(a) An insurer shall not engage the services of any person, firm, association, or corporation to act as a reinsurance intermediary broker on its behalf unless the person is licensed as required by § 23-62-404.
(b) An insurer may not employ an individual who is employed by a reinsurance intermediary broker with which it transacts business, unless the reinsurance intermediary broker is under common control with the insurer and subject to the Insurance Holding Company Regulatory Act, § 23-63-501 et seq.
(c) The insurer shall annually obtain a copy of statements of the financial condition of each reinsurance intermediary broker with which it transacts business.
Structure Arkansas Code
Title 23 - Public Utilities and Regulated Industries
Chapter 62 - Kinds of Insurance — Reinsurance
Subchapter 4 - Reinsurance Intermediary Act
§ 23-62-403. Qualified United States financial institutions
§ 23-62-405. Required contract provisions — Reinsurance intermediary brokers
§ 23-62-406. Books and records — Reinsurance intermediary brokers
§ 23-62-407. Duties of insurers utilizing the services of a reinsurance intermediary broker
§ 23-62-408. Required contract provisions — Reinsurance intermediary managers
§ 23-62-410. Duties of reinsurers utilizing the services of a reinsurance intermediary manager
§ 23-62-411. Examination authority