Michigan Compiled Laws
Article 25 - (339.2501...339.2518)
Section 339.2512 - Prohibited Conduct; Penalties; Filing Complaint Under Article 5.

Sec. 2512.
(1) A licensee that commits 1 or more of the following is subject to the penalties set forth in article 6:
(a) Except in a case involving property management, acts for more than 1 party in a transaction without the knowledge of the parties.
(b) Fails to provide a written agency disclosure to a prospective buyer or seller in a real estate transaction as defined in section 2517.
(c) If the licensee is an associate real estate broker or real estate salesperson, represents or attempts to represent a real estate broker other than his or her employer without the express knowledge and consent of the employer.
(d) Fails to account for or to remit money that comes into the licensee's possession that belongs to others.
(e) Changes a business location without notification to the department.
(f) If the licensee is a real estate broker, fails to return a real estate salesperson's license within 5 days under section 2507.
(g) If the licensee engaged in property management, violates section 2512c(2), (5), or (6).
(h) Except as provided in section 2510(2), shares or pays a fee, commission, or other valuable consideration to a person that is not licensed under this article, including payment to any person that provides the name of, or any other information regarding, a potential seller or purchaser of real estate but excluding payment for the purchase of a commercially prepared list of names. However, a licensed real estate broker may pay a commission to a real estate broker that is licensed by another state if the nonresident real estate broker does not conduct in this state a negotiation for which a commission is paid.
(i) Conducts or develops a market analysis that does not comply with section 2601(a)(ii).
(j) Fails to provide the minimum services specified under section 2512d(3) when providing services under a service provision agreement unless expressly waived in writing by the client under section 2517(2).
(k) Except in connection with a property management account, fails to deposit money in its possession that belongs to another person in a custodial trust or escrow account that is maintained by the real estate broker, in a manner that complies with all of the following:
(i) A real estate broker shall retain a deposit or other money made payable to a person that holds a real estate broker's license under this article pending consummation or termination of the transaction involved and shall account for the full amount of the money at the time of the consummation or termination of the transaction.
(ii) A real estate salesperson shall pay or deliver to the real estate broker, on receipt, a deposit or other money paid in connection with a transaction in which the real estate salesperson is engaged on behalf of the real estate broker.
(iii) A real estate broker shall not deposit or permit the deposit of an advance payment of money that belongs to others in the real estate broker's business or personal account or commingle or permit the commingling of that money with funds on deposit that belong to the real estate broker.
(iv) A real estate broker may maintain more than 1 trust account. A real estate broker may deposit not more than $2,000.00 of its own money in each trust account to cover bank service charges and bank minimum balance requirements or to avoid the closing of the account because there is no money in the account. The real estate broker shall account for any of its own money in a trust account in the records described in subparagraph (vi).
(v) A real estate broker shall deposit, within 2 banking days after the broker has received notice that an offer to purchase is accepted by all parties, money that belongs to others and is made payable to the real estate broker into a separate custodial trust or escrow account maintained by the real estate broker with a bank, savings and loan association, credit union, or recognized depository until the transaction involved is consummated or terminated, at which time the real estate broker shall account for the full amount received.
(vi) A real estate broker shall keep records of money deposited in its custodial trust or escrow account, and indicate clearly in those records the date and from whom the money was received, the date deposited, the date of withdrawal, and other pertinent information concerning the transaction and shall show clearly for whose account the money is deposited and to whom the money belongs. The records are subject to inspection by the department. A real estate broker's separate custodial trust or escrow account shall designate the real estate broker as trustee, and the custodial trust or escrow account shall provide for withdrawal of funds without previous notice. This article and the rules promulgated under this article do not prohibit the deposit of money accepted under this section in a noninterest bearing account of a state or federally chartered savings and loan association or a state or federally chartered credit union.
(vii) If a purchase agreement signed by a seller and purchaser provides that an escrowee other than a real estate broker shall hold a deposit, a licensee in possession of that deposit shall cause the deposit to be delivered to the named escrowee within 2 banking days after the licensee receives notice that an offer to purchase is accepted by all parties.
(2) A complaint that seeks a penalty under article 5 for a violation of this section must be filed within 18 months after 1 of the following dates, whichever occurs later:
(a) The date of the alleged violation.
(b) If the alleged violation occurs in connection with a real estate transaction, the date the transaction is completed.
History: 1980, Act 299, Imd. Eff. Oct. 21, 1980 ;-- Am. 1993, Act 93, Imd. Eff. July 13, 1993 ;-- Am. 1993, Act 177, Imd. Eff. Sept. 29, 1993 ;-- Am. 1994, Act 125, Imd. Eff. May 16, 1994 ;-- Am. 1994, Act 333, Imd. Eff. Oct. 18, 1994 ;-- Am. 1996, Act 430, Eff. Jan. 1, 1997 ;-- Am. 2000, Act 436, Imd. Eff. Jan. 9, 2001 ;-- Am. 2002, Act 42, Imd. Eff. Mar. 12, 2002 ;-- Am. 2008, Act 90, Eff. July 1, 2008 ;-- Am. 2016, Act 502, Eff. Mar. 29, 2017 Popular Name: Act 299

Structure Michigan Compiled Laws

Michigan Compiled Laws

Chapter 339 - Occupational Code

Act 299 of 1980 - Occupational Code (339.101 - 339.2919)

Article 25 - (339.2501...339.2518)

Section 339.2501 - Definitions.

Section 339.2502 - Board of Real Estate Brokers and Salespersons; Creation.

Section 339.2502a - Real Estate Broker, Associate Real Estate Broker, and Real Estate Salesperson; License; Term; Renewal; Relicensure; Licensure Following Revocation.

Section 339.2502b - Owner of Real Estate Engaging in Sale of Real Estate as Principal Vocation; License as Real Estate Broker Required.

Section 339.2503 - Exemptions.

Section 339.2504 - Real Estate Broker's License; Prelicensure Classroom Courses; Suspension or Revocation of Approval; Prohibited Representations; Conduct of Prelicensure Course; Violation of Subsection (4); Penalties; Real Estate Clinic, Meeting, Co...

Section 339.2504a - Continuing Education.

Section 339.2505 - Real Estate Broker's License; Application; Contents; Execution of Application; Effect of Certain Convictions; Place of Business; Branch Office License; Signature; Proof; Examination; Experience.

Section 339.2506 - Real Estate Broker, Associate Real Estate Broker, Associate Real Estate Broker, or Real Estate Salesperson; License and Pocket Card or Temporary License Required; Delivering or Mailing Real Estate Salesperson's License to Broker; C...

Section 339.2507 - Discharge or Termination of Real Estate Salesperson; Delivering or Mailing Salesperson's License to Department; Application for Transfer of License; Communication; Performing Regulated Acts Without License Prohibited; Limitation.

Section 339.2508 - Real Estate Broker's License; Entities to Which Issued; Authorized Acts; Associate Real Estate Broker's License; Transferability; Suspension; Issuance of New License; Death or Disability of Sole Principal Associate Broker.

Section 339.2509 - Associate Real Estate Broker's License; Issuance to Principal and Nonprincipal; Limitation.

Section 339.2510 - Real Estate Salesperson; Commission or Valuable Consideration.

Section 339.2511 - Plan or Scheme for Selling or Promoting Sale of Real Estate.

Section 339.2512 - Prohibited Conduct; Penalties; Filing Complaint Under Article 5.

Section 339.2512a - Action for Collection of Compensation for Performance of Act or Contract; Allegation and Proof.

Section 339.2512b - Actions Not Constituting Participation in Real Estate Transaction or in Payment of Real Estate Commissions.

Section 339.2512c - Property Management Performed by Real Estate Broker.

Section 339.2512d - Service Provision Agreement; Duties; Services; Misleading Public Prohibited; Waiver of Services in Limited Service Agreement.

Section 339.2512e - Advertisement.

Section 339.2512f - Supervision of Real Estate Salesperson.

Section 339.2513 - Filing Bond or Posting Cash Deposit as Condition Precedent to Issuance of License or Removal of Suspension; Action by Injured Person.

Section 339.2514 - Real Estate Broker or Real Estate Salesperson; Nonresident Applicant; Consent to Service of Process; Application; Disposition of Process or Pleading.

Section 339.2515 - Listing Agreement; Discrimination Prohibited; Burden of Proof; Legal and Equitable Remedies.

Section 339.2516 - Interest in Real Property; Acquisition by Licensee; Proof of Disclosures and Consents.

Section 339.2516a - Inspection of Document or Record by Representative of Department.

Section 339.2516b - Rescission of Rules.

Section 339.2517 - Disclosure of Agency Relationship.

Section 339.2518 - Prohibited Actions.