c.427 §13; 2003 c.576 §544]
696.590 Penalty amounts. (1) Any person who violates ORS 696.511
(1) may be required by the Real Estate Commissioner to forfeit and
pay to the General Fund of the State Treasury a civil penalty in
an amount determined by the commissioner of:
(a) Not less than $500 nor more than $1,000 for the first offense
of unlicensed professional escrow activity; and
(b) Not less than $1,000 nor more than $3,000 for the second and
subsequent offenses of unlicensed professional escrow activity.
(2) In addition to the civil penalty set forth in subsection (1)
of this section, any person who violates ORS 696.511 may be required
by the commissioner to forfeit and pay to the General Fund of the
State Treasury a civil penalty in an amount determined by the commissioner
but not to exceed the amount by which such person profited in any
transaction which violates ORS 696.511.
(3) Civil penalties under this section must be imposed in the manner
provided in ORS 183.745.
(4) The civil penalty provisions of subsections (1) and (2) of
this section are in addition to and not in lieu of the criminal penalties
for unlicensed professional escrow activity in ORS 696.990 (1) and
(2). [1991 c.874 §17; 2003 c.427 §14]
REAL ESTATE MARKETING
696.600 Definitions for ORS 696.392, 696.600 to 696.785 and 696.995.
As used in ORS 696.392, 696.600 to 696.785 and 696.995:
(1) “Employee” includes an individual who has an independent
contractual relationship with a real estate marketing organization
and performs real estate marketing activity.
(2) “Real estate marketing activity” means procuring
or offering to procure prospects to purchase, sell, lease or rent
real estate by telemarketing, mail or otherwise.
(3) “Real estate marketing organization” means any
person, including a partnership, association, corporation, limited
liability company or other organization, other than a real estate
marketing employee, that engages in real estate marketing activity
and is licensed under ORS 696.606.
(4)(a) “Real estate marketing employee” means an individual
who receives compensation from a real estate marketing organization
for performing real estate marketing activity.
(b) “Real estate marketing employee” does not mean
an individual licensed under ORS 696.022. [1995 c.217 §2; 2001
c.300 §65; 2007 c.319 §16]
696.603 License required for persons engaged in real estate marketing
activities. (1) A person may not engage in real estate marketing
activity unless that person is:
(a) Licensed under ORS 696.606;
(b) Licensed under ORS 696.022; or
(c) Registered by a person licensed under ORS 696.606.
(2) No person may employ an individual as a real estate marketing
employee unless the person registers the individual with the Real
Estate Commissioner as the employee of the real estate marketing
organization before the individual commences real estate marketing
activity.
(3) This section applies to persons who:
(a) Initiate real estate marketing activity in this state; or
(b) Initiate real estate marketing activity in another state that
includes contacting persons in this state.
(4) One act or transaction of real estate marketing activity is
sufficient to constitute engaging in real estate marketing activity
within the meaning of this section. [1995 c.217 §3; 2001 c.300 §66]
696.606 Real estate marketing organization license; requirements;
deposit required; claims against deposit; rules. (1) In accordance
with any applicable provisions of ORS chapter 183, the Real Estate
Commissioner shall establish by rule a system to license real estate
marketing organizations. Such a system shall include but need not
be limited to prescribing:
(a) The form and content of and the times and procedures for submitting
an application for the issuance or renewal of a license.
(b) The term of the license and the fee for the original issue
and renewal in an amount that does not exceed the cost of administering
the licensing system.
(c) The requirements and procedures to register the names of and
other information regarding the real estate marketing employees employed
by applicants or licensees.
(d) Those actions or circumstances that constitute failure to achieve
or maintain licensing or competency or that otherwise constitute
a danger to the public interest and for which the commissioner may
refuse to issue or renew or may suspend or revoke a license or registration
or may impose a penalty.
(e) Those activities of principals of the organization that constitute
a danger to the public interest and for which the commissioner may
refuse to issue or renew or may suspend or revoke a registration
or may impose a penalty. For purposes of this section, “principal” means
a person who has permitted or directed another to act for the person’s
benefit with respect to a real estate marketing organization.
(2) Licenses for real estate marketing organizations shall be granted
only if the principal persons of the organization are trustworthy
and competent to conduct real estate marketing activity in such manner
as to safeguard the interests of the public and only after satisfactory
proof has been presented to the commissioner. As used in this subsection, “satisfactory
proof” includes but is not limited to the fingerprints and
a criminal records check of the applicant. For the purpose of requesting
a state or nationwide criminal records check under ORS 181.534, the
commissioner may require the fingerprints of the applicant.
(3) At the time of filing an application for a license as a real
estate marketing organization, the applicant shall deposit with the
commissioner a corporate surety bond running to the State of Oregon,
executed by a surety company satisfactory to the commissioner, in
the amount of $35,000 in a form and under terms and conditions established
by the commissioner.
(4) Any real estate marketing organization may satisfy the requirements
of subsection (3) of this section by depositing with the commissioner,
in an amount equal to the surety bond required, a deposit consisting
of any of the following:
(a) Cash;
(b) Ample secured obligations of the United States, a state or
a political subdivision thereof;
(c) Certificates of deposit or other investments described in ORS
733.650 (4) to the extent that such investments are insured by the
Federal Deposit Insurance Corporation; or
(d) Any combination of paragraphs (a), (b) and (c) of this subsection.
(5) Any real estate marketing organization making a deposit with
the commissioner shall assign in trust, to the Real Estate Commissioner,
and the commissioner’s successors in office, all cash certificates
or securities deposited in accordance with this section.
(6) The deposit shall be accepted and held by the commissioner
for the faithful performance of real estate marketing activity by
the real estate marketing organization. No claimant or judgment creditor
of the real estate marketing organization shall have the right to
attach or levy upon any of the assets or securities held on deposit.
(7) The commissioner, by order, may use such deposit under subsection
(3) or (4) of this section, as follows:
(a) To satisfy any final judgment entered against the real estate
marketing organization for actual damages suffered by any person
by reason of the violation of ORS 696.603, 696.606 or 696.612 or
a rule adopted pursuant thereto, or by reason of any fraud, dishonesty,
misrepresentation or concealment of material fact growing out of
any real estate marketing activity.
(b) To satisfy an order of the commissioner if the commissioner
determines that a violation of ORS 696.603, 696.606 or 696.612 or
a rule adopted pursuant thereto has occurred and directs the payment
of a claim from the deposit provided the following conditions have
been met:
(A) The amount of actual damages claimed, excluding attorney fees,
by the consumer is $1,000 or less.
(B) The consumer has first contacted the real estate marketing
organization involved and, in writing, has made demand for payment
of actual damages.
(C) The real estate marketing organization has had 30 calendar
days from the date of the consumer’s written demand to deal
with the demand.
(D) The claim is only for actual damages sustained by the consumer.
(8) All claims against the deposit under subsection (3) or (4)
of this section of a real estate marketing organization, other than
those described in subsection (7) of this section, must be paid by
the commissioner only upon the receipt of a final court judgment
against the real estate marketing organization and only in the amount
of actual damages as ordered by the court. [1995 c.217 §4; 1999
c.107 §12; 2005 c.730 §39]
696.609 Exemptions from ORS 696.392, 696.600 to 696.785 and 696.995.
ORS 696.392, 696.600 to 696.785 and 696.995 do not apply to an individual
licensed under ORS 696.022 or to those persons exempt under ORS 696.030
from licensing under ORS 696.020. [1995 c.217 §5; 2001 c.300 §42;
2007 c.319 §17]
696.610 [Repealed by 1981 c.617 §41]
696.612 Grounds for disciplinary action. The Real Estate Commissioner
may suspend or revoke the license of any real estate marketing organization
or reprimand any licensee, or may deny the issuance or renewal of
a license to an applicant who has done any of the following:
(1) Knowingly or negligently pursued a course of material misrepresentation
in matters related to real estate marketing activity, whether or
not damage or injury resulted, or knowingly or negligently made any
material misrepresentation or material false promise in a matter
related to real estate marketing activity if the material misrepresentation
or material false promise created a reasonable probability of damage
or injury, whether or not damage or injury actually resulted.
(2) Failed, within a reasonable time, to account for or to remit
any moneys or to surrender to the rightful owner any documents or
other valuable property coming into the possession of the real estate
marketing organization that belongs to others.
(3) Disregarded or violated any provision of this section, ORS
696.603 or 696.606 or any rule adopted pursuant thereto.
(4) Guaranteed, authorized or permitted any person to guarantee
future profits that may result from the resale of real property.
(5) Failed or refused upon demand to produce or to supply true
copies of any document, book or record in the possession or control
of the real estate marketing organization for inspection by the commissioner
or the commissioner’s authorized representative.
(6) Failed to register and maintain the current and accurate names
of, and information regarding, each real estate marketing employee
of the real estate marketing organization.
(7) Procured or attempted to procure a real estate marketing license
by fraud, misrepresentation or deceit or by making any material misstatement
of fact in an application for a real estate marketing license.
(8) Failed to exercise supervision over the activities of real
estate marketing employees. For the purposes of this subsection, “supervision” means
that management by an organization that is reasonably designed and
implemented to result in compliance by the employees of the organization
with this section, ORS 696.603 or 696.606 or any rule adopted pursuant
thereto.
(9) Engaged in any act or conduct, whether of the same or of a
different character specified in this subsection, that constitutes
or demonstrates bad faith, incompetence, untrustworthiness or dishonest,
fraudulent or improper dealings.
(10) Failed to meet or maintain the deposit requirements of ORS
696.606 (3) or (4).
(11) Failed to pay in full any final judgment on claims adjudged
by the commissioner or by a court of competent jurisdiction.
(12) Violated ORS 646.608. [1995 c.217 §6]
696.615 Publication of sanctions imposed for violations. The Real
Estate Commissioner shall publish information in local newspapers
pertaining to sanctions imposed for violations of ORS 696.603, 696.606
or 696.612 in a manner allowed under ORS 696.430 and 696.445 (3).
[1995 c.217 §7]
696.618 Denial of right to court action for unlicensed real estate
marketing organization. No person carrying on, conducting or transacting
any real estate marketing activity may maintain any suit or action
in any of the courts of this state to enforce any claim arising out
of real estate marketing activity without alleging and proving that
the person was licensed under ORS 696.606 at the time of performing
such activities. [1995 c.217 §8]
696.620 [Amended by 1975 c.491 §7; repealed by 1981 c.617 §41]
696.621 Real Estate Marketing Account. The Real Estate Marketing
Account is established as an account in the General Fund of the State
Treasury. All moneys received by the Real Estate Agency pursuant
to ORS 696.392, 696.600 to 696.785 and 696.995 shall be paid into
the State Treasury and credited to the account. All moneys in the
account are appropriated continuously to the Real Estate Agency to
carry out the provisions of ORS 696.392, 696.600 to 696.785 and 696.995.
[1995 c.217 §9; 2001 c.300 §67]
696.624 Consent by nonresident real estate marketing organization
to service of summons or process required. (1) Every nonresident
real estate marketing organization, at the time of licensing, shall
file with the Real Estate Commissioner an irrevocable consent that
if, in any suit or action commenced against the nonresident organization
in this state arising out of a violation of any provision of ORS
696.603, 696.606 or 696.612, personal service of summons or process
upon the nonresident organization cannot be made in this state after
the exercise of due diligence, a valid service may be made upon the
nonresident organization by service on the commissioner.
(2) The consent shall be in writing, executed and verified by an
officer of the real estate marketing organization and shall set forth:
(a) The name of the real estate marketing organization.
(b) The address to which documents served upon the commissioner
are to be forwarded.
(c) If the real estate marketing organization is a corporation
or unincorporated association, that the consent signed by such officer
was authorized by resolution duly adopted by the board of directors.
(3) The address for forwarding documents served under this section
may be changed by filing a new consent in the form prescribed in
subsection (2) of this section.
(4) Service on the commissioner of any summons or process shall
be made by delivery to the commissioner or a clerk on duty in any
office of the commissioner, and shall include duplicate copies of
such summons or process, together with duplicate copies of any papers
required by law to be delivered in connection with such service.
(5) When the commissioner is served with any such summons or process,
the commissioner shall immediately cause one of the copies thereof,
with any accompanying papers, to be forwarded by registered or certified
mail, return receipt requested, to the real estate marketing organization
at the address set forth in the consent.
(6) The commissioner shall keep a record of all summonses and processes,
notices and demands served upon the commissioner under this section,
and shall record therein the time of such service and the action
with reference thereto. [1995 c.217 §11]
696.627 On-site inspection allowed; deposit. (1) The Real Estate
Commissioner may make an on-site inspection of any real estate marketing
organization.
(2) When an on-site inspection under subsection (1) of this section
is to be made, the commissioner may require the organization to advance
a deposit not to exceed $200 per day, in addition to any other fee,
for making the on-site inspection. Any unexpended portion of the
deposit shall be refunded to the organization. [1995 c.217 §12]
696.630 [Repealed by 1981 c.617 §41]
696.640 [Repealed by 1981 c.617 §41]
ACTIONS AND REMEDIES
696.710 Necessity of alleging license in action to collect compensation.
(1) An individual engaged in the business of, or acting in the capacity
of, a real estate broker or principal real estate broker within this
state may not bring or maintain any action in the courts for the
collection of compensation without alleging and proving that the
individual was a licensed broker when the alleged cause of action
arose.
(2) An action in the courts for collection of compensation for
an individual engaged in the business of, or acting in the capacity
of, a real estate broker associated with a principal real estate
broker may not be brought or maintained except by the principal real
estate broker with whom the real estate broker was associated when
the alleged cause of action arose. [Amended by 1981 c.617 §32;
1991 c.5 §44; 2001 c.300 §43; 2007 c.319 §18]
696.720 Remedies are concurrent. The remedies provided for in ORS
696.010 to 696.495, 696.600 to 696.785, 696.800 to 696.870 and 696.995
are in addition to and not exclusive of any other remedies provided
by law.
696.730 Jurisdiction of courts for violations; revoking license
upon conviction; copy of order to commissioner. Any court of competent
jurisdiction, including a justice court, has full power to hear any
violation of ORS 696.010 to 696.495, 696.600 to 696.785, 696.800
to 696.870 and 696.995 by an individual licensed under ORS 696.022,
and, upon finding a violation, the court may, at its discretion and
in addition to the other penalties imposed, revoke the license of
the individual found to have violated any provision of ORS 696.010
to 696.495, 696.600 to 696.785, 696.800 to 696.870 and 696.995. The
clerk of the court shall forward a copy of any order revoking a real
estate license to the Real Estate Commissioner. [Amended by 1987
c.468 §5; 2001 c.300 §79; 2007 c.319 §19]
696.740 [1971 c.734 §161; repealed by 1981 c.617 §41]
696.745 [1975 c.746 §33; 1977 c.649 §56; repealed by
1981 c.617 §41]
696.775 Authority of commissioner when license lapsed, expired,
revoked, suspended or surrendered. The lapsing, expiration, revocation
or suspension of a real estate license, whether by operation of law,
order of the Real Estate Commissioner or decision of a court of law,
or the inactive status of the license or voluntary surrender of the
license by the real estate licensee, does not deprive the commissioner
of jurisdiction to:
(1) Proceed with an investigation of the licensee;
(2) Conduct disciplinary proceedings relating to the licensee;
(3) Take action against a licensee, including assessment of a civil
penalty against the licensee for a violation of ORS 696.020 (2);
or
(4) Revise or render null and void an order suspending or revoking
a license. [1977 c.649 §3; 1981 c.617 §32a; 2005 c.116 §12;
2007 c.319 §20]
696.785 Commissioner duties when illegal commingling of funds found;
receivership procedure. (1) When the Real Estate Commissioner ascertains
by audit, investigation or otherwise that a real estate licensee
has commingled trust funds with personal funds or has embezzled trust
funds and that such activity is likely to cause significant financial
loss to others as a result of professional real estate activity engaged
in by such licensee, the commissioner may communicate such fact to
the Attorney General, whereupon it shall become the duty of the Attorney
General to forthwith assist the commissioner in instituting such
proceedings as may be necessary to carry out the purposes of this
section.
(2) Pursuant to subsection (1) of this section, the commissioner
may apply to the circuit court of the county in which the licensee’s
principal place of business is located for an order directing the
licensee to show cause why a receiver should not be appointed to
take charge of and manage or liquidate if necessary the assets of
the licensee utilized in professional real estate activity in such
a manner as to prevent or minimize such financial loss to others.
(3) If the court is satisfied from reading the commissioner’s
petition that the facts therein alleged, if established, warrant
such receivership action, the court shall issue such order to show
cause. The court may at such time, without notice, issue a temporary
injunction restraining such licensee, or any of the licensee’s
officers, directors, stockholders, members, agents or employees,
from the transaction of any professional real estate activity, or
the waste or disposition of any such assets until further order of
the court. Should such an injunction be issued, a hearing on whether
the injunction shall be continued shall be held within five business
days of its service.
(4) On return of the order to show cause, and after a full hearing,
the court shall either deny the application or grant the same, together
with such other relief as the court may deem necessary.
(5) Notwithstanding any other provision of law, no bond shall be
required of the commissioner or the commissioner’s authorized
representatives as a prerequisite for the issuance of any injunction
or other order pursuant to this section.
(6) At any time during such proceedings, the licensee may satisfy
the court that the activity which prompted such proceedings has been
rectified or that financial loss to others no longer will likely
occur, in which case the court may dismiss such proceedings.
(7) The expenses of the receiver, compensation of the legal counsel
of the receiver, as well as all expenditures of the receiver required
in such proceedings shall be fixed by the court and shall be paid
out of funds in the hands of the receiver or entered as a judgment
against such licensee. [1977 c.649 §8; 1981 c.617 §33]
MISCELLANEOUS
696.790 Authority of commissioner to require fingerprints. For
the purpose of requesting a state or nationwide criminal records
check under ORS 181.534, the Real Estate Commissioner may require
the fingerprints of an individual who:
(1) Is applying for a license, or renewal of a license, under this
chapter; or
(2)(a)(A) Is employed or applying for employment by the Real Estate
Agency; or
(B) Provides services or seeks to provide services to the Real
Estate Agency as a contractor or volunteer; and
(b) Is, or will be, working or providing services in a position:
(A) In which the individual is providing information technology
services and has control over, or access to, information technology
systems that would allow the individual to harm the information technology
systems or the information contained in the systems;
(B) In which the individual has access to information that state
or federal laws, rules or regulations prohibit disclosing or define
as confidential;
(C) That has payroll functions or in which the individual has responsibility
for receiving, receipting or depositing money or negotiable instruments,
for billing, collections or other financial transactions or for purchasing
or selling property or has access to property held in trust or to
private property in the temporary custody of the state;
(D) That has mailroom duties as a primary duty or job function;
(E) That has personnel or human resources functions as a primary
responsibility;
(F) In which the individual has access to Social Security numbers,
dates of birth or criminal background information of employees or
members of the public; or
(G) In which the individual has access to tax or financial information
about individuals or business entities. [1989 c.724 §14; 2005
c.730 §40; 2007 c.619 §4]
696.793 [1989 c.724 §15; repealed by 2005 c.730 §77]
696.795 Authority of commissioner to conduct investigations and
proceedings. (1) For the purpose of an investigation or proceeding
under this chapter, the commissioner may administer oaths and affirmations,
subpoena witnesses, compel their attendance, take evidence and require
the production of books, papers, correspondence, memoranda, agreements
or other documents or records which the commissioner deems relevant
or material to the inquiry. Each witness who appears before the commissioner
under a subpoena shall receive the fees and mileage provided for
witnesses in civil cases.
(2) If a person fails to comply with a subpoena so issued or a
party or witness refuses to testify on any matters, the judge of
the circuit court or of any county, on the application of the commissioner,
shall compel obedience by proceedings for contempt as in the case
of disobedience of the requirements of a subpoena issued from such
court or a refusal to testify therein. [1989 c.724 §16]
AGENTS’ OBLIGATIONS
696.800 Definitions. As used in ORS 696.392, 696.600 to 696.785,
696.800 to 696.870 and 696.995, unless the context requires otherwise:
(1) “Agent” means:
(a) A real estate broker or principal real estate broker who has
entered into:
(A) A listing agreement with a seller;
(B) A service contract with a buyer to represent the buyer; or
(C) A disclosed limited agency agreement; or
(b) An individual licensed under ORS 696.022 who has entered into
a written contract with a real estate broker or principal real estate
broker to act as the broker’s agent in connection with acts
requiring a real estate license and to function under the broker’s
supervision.
(2) “Buyer” means a potential transferee in a real
property transaction, and includes a person who:
(a) Executes an offer to purchase real property from a seller through
an agent; or
(b) Enters into an exclusive representation contract or buyer’s
service agreement with a real estate broker or principal real estate
broker, whether or not a sale or transfer of property results.
(3) “Confidential information” means information communicated
to a real estate licensee or the licensee’s agent by the buyer
or seller of one to four residential units regarding the real property
transaction, including but not limited to price, terms, financial
qualifications or motivation to buy or sell. “Confidential
information” does not mean information that:
(a) The buyer instructs the licensee or the licensee’s agent
to disclose about the buyer to the seller or the seller instructs
the licensee or the licensee’ agent to disclose about the seller
to the buyer; and
(b) The licensee or the licensee’s agent knows or should
know failure to disclose would constitute fraudulent representation.
(4) “Disclosed limited agency” means a real property
transaction in which the representation of a buyer and seller or
the representation of two or more buyers occurs within the same real
estate business.
(5) “Listing agreement” means a contract between a
seller of real property and a real estate broker or principal real
estate broker by which the broker has been authorized to act as an
agent of the seller for compensation to offer the real property for
sale or to find and obtain a buyer.
(6) “Listing price” means the amount expressed in dollars,
specified in the listing agreement, for which the seller is willing
to sell the real property through the listing agent.
(7) “Offer” means a written proposal executed by a
buyer for the sale or lease of real property.
(8) “Offering price” is the amount expressed in dollars
specified in an offer to purchase for which the buyer is willing
to buy the real property.
(9) “Principal” means the person who has permitted
or directed an agent to act on the principal’s behalf. In a
real property transaction, this generally means the buyer or the
seller.
(10) “Real property” means any estate in real property,
including a condominium as defined in ORS 100.005, a timeshare property
as defined in ORS 94.803 and the granting of an option or right of
first refusal. “Real property” also includes a manufactured
structure, as defined in ORS 446.561, owned by the same person who
owns the land upon which the manufactured structure is situated. “Real
property” does not include a leasehold in real property.
(11) “Real property transaction” means a transaction
regarding real property in which an agent is employed by one or more
of the principals to act in that transaction and includes but is
not limited to listing agreements, buyer’s service agreements,
exclusive representation contracts and offers to purchase.
(12) “Sale” or “sold” refers to a transaction
for the transfer of real property from the seller to the buyer and
includes:
(a) Exchanges of real property between the seller and the buyer
and third parties; and
(b) Land sales contracts.
(13) “Seller” means a potential transferor in a real
property transaction and includes an owner:
(a) Who enters into a listing agreement with a real estate broker
or principal real estate broker, whether or not a transfer results;
or
(b) Who receives an offer to purchase real property, of which the
seller is the owner, from an agent acting on behalf of a buyer. [1993
c.570 §2; 2001 c.300 §44; 2003 c.655 §84; 2005 c.116 §§13,14;
2007 c.319 §21]
Note: Section 351, chapter 79, Oregon Laws 1995, provides:
Sec. 351. The provisions of ORS 696.800 to 696.855 [series became
696.800 to 696.870] apply to ORS 696.010 to 696.495. [1995 c.79 §351]
696.805 Real estate licensee as seller’s agent; obligations.
(1) A real estate licensee who acts under a listing agreement with
the seller acts as the seller’s agent only.
(2) A seller’s agent owes the seller, other principals and
the principals’ agents involved in a real estate transaction
the following affirmative duties:
(a) To deal honestly and in good faith;
(b) To present all written offers, written notices and other written
communications to and from the parties in a timely manner without
regard to whether the property is subject to a contract for sale
or the buyer is already a party to a contract to purchase; and
(c) To disclose material facts known by the seller’s agent
and not apparent or readily ascertainable to a party.
(3) A seller’s agent owes the seller involved in a real estate
transaction the following affirmative duties:
(a) To exercise reasonable care and diligence;
(b) To account in a timely manner for money and property received
from or on behalf of the seller;
(c) To be loyal to the seller by not taking action that is adverse
or detrimental to the seller’s interest in a transaction;
(d) To disclose in a timely manner to the seller any conflict of
interest, existing or contemplated;
(e) To advise the seller to seek expert advice on matters related
to the transaction that are beyond the agent’s expertise;
(f) To maintain confidential information from or about the seller
except under subpoena or court order, even after termination of the
agency relationship; and
(g) Unless agreed otherwise in writing, to make a continuous, good
faith effort to find a buyer for the property, except that a seller’s
agent is not required to seek additional offers to purchase the property
while the property is subject to a contract for sale.
(4) A seller’s agent may show properties owned by another
seller to a prospective buyer and may list competing properties for
sale without breaching any affirmative duty to the seller.
(5) Except as provided in subsection (3)(g) of this section, an
affirmative duty may not be waived.
(6) Nothing in this section implies a duty to investigate matters
that are outside the scope of the real estate licensee’s expertise,
including but not limited to investigation of the condition of property,
the legal status of the title or the owner’s past conformance
with law, unless the licensee or the licensee’s agent agrees
in writing to investigate a matter. [1993 c.570 §3; 2001 c.300 §45;
2003 c.398 §11; 2005 c.393 §6]
Note: See note under 696.800.
696.810 Real estate licensee as buyer’s agent; obligations.
(1) A real estate licensee other than the seller’s agent may
agree with the buyer to act as the buyer’s agent only. The
buyer’s agent is not representing the seller, even if the buyer’s
agent is receiving compensation for services rendered, either in
full or in part, from the seller or through the seller’s agent.
(2) A buyer’s agent owes the buyer, other principals and
the principals’ agents involved in a real estate transaction
the following affirmative duties:
(a) To deal honestly and in good faith;
(b) To present all written offers, written notices and other written
communications to and from the parties in a timely manner without
regard to whether the property is subject to a contract for sale
or the buyer is already a party to a contract to purchase; and
(c) To disclose material facts known by the buyer’s agent
and not apparent or readily ascertainable to a party.
(3) A buyer’s agent owes the buyer involved in a real estate
transaction the following affirmative duties:
(a) To exercise reasonable care and diligence;
(b) To account in a timely manner for money and property received
from or on behalf of the buyer;
(c) To be loyal to the buyer by not taking action that is adverse
or detrimental to the buyer’s interest in a transaction;
(d) To disclose in a timely manner to the buyer any conflict of
interest, existing or contemplated;
(e) To advise the buyer to seek expert advice on matters related
to the transaction that are beyond the agent’s expertise;
(f) To maintain confidential information from or about the buyer
except under subpoena or court order, even after termination of the
agency relationship; and
(g) Unless agreed otherwise in writing, to make a continuous, good
faith effort to find property for the buyer, except that a buyer’s
agent is not required to seek additional properties for the buyer
while the buyer is subject to a contract for purchase or to show
properties for which there is no written agreement to pay compensation
to the buyer’s agent.
(4) A buyer’s agent may show properties in which the buyer
is interested to other prospective buyers without breaching an affirmative
duty to the buyer.
(5) Except as provided in subsection (3)(g) of this section, an
affirmative duty may not be waived.
(6) Nothing in this section implies a duty to investigate matters
that are outside the scope of the real estate licensee’s expertise,
including but not limited to investigation of the condition of property,
the legal status of the title or the owner’s past conformance
with law, unless the licensee or the licensee’s agent agrees
in writing to investigate a matter. [1993 c.570 §4; 2001 c.300 §46;
2003 c.398 §12; 2005 c.393 §7]
Note: See note under 696.800.
696.815 Representation of both buyer and seller; obligations. (1)
A real estate licensee may represent both the seller and the buyer
in a real estate transaction under a disclosed limited agency agreement,
with full disclosure of the relationship under the agreement.
(2) A real estate licensee acting pursuant to a disclosed limited
agency agreement has the following duties and obligations:
(a) To the seller, the duties under ORS 696.805;
(b) To the buyer, the duties under ORS 696.810; and
(c) To both seller and buyer, except with express written permission
of the respective person, the duty not to disclose to the other person:
(A) That the seller will accept a price lower or terms less favorable
than the listing price or terms;
(B) That the buyer will pay a price greater or terms more favorable
than the offering price or terms; or
(C) Specific confidential information as defined in ORS 696.800
(3).
(3) Nothing in this section implies a duty to investigate matters
that are outside the scope of the real estate licensee’s expertise
unless the licensee agrees in writing to investigate a matter.
(4) In a real estate transaction in which different real estate
brokers associated with the same principal real estate broker establish
agency relationships with different parties to the real estate transaction,
the principal real estate broker shall be the only broker acting
as a disclosed limited agent representing both seller and buyer.
Other brokers shall continue to represent only the party with whom
the broker has an agency relationship unless all parties agree otherwise
in writing.
(5) The principal real estate broker and the real estate licensees
representing either seller or buyer shall owe the following duties
to the seller and buyer:
(a) To disclose a conflict of interest in writing to all parties;
(b) To take no action that is adverse or detrimental to either
party’s interest in the transaction; and
(c) To obey the lawful instructions of both parties. [1993 c.570 §5;
2001 c.300 §47]
Note: See note under 696.800.
696.820 Agency disclosure pamphlet; rules. (1) The Real Estate
Commissioner shall prescribe by rule the format and content of an
initial agency disclosure pamphlet. The rules must provide that the
initial agency disclosure pamphlet is informational only and may
not be construed to be evidence of intent to create an agency relationship.
(2) An agent shall provide a copy of the initial agency disclosure
pamphlet at the first contact with each party to a real property
transaction, including but not limited to contacts in person, by
telephone, over the Internet or the World Wide Web, or by electronic
mail, electronic bulletin board or a similar electronic method. [1993
c.570 §6; 2001 c.300 §48; 2005 c.116 §15]
Note: See note under 696.800.
696.822 Liability of principal for act, error or omission of agent
or subagent. (1) A principal is not liable for an act, error or omission
by an agent or subagent of the principal arising out of an agency
relationship established under ORS 696.805, 696.810, 696.815 or 696.820:
(a) Unless the principal participates in or authorizes the act,
error or omission; and
(b) Only to the extent that:
(A) The principal benefited from the act, error or omission; and
(B) A court or arbitrator determines that it is highly probable
that the claimant would be unable to enforce a judgment against the
agent or subagent of the principal.
(2) A real estate licensee is not liable for an act, error or omission
by a principal or an agent of a principal that is not related to
the licensee unless the licensee participates in or authorizes the
act, error or omission. This subsection does not limit the liability
of a principal real estate broker for an act, error or omission by
a real estate licensee under the principal broker’s supervision.
(3) Unless acknowledged by a principal in writing, facts known
by an agent or subagent of the principal may not be imputed to the
principal if the principal does not have actual knowledge.
(4) Unless acknowledged by a real estate licensee in writing, facts
known by a principal or an agent of the principal may not be imputed
to the licensee if the licensee does not have actual knowledge. This
subsection does not limit the knowledge imputed to a principal real
estate broker of facts known by a real estate licensee under the
supervision of the principal real estate broker. [2001 c.300 §52]
Note: See note under 696.800.
696.825 [1993 c.570 §7; repealed by 2001 c.300 §84]
696.830 [1993 c.570 §8; repealed by 2001 c.300 §84]
696.835 Buyer and seller responsibilities. None of the affirmative
obligations of a real estate licensee or agent in a real estate transaction
under ORS 696.805, 696.810 or 696.815 relieves a seller or a buyer
from the responsibility to protect the seller’s or buyer’s
own interests respectively. [1993 c.570 §9]
Note: See note under 696.800.
696.840 Compensation and agency relationships. The payment of compensation
or the obligation to pay compensation to a real estate licensee by
the seller or the buyer is not necessarily determinative of a particular
agency relationship between a real estate licensee and the seller
or the buyer. After full disclosure of agency relationships, a listing
agent, a selling agent or a real estate licensee or any combination
of the three may agree to share any compensation paid, or any right
to any compensation for which an obligation arises as the result
of a real property transaction, and the terms of the agreement shall
not necessarily be determinative of a particular relationship. Nothing
in this section shall prevent the parties from selecting a relationship
not specifically prohibited by ORS 696.301, 696.392, 696.600 to 696.785,
696.800 to 696.870 and 696.995. [1993 c.570 §10; 2007 c.337 §8]
Note: See note under 696.800.
696.845 Acknowledgment of existing agency relationships form; rules.
When signing an offer to purchase, each buyer shall acknowledge the
existing agency relationships, if any. When a seller accepts or rejects
an offer to purchase in writing, each seller shall acknowledge the
existing agency relationships, if any. An agent to the real property
transaction shall obtain the signatures of the buyers and the sellers
to the acknowledgment, which shall be incorporated into or attached
as an addendum to the offer to purchase or to the acceptance. The
Real Estate Agency shall prescribe by rule the form and content of
the acknowledgment of existing agency relationships. [1993 c.570 §11;
2001 c.300 §49; 2003 c.398 §13; 2005 c.116 §16]
Note: See note under 696.800.
696.855 Common law application to statutory obligations and remedies.
(1) ORS 696.301, 696.392, 696.600 to 696.785 and 696.995 do not directly,
indirectly or by implication limit or alter any preexisting common
law or statutory right or remedy including actions for fraud, negligence
or equitable relief.
(2) The terms “loyalty,” “obedience,” “disclosure,” “confidentiality,” “reasonable
care and diligence” and “accounting in dealings” shall
be interpreted under the common law of agency.
(3) Common law and statutory remedies are not affected by ORS 696.301,
696.392, 696.600 to 696.785 and 696.995. [1993 c.570 §12; 2001
c.300 §49a]
Note: See note under 696.800.
696.870 Duties of real estate licensee under ORS 105.462 to 105.490,
696.301 and 696.870. (1)(a) A real estate licensee representing a
seller of real property has a duty to inform each represented seller
of the seller’s duties created by this section and ORS 105.462
to 105.490 and 696.301.
(b) A real estate licensee representing a buyer of real property
has a duty to inform each represented buyer of the buyer’s
rights under this section and ORS 105.462 to 105.490 and 696.301.
(2) If a real estate licensee performs the duties set forth in
subsection (1) of this section, the real estate licensee shall have
no further duties under this section.
(3) Notwithstanding subsections (1) and (2) of this section, for
the purposes of ORS 696.301, a real estate licensee:
(a) Representing a seller by written agreement or course of conduct
is bound by the standards of conduct and duties created under ORS
696.805;
(b) Representing a buyer by written agreement or course of conduct
is bound by the standards of conduct and duties created under ORS
696.810; and
(c) Acting as a disclosed limited agent by a written agreement
or course of conduct is bound by the standards of conduct and duties
created under ORS 696.815. [1993 c.547 §6; 2001 c.300 §50]
Note: See note under 696.800.
696.880 Licensee not required to disclose proximity of registered
sex offender. Nothing in ORS 181.586, 181.587, 181.588, 181.589,
696.301, 696.805, 696.810, 696.815 or 696.855 creates an obligation
on the part of a person licensed under this chapter to disclose to
a potential purchaser of residential property that a convicted sex
offender registered under ORS 181.595, 181.596 or 181.597 resides
in the area. [1999 c.732 §2; 2001 c.300 §73]
Note: 696.880 was added to and made a part of ORS chapter 696 by
legislative action but was not added to any smaller series therein.
See Preface to Oregon Revised Statutes for further explanation.
PENALTIES
696.990 Penalties. (1) Violation of any provision of ORS 696.010
to 696.130, 696.200, 696.205, 696.241 to 696.375, 696.392, 696.395
to 696.430, 696.490, 696.600 to 696.785 and 696.995 is a Class A
misdemeanor.
(2) Any officer, director or shareholder or agent of a corporation,
or member or agent of a partnership or association, who personally
participates in or is an accessory to any violation of ORS 696.010
to 696.130, 696.200, 696.205, 696.241 to 696.375, 696.392, 696.395
to 696.430, 696.490, 696.600 to 696.785 and 696.995 by the partnership,
association or corporation, is subject to the penalties prescribed
in subsection (1) of this section.
(3) A violation of any one of the provisions of ORS 696.505 to
696.590 is a Class A misdemeanor.
(4) Any person that violates ORS 696.020 (2) may be required by
the Real Estate Commissioner to forfeit and pay to the General Fund
of the State Treasury a civil penalty in an amount determined by
the commissioner of:
(a) Not less than $100 nor more than $500 for the first offense
of unlicensed professional real estate activity; and
(b) Not less than $500 nor more than $1,000 for the second and
subsequent offenses of unlicensed professional real estate activity.
(5) In addition to the civil penalty set forth in subsection (4)
of this section, any person that violates ORS 696.020 may be required
by the commissioner to forfeit and pay to the General Fund of the
State Treasury a civil penalty in an amount determined by the commissioner
but not to exceed the amount by which such person profited in any
transaction that violates ORS 696.020.
(6) Civil penalties under this section shall be imposed as provided
in ORS 183.745.
(7) The civil penalty provisions of subsections (4) and (5) of
this section are in addition to and not in lieu of the criminal penalties
for unlicensed professional real estate activity in subsections (1)
and (2) of this section.
(8) For the purposes of subsection (4) of this section, any violation
of ORS 696.020 (2) that results from a failure of a real estate licensee
to renew a license within the time allowed by law constitutes a single
offense of unlicensed professional real estate activity for each
30-day period after expiration of the license during which the individual
engages in professional real estate activity. A civil penalty imposed
for a violation of ORS 696.020 (2) that results from a failure of
a real estate licensee to renew a license within the time allowed
by law is not subject to the minimum dollar amounts specified in
subsection (4) of this section.
(9) Subsection (5) of this section does not apply to a violation
of ORS 696.020 (2) that results from a failure of a real estate licensee
to renew a license within the time allowed by law. [Subsection (3)
enacted as 1963 c.440 §18; 1977 c.649 §50; 1981 c.617 §34;
1989 c.724 §11; 1991 c.734 §86; 2001 c.300 §68; 2005
c.116 §17; 2005 c.393 §8; 2007 c.319 §23]
696.995 Civil penalties for violation of ORS 696.603, 696.606 or
696.612. (1) Any person who violates ORS 696.603, 696.606 or 696.612
may be required by the Real Estate Commissioner to forfeit and pay
to the General Fund of the State Treasury a civil penalty in an amount
determined by the commissioner of:
(a) Not less than $100 nor more than $500 for the first violation
of ORS 696.603, 696.606 or 696.612 or a rule adopted pursuant thereto;
or
(b) Not less than $500 nor more than $1,000 for the second and
subsequent violations of ORS 696.603, 696.606 or 696.612 or a rule
adopted pursuant thereto.
(2) In addition to the civil penalty set forth in subsection (1)
of this section, any person who violates ORS 696.603 may be required
by the commissioner to forfeit and pay to the General Fund of the
State Treasury a civil penalty in an amount determined by the commissioner
but not to exceed the amount by which such person profited from the
transaction in violation of ORS 696.603.
(3) Civil penalties under this section shall be imposed as provided
in ORS 183.745.
(4) The civil penalty provisions of this section are in addition
to and not in lieu of other administrative sanctions. [1995 c.217 §10]