Bill Text: FL S1106 | 2016 | Regular Session | Introduced
NOTE: There are more recent revisions of this legislation. Read Latest Draft
Bill Title: International Trust Entities
Spectrum: Bipartisan Bill
Status: (Passed) 2016-04-06 - Chapter No. 2016-192 [S1106 Detail]
Download: Florida-2016-S1106-Introduced.html
Bill Title: International Trust Entities
Spectrum: Bipartisan Bill
Status: (Passed) 2016-04-06 - Chapter No. 2016-192 [S1106 Detail]
Download: Florida-2016-S1106-Introduced.html
Florida Senate - 2016 SB 1106 By Senator Flores 37-00945-16 20161106__ 1 A bill to be entitled 2 An act relating to limited purpose international trust 3 company representative offices; amending s. 663.01, 4 F.S.; defining terms; amending ss. 655.966 and 5 662.111, F.S.; conforming cross-references; amending 6 s. 663.02, F.S.; providing applicability of state 7 banking laws to limited purpose international trust 8 company representative offices; amending s. 663.03, 9 F.S.; revising applicability of certain acts; creating 10 s. 663.045, F.S.; exempting a limited purpose 11 international trust company representative office from 12 licensing requirements; requiring certain entities to 13 be registered; specifying required information on an 14 application for registration; requiring a sworn 15 statement by a specified person affirming certain 16 statements; specifying procedures for the Office of 17 Financial Regulation to review an application; 18 requiring the office to register an applicant if 19 certain criteria are satisfied; specifying procedures 20 for incomplete or deficient applications; specifying 21 time limits for the office to approve or deny an 22 application; specifying procedures for the office to 23 deny an application; requiring an applicant to provide 24 the office with a specified fidelity bond; specifying 25 the duration of a registration; providing that the 26 office is not responsible for examining certain 27 entities regarding the safety and soundness of their 28 operations; providing applicability; amending s. 29 120.80, F.S.; exempting applications for registration 30 of limited purpose international trust company 31 representative offices from certain provisions of ch. 32 120, F.S.; creating s. 663.046, F.S.; providing 33 procedures and a fee for registration renewals; 34 providing applicability; amending s. 663.055, F.S.; 35 specifying capital requirements for a limited purpose 36 international trust company representative office; 37 creating s. 663.057, F.S.; specifying certain 38 requirements for a limited purpose international trust 39 company representative office; creating s. 663.058, 40 F.S.; requiring a limited purpose international trust 41 company representative office to procure and maintain 42 a specified fidelity bond to indemnify against certain 43 loss; providing fidelity bond requirements for an 44 applicant; providing certain requirements for a 45 corporate surety; requiring a limited purpose 46 international trust company representative office to 47 procure and maintain specified liability insurance 48 coverage to cover certain acts and omissions; amending 49 s. 663.0625, F.S.; specifying permissible and 50 prohibited activities by a limited purpose 51 international trust company representative office and 52 by certain employees; requiring a specified written 53 disclosure; amending s. 663.09, F.S.; requiring a 54 limited purpose international trust company 55 representative office to file specified reports with 56 the office; requiring a limited purpose international 57 trust company representative office to notify the 58 office, on a specified form and within a specified 59 time, of certain events; authorizing the office to 60 conduct an investigation of a limited purpose 61 international trust company representative office; 62 creating s. 663.095, F.S.; providing grounds for which 63 the office may revoke the registration of a limited 64 purpose international trust company representative 65 office; specifying procedures for the office to revoke 66 a registration; authorizing the office to seek a court 67 order to annul or dissolve a limited purpose 68 international trust company under certain 69 circumstances; creating s. 663.096, F.S.; authorizing 70 the office to issue and serve a complaint for a cease 71 and desist order based on certain violations; 72 specifying procedures for the issuance of a cease and 73 desist order and for contesting the office’s action; 74 specifying procedures for the issuance of an emergency 75 cease and desist order; providing requirements for a 76 limited purpose international trust company 77 representative office to wind up its affairs after 78 entry of an order; authorizing the office to seek a 79 court order to annul or dissolve a limited purpose 80 international trust company representative office 81 under certain circumstances; creating s. 663.115, 82 F.S.; providing requirements for a limited purpose 83 international trust company representative office 84 discontinuing its business; amending s. 663.12, F.S.; 85 specifying fees for registration and conversion to or 86 from a license; providing an effective date. 87 88 Be It Enacted by the Legislature of the State of Florida: 89 90 Section 1. Present subsections (1) through (9) of section 91 663.01, Florida Statutes, are redesignated as subsections (2) 92 through (10), respectively, present subsections (10) and (11) of 93 that section are redesignated as subsections (12) and (13), 94 respectively, and new subsections (1) and (11) are added to that 95 section, to read: 96 663.01 Definitions.—As used in this part, the term: 97 (1) “Affiliated international trust company” means an 98 international trust company that is a member of the same 99 business organization as a limited purpose international trust 100 company representative office and that does not provide 101 depository, investment management, or brokerage services in 102 conjunction with its trust business. An affiliated international 103 trust company is not an international banking corporation as 104 defined in subsection (7). 105 (11) “Limited purpose international trust company 106 representative office” means an office organized under the laws 107 of this state and registered and maintained in this state for 108 the purpose of engaging in nonfiduciary activities described in 109 s. 663.0625(2), and which is not licensed as an international 110 trust company representative office. 111 Section 2. Paragraph (a) of subsection (2) of section 112 655.966, Florida Statutes, is amended to read: 113 655.966 Automated teller machine; surcharge disclosure.— 114 (2)(a) Subject to the requirements of subsection (1), an 115 agreement to operate or share an automated teller machine may 116 not prohibit, limit, or restrict the right of the operator or 117 owner of an automated teller machine, as defined in s. 118 655.960(3), to charge an access fee or surcharge, not otherwise 119 prohibited under state or federal law, to a customer conducting 120 a transaction using an account from an international banking 121 corporation as defined in s. 663.01(7)s. 663.01(6). 122 Section 3. Paragraph (e) of subsection (15) of section 123 662.111, Florida Statutes, is amended to read: 124 662.111 Definitions.—As used in this chapter, the term: 125 (15) “Foreign licensed family trust company” means a family 126 trust company that: 127 (e) Is not owned by, or a subsidiary of, a corporation, 128 limited liability company, or other business entity that is 129 organized in or licensed by any foreign country as defined in s. 130 663.01(4)s. 663.01(3). 131 Section 4. Subsection (3) is added to section 663.02, 132 Florida Statutes, to read: 133 663.02 Applicability of state banking laws.— 134 (3)(a) If a limited purpose international trust company 135 representative office limits its activities to the activities 136 authorized under s. 663.0625, other sections of the financial 137 institutions codes do not apply to it except as otherwise 138 expressly provided in this chapter. 139 (b) A limited purpose international trust company 140 representative office is a financial institution solely for 141 purposes of the applicability of s. 655.012, relating to general 142 supervisory powers and rulemaking, and s. 655.057, relating to 143 records and limitations on public access to records, except if 144 it appears from the context that such provisions are clearly 145 applicable only to banks or trust companies organized under the 146 laws of this state. 147 (c) This section does not limit the office’s authority to 148 investigate an entity to ensure that it does not violate this 149 chapter or applicable provisions of the financial institutions 150 codes. 151 Section 5. Section 663.03, Florida Statutes, is amended to 152 read: 153 663.03 Applicability of the Florida Business Corporation 154 Act and the Florida Revised Limited Liability Company Act. 155 Notwithstanding ss. 605.0102(25) and (26) and 607.01401(12)s.156607.01401(12), the provisions of chapter 605 and of part I of 157 chapter 607 not in conflict with the financial institutions 158 codes which relate to foreign limited liability companies or 159 foreign corporations apply to all international banking 160 corporations and their offices doing business in this state and 161 to limited purpose international trust company representative 162 offices. 163 Section 6. Section 663.045, Florida Statutes, is created to 164 read: 165 663.045 Registration of a limited purpose international 166 trust company representative office; application for 167 registration; approval or disapproval.— 168 (1) A limited purpose international trust company 169 representative office is not required to obtain a license under 170 this chapter. However, a limited purpose international trust 171 company representative office is required to be registered with 172 the office if it transacts limited purpose international trust 173 company representative office business in this state or 174 maintains in this state any office for carrying on such 175 business. An affiliate, subsidiary, or other person or business 176 entity acting as an agent for, on behalf of, or for the benefit 177 of such limited purpose international trust company 178 representative office, which engages in such activities in this 179 state or maintains in this state any office for carrying on such 180 business, is also required to be registered with the office. 181 (2) A person required to be registered under subsection (1) 182 shall register with the office on forms prescribed by the office 183 and provide the following information in English: 184 (a) The name of the proposed limited purpose international 185 trust company representative office, which need not be in 186 English. 187 (b) A copy of the articles of incorporation or articles of 188 organization and the bylaws or operating agreement of the 189 proposed limited purpose international trust company 190 representative office. 191 (c) The physical address and mailing address of the 192 proposed limited purpose international trust company 193 representative office, which must be located in this state. 194 (d) A statement describing in detail the activities of the 195 proposed limited purpose international trust company 196 representative office. 197 (e) The name and biographical information of each 198 individual who will initially serve as a director, an officer, a 199 manager, or a member acting in a managerial capacity of the 200 proposed limited purpose international trust company 201 representative office. 202 (f) The name of the business organization to which the 203 limited purpose international trust company representative 204 office belongs, together with such biographical information as 205 the commission or office may reasonably require by rule for each 206 person who, together with related interests as defined in s. 207 655.005(1), owns or controls, directly or indirectly, 25 percent 208 or more of the voting stock or nonvoting stock that is 209 convertible into voting stock of the proposed limited purpose 210 international trust company representative office. 211 (g) The regulatory authorities that any affiliated 212 international trust company is subject to and proof of good 213 standing with such regulatory authorities. Such proof must be 214 translated into English if written in another language. 215 (h) The amount of the initial capital account of the 216 proposed limited purpose international trust company 217 representative office and the form in which the capital was paid 218 and will be maintained, as stated in a review conducted by an 219 independent certified public accountant licensed in this state. 220 (i) The type and amount of bonds or insurance that will be 221 procured and maintained by the proposed limited purpose 222 international trust company representative office pursuant to s. 223 663.058. 224 (j) A sworn statement signed by an executive officer of the 225 applicant affirming that the following statements are true: 226 1. The proposed limited purpose international trust company 227 representative office is not providing depository, investment 228 management, or fiduciary services and is providing only the 229 permissible activities as authorized in s. 663.0625(2). 230 2. No director, officer, manager, or member of the proposed 231 limited purpose international trust company representative 232 office or of any affiliated international trust company served 233 as a director, an officer, a manager, or a member acting in a 234 managerial capacity for an international trust company 235 representative office, an affiliated international trust 236 company, or a financial institution that was licensed under the 237 financial institutions codes, or by the Federal Government or 238 any other state, the District of Columbia, a territory of the 239 United States, or a foreign country, had that license suspended 240 or revoked within 10 years preceding the date of the 241 application. 242 3. No director, officer, or manager of, or member acting in 243 a managerial capacity for, the proposed limited purpose 244 international trust company representative office or an 245 affiliated international trust company has been convicted of, or 246 pled guilty or nolo contendere to, regardless of whether 247 adjudication of guilt was entered by the court, or has been the 248 subject of a civil penalty imposed for, a violation of the 249 financial institutions codes, including s. 655.50, chapter 896, 250 or similar state or federal law or related rule, or a crime 251 involving fraud, misrepresentation, or moral turpitude. 252 4. No director, officer, or manager of, or member acting in 253 a managerial capacity for, the proposed limited purpose 254 international trust company representative office or affiliated 255 international trust company has had a professional license 256 suspended or revoked within the 10 years preceding the date of 257 the application. 258 5. All information contained in the application is true and 259 correct to the best knowledge of the executive officer signing 260 the sworn statement on behalf of the proposed limited purpose 261 international trust company representative office. 262 (k) Any other information that is consistent with this 263 section, as required by commission rule. 264 (3) Upon the filing of the registration application by the 265 limited purpose international trust company representative 266 office, the office shall conduct an investigation to confirm: 267 (a) That the persons who will serve as directors or 268 officers of the corporation or, if the applicant is a limited 269 liability company, managers or members acting in a managerial 270 capacity, have not: 271 1. Been convicted of, or entered a plea of nolo contendere 272 to, a crime involving fraud, misrepresentation, or moral 273 turpitude; 274 2. Been convicted of, entered a plea of nolo contendere to, 275 or been the subject of a civil penalty imposed for, a violation 276 of the financial institutions codes, including s. 655.50, 277 chapter 896, or similar state or federal law; 278 3. Been directors, officers, managers, or members of a 279 trust company or financial institution licensed or chartered 280 under the financial institutions codes or by the Federal 281 Government or any other state, the District of Columbia, a 282 territory of the United States, or a foreign country and whose 283 license or charter was suspended or revoked within the 10 years 284 preceding the date of the application; 285 4. Had a professional license suspended or revoked within 286 the 10 years preceding the date of the application; or 287 5. Made a false statement of material fact on the 288 application. 289 (b) That capital accounts of the proposed limited purpose 290 international trust company conforming to s. 663.055(5) will be 291 established and that fidelity bonds and general liability 292 insurance coverage required under s. 663.058 will be issued and 293 effective as of the date the limited purpose international trust 294 company representative office commences operations. 295 (c) That each affiliated international trust company with 296 which it intends to engage in the activities authorized under s. 297 663.0625 is in good standing with the relevant regulatory body 298 that supervises the activity of such international trust 299 company. 300 (d) That the jurisdiction in which each affiliated 301 international trust company is organized and chartered is not 302 currently listed on the Financial Action Task Force Public 303 Statement or on its list of jurisdictions with deficiencies in 304 anti-money laundering or counter-terrorist financing. 305 (4) If the investigation required under this section 306 confirms that the applicant has met the requirements of ss. 307 663.055(5), 663.057, and 663.058, and that the criteria in 308 subsection (3) have been satisfied, the office shall register 309 the applicant to operate as a limited purpose international 310 trust company representative office. 311 (5) If the registration application is incomplete or the 312 office is unable to verify the information provided with the 313 application, the office shall notify the applicant in writing, 314 and the applicant shall have 30 days after receipt of such 315 notification to provide the required information. The office 316 shall deny the application if the applicant fails to timely 317 provide such information. 318 (6)(a) Notwithstanding chapter 120, an application may be 319 returned to the applicant on a one-time basis for correction of 320 substantial deficiencies and may be resubmitted without payment 321 of an additional fee if the applicant resubmits the application 322 within 60 days after the date the office returns the 323 application. 324 (b) With respect to affiliated international trust 325 companies, if some but not all of the criteria in paragraphs 326 (3)(c) and (d) are met, the applicant may resubmit the 327 application without the affiliated international trust companies 328 that do not meet the criteria, and the office shall permit 329 registration conditioned on the limited purpose international 330 trust company representative office not conducting activities 331 authorized in this state under s. 663.0625 with respect to any 332 such affiliated international trust companies that are removed 333 from the application. 334 (7) Notwithstanding s. 120.60(1), an application for 335 registration of a limited purpose international trust company 336 representative office must be approved or denied within 180 days 337 after receipt of the original application or receipt of the 338 timely requested additional information or correction of errors 339 or omissions. An application for registration not approved or 340 denied within the 180-day period shall be deemed approved 341 subject to the satisfactory completion of conditions required by 342 statute as a prerequisite to registration and approval of 343 insurance coverage by the appropriate insurer. 344 (8) If the office determines the criteria in subsection (3) 345 have not been met, the office must provide the applicant with a 346 notice of its intent to deny registration and of the applicant’s 347 right to request a hearing pursuant to ss. 120.569 and 120.57. 348 (9) Before the office may grant approval of a registration, 349 the applicant must provide to the office a fidelity bond that 350 meets the requirements of s. 663.058. 351 (10) A registration under this chapter shall be valid for 1 352 year after its effective date. 353 (11) The office is not responsible for examining a limited 354 purpose international trust company representative office or an 355 affiliated international trust company regarding the safety and 356 soundness of its operations. 357 (12) A company in operation as of October 1, 2016, which 358 meets the definition of a limited purpose international trust 359 company representative office and is not otherwise licensed 360 under this chapter must apply for registration as a limited 361 purpose international trust company representative office on or 362 before December 30, 2016, or cease doing business in this state. 363 Section 7. Subsection (3) of section 120.80, Florida 364 Statutes, is amended to read: 365 120.80 Exceptions and special requirements; agencies.— 366 (3) OFFICE OF FINANCIAL REGULATION.— 367 (a) Notwithstanding s. 120.60(1), in proceedings for the 368 issuance, denial, renewal, or amendment of a license or 369 registration or approval of a merger pursuant to title XXXVIII: 370 1.a. The Office of Financial Regulation of the Financial 371 Services Commission shall have published in the Florida 372 Administrative Register notice of the application within 21 days 373 after receipt. 374 b. Within 21 days after publication of notice, any person 375 may request a hearing. Failure to request a hearing within 21 376 days after notice constitutes a waiver of any right to a 377 hearing. The Office of Financial Regulation or an applicant may 378 request a hearing at any time beforeprior tothe issuance of a 379 final order. Hearings shall be conducted pursuant to ss. 120.569 380 and 120.57, except that the Financial Services Commission shall 381 by rule provide for participation by the general public. 382 2. Should a hearing be requested as provided by sub 383 subparagraph 1.b., the applicant,orlicensee, or registrant 384 shall publish at its own cost a notice of the hearing in a 385 newspaper of general circulation in the area affected by the 386 application. The Financial Services Commission may by rule 387 specify the format and size of the notice. 388 3. Notwithstanding s. 120.60(1), and except as provided in 389 subparagraph 4., an application for license or registration for 390 a new bank, new trust company, new credit union, new savings and 391 loan association,ornew licensed family trust company, or new 392 limited purpose international trust company representative 393 office must be approved or denied within 180 days after receipt 394 of the original application or receipt of the timely requested 395 additional information or correction of errors or omissions. An 396 application for such a license or registration or for 397 acquisition of such control which is not approved or denied 398 within the 180-day period or within 30 days after conclusion of 399 a public hearing on the application, whichever is later, shall 400 be deemed approved subject to the satisfactory completion of 401 conditions required by statute as a prerequisite to license or 402 registration and approval of insurance of accounts for a new 403 bank, a new savings and loan association, a new credit union,or404 a new licensed family trust company by the appropriate insurer, 405 or a new limited purpose international trust company 406 representative office. 407 4. In the case of an application for license to establish a 408 new bank, trust company, or capital stock savings association in 409 which a foreign national proposes to own or control 10 percent 410 or more of any class of voting securities, and in the case of an 411 application by a foreign national for approval to acquire 412 control of a bank, trust company, or capital stock savings 413 association, the Office of Financial Regulation shall request 414 that a public hearing be conducted pursuant to ss. 120.569 and 415 120.57. Notice of such hearing shall be published by the 416 applicant as provided in subparagraph 2. The failure of such 417 foreign national to appear personally at the hearing shall be 418 grounds for denial of the application. Notwithstanding s. 419 120.60(1) and subparagraph 3., every application involving a 420 foreign national shall be approved or denied within 1 year after 421 receipt of the original application or any timely requested 422 additional information or the correction of any errors or 423 omissions, or within 30 days after the conclusion of the public 424 hearing on the application, whichever is later. 425 (b) In any application for a license, registration, or 426 merger pursuant to title XXXVIII which is referred by the agency 427 to the division for hearing, the administrative law judge shall 428 complete and submit to the agency and to all parties a written 429 report consisting of findings of fact and rulings on evidentiary 430 matters. The agency shall allow each party at least 10 days in 431 which to submit written exceptions to the report. 432 Section 8. Section 663.046, Florida Statutes, is created to 433 read: 434 663.046 Renewal of registration of a limited purpose 435 international trust company representative office.— 436 (1) Within 45 days before the expiration of the 437 registration, a limited purpose international trust company 438 representative office shall file its annual renewal application 439 with the office on a form prescribed by the commission. The 440 renewal application must include a sworn declaration by an 441 executive officer of the limited purpose international trust 442 company representative office which: 443 (a) Attests that the limited purpose international trust 444 company representative office has operated in full compliance 445 with this chapter, chapter 896, or similar state or federal law, 446 or any related rule or regulation, and with all federal laws and 447 regulations that apply to any client of the affiliated 448 international trust company for whom it has conducted activities 449 authorized under s. 663.0625(2). 450 (b) Describes any material changes to the information 451 provided under s. 663.045 regarding its operations, principal 452 place of business, directors, officers, managers, or members 453 acting in a managerial capacity or any affiliated international 454 trust company since the date of registration. 455 (c) Demonstrates that the minimum requirements for capital 456 and insurance have been met, as stated in a review prepared by 457 an independent certified public accountant licensed in this 458 state. 459 (2) A fee of $1,500 must be submitted with the annual 460 renewal application for registration of a limited purpose 461 international trust company representative office. All fees 462 received by the office pursuant to this section shall be 463 deposited into the Financial Institutions’ Regulatory Trust Fund 464 pursuant to s. 655.049 for the purpose of administering the 465 provisions of this chapter with respect to registration of 466 limited purpose international trust company representative 467 offices. 468 (3) The provisions of s. 663.045 relating to conduct of the 469 investigation and issuance or denial of registration apply to a 470 registration renewal under this section. 471 Section 9. Subsection (4) of section 663.055, Florida 472 Statutes, is amended, and subsection (5) is added to that 473 section, to read: 474 663.055 Capital requirements.— 475 (4) For the purpose of this part, the capital accounts of 476 an international banking corporation and a limited purpose 477 international trust company representative office shall be 478 determined in accordance with rules adopted by the commission. 479 In adopting such rules, the commission shall consider similar 480 rules adopted by bank regulatory agencies in the United States 481 and the need to provide reasonably consistent regulatory 482 requirements for international banking corporations which will 483 maintain the safe and sound condition of international banking 484 corporations doing business in this state. 485 (5) A limited purpose international trust company 486 representative office may not be organized or operated with a 487 capital account containing less than $100,000. Such capital 488 shall be in the form of cash or cash equivalents. 489 Section 10. Section 663.057, Florida Statutes, is created 490 to read: 491 663.057 Requirements for a limited purpose international 492 trust company representative office.—A limited purpose 493 international trust company representative office shall 494 maintain: 495 (1) A principal office physically located in this state 496 where original or true copies of all records and accounts of the 497 limited purpose international trust company representative 498 office may be accessed and made readily available for 499 examination by the office in accordance with this chapter. A 500 limited purpose international trust company representative 501 office may also maintain one or more branch offices within this 502 state and shall notify the office in writing at least 30 days 503 before the establishment of such branch offices. 504 (2) A registered agent who has an office in this state at 505 the street address of the registered agent. 506 (3) All applicable state and local business licenses, 507 charters, and permits. 508 (4) A deposit account with a state-chartered or national 509 financial institution that has a principal or branch office in 510 this state. 511 (5) At least one director or manager who is a resident in 512 this state. 513 Section 11. Section 663.058, Florida Statutes, is created 514 to read: 515 663.058 Fidelity bonds; insurance.— 516 (1) A limited purpose international trust company 517 representative office shall procure and maintain a fidelity bond 518 on all active officers, directors, managers, members acting in a 519 managerial capacity, and employees of the company, regardless of 520 whether they receive a salary or other compensation from the 521 company, in order to indemnify the company against loss because 522 of a dishonest, fraudulent, or criminal act or an omission on 523 the part of any such persons, whether acting alone or in 524 combination with other persons. 525 (2) The fidelity bond required by this section: 526 (a) Must be issued by an insurer authorized to do business 527 in this state. 528 (b) May not be less than $500,000. 529 (c) Must be in a form satisfactory to the office and shall 530 run to the state for the benefit of any claimants in this state 531 against the applicant to secure the faithful performance of the 532 obligations of the applicant regarding the receipt, handling, 533 and transmission of information and documents provided to the 534 applicant. The aggregate liability of the fidelity bond may not 535 exceed the principal sum of the bond. Claimants against the 536 applicant may bring suit directly on the fidelity bond, or the 537 Department of Legal Affairs may bring suit on behalf of the 538 claimants. 539 (d) May not be cancelled by the applicant or the corporate 540 surety except upon written notice to the office by registered 541 mail. A cancellation may not take effect until 30 days after 542 receipt by the office of the written notice. 543 (3) The corporate surety must, within 10 days after it pays 544 a claim, give written notice to the office by registered mail of 545 the payment with details sufficient to identify the claimant and 546 the claim or judgment paid. 547 (4) If the principal sum of the bond is reduced by one or 548 more recoveries or payments, the applicant must furnish a new or 549 additional bond so that the total or aggregate principal sum of 550 the bond equals the sum required in paragraph (2)(b). 551 Alternatively, an applicant may furnish an endorsement executed 552 by the corporate surety reinstating the bond to the required 553 principal sum. 554 (5) The limited purpose international trust company 555 representative office shall also procure and maintain general 556 liability insurance coverage under a corporate or group policy 557 with a minimum of $1 million per occurrence and a policy period 558 aggregate limit of $3 million in which it is listed as an 559 insured, to cover the acts and omissions of officers, directors, 560 managers, members acting in a managerial capacity, and 561 employees, regardless of whether the person receives a salary or 562 other compensation from the company. 563 Section 12. Section 663.0625, Florida Statutes, is amended 564 to read: 565 663.0625 International trust company representative offices 566 and limited purpose international trust company representative 567 offices; permissible activities; requirements.— 568 (1) An international trust company representative office 569 may not act as a fiduciary, but may conduct any nonfiduciary 570 activities that are ancillary to the fiduciary business of its 571 international banking corporation or trust company, whichbut572may not act as a fiduciary. Permissible activitiesinclude: 573 (a) Advertising, marketing, and soliciting for fiduciary 574 business on behalf of an international banking corporation or 575 trust company; 576 (b) Contacting existing or potential customers, answering 577 questions, and providing information about matters related to 578 their accounts; 579 (c) Serving as a liaison in this state between the 580 international banking corporation or trust company and its 581 existing or potential customers; and 582 (d) Engaging in any other activities approved by the office 583 or under rules of the commission. 584 (2) A limited purpose international trust company 585 representative office that registers pursuant to s. 663.045 may 586 conduct any of the following activities: 587 (a) Participate in or attend conferences, seminars, or 588 events that are intended for industry or professional 589 participants and are not advertised to the general public, for 590 the purposes of marketing the services of an affiliated 591 international trust company. 592 (b) Market the services of an affiliated international 593 trust company to lawyers, accountants, banks, licensed financial 594 advisors, and other wealth planning professionals who are 595 licensed by a state, federal, or territorial government or 596 certified by a recognized professional accrediting entity. 597 (c) In connection with the authorized activities described 598 in paragraphs (a) and (b), engage in name-recognition or 599 branding activities in the form of signage or promotional 600 materials that use the name of the affiliated international 601 trust company or the name of the business organization of which 602 the affiliated international trust company is a member. 603 (d) Assist clients or referred prospective clients of the 604 affiliated international trust company in communicating with the 605 affiliated international trust company, completing documentation 606 relating to the trust relationship, and obtaining information 607 about matters related to trusts with which they are or may 608 become associated. However, a limited purpose international 609 trust company representative office under this subsection may 610 not have authority to accept such clients on behalf of the 611 affiliated international trust company and may not otherwise 612 bind the affiliated international trust company. 613 (e) Exercise the powers of a corporation under chapter 607 614 or a limited liability company under chapter 605 which are 615 reasonably necessary to enable it to fully exercise a power 616 enumerated in this section or authorized by this chapter. 617 (f) Engage in any other activities consistent with this 618 section, as prescribed by commission rule. 619 (3)(a)Representatives andEmployees, officers, or 620 directors at an international trust company representative 621 office or a limited purpose international trust company 622 representativesuchoffice may not act as a fiduciary, accept 623including, but not limited to, acceptingthe fiduciary 624 appointment, executeexecutingthe fiduciary documents that 625 create the fiduciary relationship, or makemakingdiscretionary 626 decisions regarding the investment or distribution of fiduciary 627 accounts. 628 (b) A limited purpose international trust company 629 representative office may not accept custody of any property of 630 the client of the affiliated international trust company on 631 behalf of the affiliated international trust company and may not 632 deliver such property to the affiliated international trust 633 company. 634 (c) A limited purpose international trust company 635 representative office may not solicit business from the general 636 public on behalf of its affiliated international trust company 637 in this state or advertise its services to the general public in 638 this state. This paragraph does not limit a limited purpose 639 international trust company representative office’s authorized 640 activities under subsection (2). 641 (d) A limited purpose international trust company 642 representative office may not use the words “bank,” “trust,” or 643 the name of an affiliated international trust company as part of 644 its company or fictitious name. 645 (e) A limited purpose international trust company 646 representative office may not market to or discuss the services 647 of an affiliated international trust company with any person who 648 has not previously been referred to it by a professional 649 described in paragraph (2)(b) or who is an existing client of an 650 affiliated international trust company. 651 (4) A limited purpose international trust company 652 representative office shall provide the following written 653 disclosure to a prospective or existing client of its affiliated 654 international trust company: “...(The name of the limited 655 purpose international trust company representative office)... 656 and any affiliated international trust companies are not 657 licensed or authorized to conduct the trust or fiduciary 658 business in Florida.” The commission may establish by rule 659 criteria for the size and font of the required disclosure. 660 Section 13. Section 663.09, Florida Statutes, is amended to 661 read: 662 663.09 Reports; records; significant events; 663 investigations.— 664 (1) An international banking corporation doing business in 665 this state shall, at such times and in such form as the 666 commission prescribes, make written reports in the English 667 language to the office, under the oath of one of its officers, 668 managers, or agents transacting business in this state, showing 669 the amount of its assets and liabilities and containing such 670 other matters as the commission or office requires. An 671 international banking corporation that maintains two or more 672 offices may consolidate such information in one report unless 673 the office otherwise requires for purposes of its supervision of 674 the condition and operations of each such office. The late 675 filing of such reports is subject to an administrative fine as 676 prescribed under s. 655.045(2). If such international banking 677 corporation fails to make such report, as directed by the 678 office, or if such report contains a false statement knowingly 679 made, the same shall be grounds for revocation of the license of 680 the international banking corporation. 681 (2) The international banking corporation of each state 682 licensed international bank agency or international branch shall 683 perform or cause to be performed an audit of such international 684 bank agency or international branch. The commission shall, by 685 rule, prescribe the minimum audit procedures including the audit 686 reporting requirements which would satisfy the provisions of 687 this subsection. 688 (3) Each international banking corporation which operates 689 an office licensed under this part shall cause to be kept, at a 690 location accepted by the office: 691 (a) Correct and complete books and records of account of 692 the business operations transacted by such office. All policies 693 and procedures governing the operations of such office, as well 694 as any existing general ledger or subsidiary accounts, shall be 695 maintained in the English language. The office may require that 696 any other document not written in the English language which the 697 office deems necessary for the purposes of its regulatory and 698 supervisory functions be translated into English at the expense 699 of the international banking corporation. 700 (b) Current copies of the charter and bylaws of the 701 international banking corporation, relative to the operations of 702 the office, and minutes of the proceedings of its directors, 703 officers, or committees relative to the business of the office. 704 Such records shall be kept pursuant to s. 655.91 and shall be 705 made available to the office, upon request, at any time during 706 regular business hours of the office. Any failure to keep such 707 records as aforesaid or any refusal to produce such records upon 708 request by the office shall be grounds for suspension or 709 revocation of any license issued under this part. 710 (4) In addition to any other reports it may be required to 711 make, an international banking corporation which maintains an 712 international bank agency or international branch in this state 713 shall make reports to the office in such form and at such times 714 as the commission prescribes by rule concerning the management, 715 asset quality, capital adequacy, and liquidity of the 716 international banking corporation. 717 (5) A limited purpose international trust company 718 representative office shall file reports with the office as the 719 commission or the commission may prescribe by rule. The rules 720 may prescribe such reports to be subject to examination by the 721 office as a condition of granting or maintaining the 722 registration. 723 (6) A limited purpose international trust company 724 representative office shall notify the office within 30 days of 725 learning of the occurrence of any of the following significant 726 events by filing with the office a form disclosing: 727 (a) Any civil, criminal, or administrative investigation or 728 proceeding initiated by a regulatory or law enforcement 729 authority against the limited purpose international trust 730 company representative office; 731 (b) The addition, resignation, or termination of a director 732 or manager, an executive officer, or a member acting in a 733 managerial capacity; 734 (c) Any change in outside accountants who are used to 735 verify capital accounts; 736 (d) Any interruption of fidelity bonding or insurance 737 coverage; 738 (e) Any suspected criminal act perpetrated against the 739 limited purpose international trust company representative 740 office. However, no liability shall be incurred as a result of 741 making a good faith effort to fulfill the disclosure requirement 742 in this paragraph; 743 (f) The loss of the charter of any affiliated international 744 trust company; 745 (g) The loss of good standing with the applicable 746 regulatory authorities by any affiliated international trust 747 company; 748 (h) A change in the company name or fictitious name of the 749 limited purpose international trust company; or 750 (i) A change with respect to any of the statements 751 certified under s. 663.045. 752 (7) The disclosure form shall be specified by commission 753 rule. An executive officer of the limited purpose international 754 trust company representative office must swear that the form is 755 authentic and accurate. 756 (8) The office may conduct an investigation of a limited 757 purpose international trust company representative office at any 758 time it deems necessary to determine whether a limited purpose 759 international trust company representative office has engaged in 760 any act prohibited under s. 663.0625. 761 Section 14. Section 663.095, Florida Statutes, is created 762 to read: 763 663.095 Revocation of registration of a limited purpose 764 international trust company representative office.— 765 (1) Any of the following constitutes grounds for the office 766 to revoke the registration of a limited purpose international 767 trust company representative office: 768 (a) The company is not a limited purpose international 769 trust company representative office as defined in this chapter; 770 (b) A violation of s. 663.055(5), s. 663.057, s. 663.058, 771 or s. 663.0625; 772 (c) A violation of chapter 896, relating to financial 773 transactions offenses, or any similar state or federal law or 774 any related rule or regulation; 775 (d) A violation of any commission rule which continues 30 776 days after written notice from the office; 777 (e) A violation of any order of the office which continues 778 30 days after written notice from the office; 779 (f) A breach of any written agreement with the office; 780 (g) A prohibited act or practice under s. 663.0625; 781 (h) A failure to file annual reports or provide information 782 or documents to the office upon written request; or 783 (i) Conviction of a felony or entry of a plea of guilty or 784 nolo contendere, regardless of adjudication of guilt, by the 785 limited purpose international trust company representative 786 office, or its officers, directors, managers, or persons acting 787 in a managerial capacity, or an affiliated international trust 788 company in a state or federal court, or in the courts of a 789 foreign country with which the United States maintains 790 diplomatic relations which involves a violation of law relating 791 to fraud, currency transaction reporting, money laundering, 792 theft, or moral turpitude and the charge is equivalent to a 793 felony charge under state or federal law. 794 (2)(a) Upon a finding of the occurrence of any of the acts 795 set forth in paragraphs (1)(a)-(h), the office may enter an 796 order suspending the company’s registration and provide notice 797 of its intention to revoke the registration and of the right to 798 a hearing pursuant to ss. 120.569 and 120.57. 799 (b) If there has been a violation or failure to disclose a 800 violation under paragraph (1)(i), the office may immediately 801 enter an order revoking the registration. 802 (c) The limited purpose international trust company 803 representative office shall have 90 days to wind up its affairs 804 after its registration has been revoked. During such time, it 805 may not engage in any of the activities authorized under s. 806 663.0625, except to the extent required to provide notice that 807 it is winding down its affairs in this state and the name or 808 names and contact information of the persons who may be 809 contacted for additional information. 810 (d) If after 90 days the company has not provided 811 satisfactory proof to the office that it is no longer in 812 operation, the office may seek an order from the circuit court 813 for the annulment or dissolution of the company. Satisfactory 814 proof shall consist of a corporate resolution authorizing 815 dissolution, a certified copy of articles of dissolution filed 816 with the Division of Corporations of the Department of State, or 817 documentation confirming the closing of the limited purpose 818 international trust company representative office. 819 Section 15. Section 663.096, Florida Statutes, is created 820 to read: 821 663.096 Cease and desist authority.— 822 (1) The office may issue and serve a complaint upon a 823 limited purpose international trust company representative 824 office or any individual if the office has reason to believe 825 that the limited purpose international trust company 826 representative office or individual named therein is engaging in 827 or has engaged in conduct that: 828 (a) Indicates the company is not a limited purpose 829 international trust company representative office as defined in 830 this chapter; 831 (b) Is a violation of s. 663.055(5), s. 663.057, s. 832 663.058, or s. 663.0625; 833 (c) Is a violation of any commission rule which continues 834 30 days after written notice from the office; 835 (d) Is a violation of any order of the office which 836 continues 30 days after written notice from the office; 837 (e) Is a breach of any written agreement with the office; 838 (f) Is a prohibited act or practice pursuant to s. 839 663.0625; 840 (g) Is a failure to provide information or documents to the 841 office upon written request within 30 days after such request or 842 such longer time as specified in the request; or 843 (h) Is a violation of chapter 896 or similar state or 844 federal law or any related rule or regulation. 845 (2) The complaint must contain the statement of facts and a 846 notice of right to a hearing pursuant to ss. 120.569 and 120.57. 847 (3) If no hearing is requested within the time allowed by 848 ss. 120.569 and 120.57, or if a hearing is held and the office 849 finds that any of the charges are true, the office may enter an 850 order directing the limited purpose international trust company 851 representative office or the individual named therein to cease 852 and desist from engaging in the conduct complained of and to 853 take corrective action. 854 (4) If the limited purpose international trust company 855 representative office or the individual named in such order 856 fails to respond to the complaint within the time allotted in 857 ss. 120.569 and 120.57, such failure constitutes a default and 858 justifies the entry of a cease and desist order. 859 (5) A contested or default cease and desist order is 860 effective when reduced to writing and served upon the licensed 861 limited purpose international trust company representative 862 office or the individual named therein. An uncontested cease and 863 desist order is effective as agreed. 864 (6) If the office finds that conduct described in 865 subsection (1) has occurred which presents an imminent danger to 866 the public, it may issue an emergency cease and desist order 867 requiring the limited purpose international trust company 868 representative office or individual named therein to immediately 869 cease and desist from engaging in the conduct complained of and 870 to take corrective action. The emergency order is effective 871 immediately upon service of a copy of the order upon the limited 872 purpose international trust company representative office or 873 individual named therein and remains effective for 90 days. If 874 the office begins nonemergency cease and desist proceedings 875 under subsection (1), the emergency order remains effective 876 until the conclusion of the proceedings under ss. 120.569 and 877 120.57. 878 (7) Subject to its rights under chapter 120, a limited 879 purpose international trust company representative office shall 880 have 90 days to wind up its affairs after entry of an order to 881 cease and desist from operating as a limited purpose 882 international trust company representative office. During such 883 time, it may not engage in any of the activities authorized 884 under s. 663.0625, except to the extent required to provide 885 notice that it is winding down its affairs in this state and the 886 name or names and contact information of the persons who may be 887 contacted for additional information. If, after 90 days, a 888 limited purpose international trust company representative 889 office has not provided proof satisfactory to the office that it 890 has terminated operations, the office may seek an order from the 891 circuit court for the annulment or dissolution of the company. 892 Satisfactory proof shall consist of a corporate resolution 893 authorizing dissolution, a certified copy of articles of 894 dissolution filed with the Division of Corporations of the 895 Department of State, or documentation confirming the closing of 896 the limited purpose international trust company representative 897 office. 898 Section 16. Section 663.115, Florida Statutes, is created 899 to read: 900 663.115 Discontinuing business.—If a limited purpose 901 international trust company representative office desires to 902 discontinue business, it must file with the office a certified 903 copy of the resolution of the board of directors, or members or 904 managers of a limited liability company, authorizing that 905 action. The limited purpose international trust company 906 representative office shall voluntarily terminate its 907 registration as a limited purpose international trust company 908 representative office, whereupon it shall be released from any 909 fidelity bonds that it maintained pursuant to s. 663.058. 910 Section 17. Subsection (1) of section 663.12, Florida 911 Statutes, is amended to read: 912 663.12 Fees; assessments; fines.— 913 (1) Each application for a license or registration under 914the provisions ofthis part shall be accompanied by a 915 nonrefundable filing fee payable to the office in the following 916 amount: 917 (a) Ten thousand dollars for establishing a state-chartered 918 investment company. 919 (b) Ten thousand dollars for establishing an international 920 bank agency or branch. 921 (c) Five thousand dollars for establishing an international 922 administrative office. 923 (d) Five thousand dollars for establishing an international 924 representative office. 925 (e) Five thousand dollars for establishing an international 926 trust company representative office or a limited purpose 927 international trust company representative office. 928 (f) An amount equal to the initial filing fee for an 929 application to convert from one type of license to another or 930 from a registration to a license. The commission may increase 931 the filing fee for any type of license or registration to an 932 amount established by rule and calculated in a manner so as to 933 cover the direct and indirect cost of processing such 934 applications. 935 Section 18. This act shall take effect October 1, 2016.