A financial institution may not allow a person to transact insurance in an office of the institution or on behalf of the institution, unless the person is licensed as required under AS 21.27.
Structure Alaska Statutes
Chapter 36. Trade Practices and Frauds
Article 3. Financial Institutions; Loans; Credit.
Sec. 21.36.317. Licensing of persons in a financial institution.
Sec. 21.36.319. Anticoercion and antitying.
Sec. 21.36.321. Misrepresentation in financial institution sales.
Sec. 21.36.323. Disclosures required in financial institution sales.