Assembly Bill A8908

2019-2020 Legislative Session

Requires individuals who perform compliance functions, duties or tasks to obtain a compliance officer or compliance practitioner license

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Archive: Last Bill Status - In Assembly Committee


  • Introduced
    • In Committee Assembly
    • In Committee Senate
    • On Floor Calendar Assembly
    • On Floor Calendar Senate
    • Passed Assembly
    • Passed Senate
  • Delivered to Governor
  • Signed By Governor

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2019-A8908 (ACTIVE) - Details

See Senate Version of this Bill:
S4965
Current Committee:
Assembly Banks
Law Section:
Financial Services Law
Laws Affected:
Add Art 7 §§701 - 709, Fin Serv L
Versions Introduced in Other Legislative Sessions:
2021-2022: A6638, S1661
2023-2024: A7966, S5879

2019-A8908 (ACTIVE) - Summary

Requires individuals who perform compliance functions, duties or tasks to obtain a compliance officer or compliance practitioner license; establishes application and examination requirements to obtain, and continuing education requirements to maintain, licensure; and permits the superintendent to issue licensing procedures and to prescribe regulations necessary for the proper supervision of compliance officers and practitioners.

2019-A8908 (ACTIVE) - Bill Text download pdf

                            
 
                     S T A T E   O F   N E W   Y O R K
 ________________________________________________________________________
 
                                   8908
 
                        2019-2020 Regular Sessions
 
                           I N  A S S E M B L Y
 
                             December 30, 2019
                                ___________
 
 Introduced by M. of A. CUSICK -- read once and referred to the Committee
   on Banks
 
 AN  ACT to amend the financial services law, in relation to a compliance
   officer or compliance practitioner license
 
   THE PEOPLE OF THE STATE OF NEW YORK, REPRESENTED IN SENATE AND  ASSEM-
 BLY, DO ENACT AS FOLLOWS:

   Section 1. The financial services law is amended by adding a new arti-
 cle 7 to read as follows:
                                 ARTICLE 7
           COMPLIANCE OFFICER OR COMPLIANCE PRACTITIONER LICENSE
 SECTION 701. DEFINITION.
         702. APPLICABILITY; LICENSE.
         703. LICENSE APPLICATION.
         704. WRITTEN EXAMINATION.
         705. TEMPORARY LICENSE.
         706. FEES.
         707. LICENSE TERM; RENEWAL.
         708. CONTINUING EDUCATION REQUIREMENTS.
         709. RULES AND REGULATIONS; AUTHORITY OF THE SUPERINTENDENT.
   §  701.  DEFINITION.  FOR PURPOSES OF THIS ARTICLE, "COMPLIANCE" SHALL
 MEAN:  (A) DRAFTING, EVALUATING, APPLYING COMPLIANCE OR REGULATORY POLI-
 CIES AND PROCEDURES; (B) DESIGNING, ASSESSING OR IMPLEMENTING COMPLIANCE
 OR REGULATORY CONTROLS OR SYSTEMS;  AND  (C)  SUPERVISING,  SURVEILLING,
 MONITORING,  REVIEWING,  TESTING  OR REPORTING NON-COMPLIANCE OR MISCON-
 DUCT.  FOR PURPOSES OF THIS ARTICLE, COMPLIANCE TASKS, DUTIES AND  FUNC-
 TIONS  SHALL  BE  PERFORMED  ONLY BY AN INDIVIDUAL LICENSED OR OTHERWISE
 AUTHORIZED TO PERFORM SUCH TASKS, DUTIES OR FUNCTIONS UNDER THE TITLE OF
 COMPLIANCE OFFICER, REGULATORY OFFICER, COMPLIANCE  SUPERVISOR,  COMPLI-
 ANCE PRACTITIONER, COMPLIANCE ANALYST, COMPLIANCE CONSULTANT, COMPLIANCE
 COUNSEL,  COMPLIANCE  ADVISOR,  REGULATORY  OFFICER, REGULATORY MANAGER,
 
  EXPLANATION--Matter in ITALICS (underscored) is new; matter in brackets
                       [ ] is old law to be omitted.
                                                            LBD10943-01-9
              

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