Ohio Revised Code
Chapter 1121 | Banks - Superintendent's Powers
Section 1121.34 | Issuing Order Suspending Regulated Person or Temporarily Prohibiting Further Participation.

Effective: January 1, 2018
Latest Legislation: House Bill 49 - 132nd General Assembly
(A)(1) The superintendent of financial institutions may issue an order suspending a regulated person from office or temporarily prohibiting a regulated person from further participation in the conduct of the affairs of a bank or trust company, or both, if both of the following apply:
(a) The superintendent serves, or has served, the regulated person with a notice of charges and intent to remove the regulated person or prohibit the regulated person from further participation in the conduct of the affairs of a bank or trust company pursuant to section 1121.33 of the Revised Code.
(b) The superintendent determines the suspension or temporary prohibition is necessary for the protection of a bank or trust company or the interests of a bank's depositors or a trust company's beneficiaries.
(2) An order issued pursuant to division (A)(1) of this section is effective immediately upon service on the regulated person, and remains effective and enforceable as provided in the order except to the extent it is stayed, modified, terminated, or set aside by action of the superintendent or a reviewing court. If, upon the record of a hearing, the superintendent determines not to issue an order removing a regulated person from office or prohibiting a regulated person's further participation in the conduct of the affairs of a bank or trust company pursuant to section 1121.33 of the Revised Code, the order issued pursuant to division (A)(1) of this section is terminated.
(3) Within ten days after being served a suspension or temporary prohibition order pursuant to division (A)(1) of this section, a regulated person may apply to the court of common pleas of the county in which the residence of the regulated person is located, or the court of common pleas of Franklin county, for an injunction setting aside, limiting, or suspending the enforcement, operation, or effectiveness of the suspension or temporary prohibition order pending completion of the hearing on the notice of charges served on the regulated person pursuant to section 1121.33 of the Revised Code, and the court has jurisdiction to issue the injunction.
(B)(1) Whenever a regulated person is charged in any information, indictment, or complaint, authorized by a prosecuting attorney or a United States attorney, with the commission of or participation in a felony or a crime involving an act of fraud, dishonesty, breach of trust, theft, or money laundering involving a depository institution, the superintendent may suspend the regulated person from office or temporarily prohibit the regulated person's further participation in the conduct of the affairs of a bank or trust company, or both. A suspension or temporary prohibition order issued pursuant to division (B)(1) of this section is effective immediately upon service on the regulated person, and remains effective and enforceable until the information, indictment, or complaint is finally disposed of or the superintendent terminates the order.
(2) If a judgment of conviction or an agreement to enter a pretrial diversion or other similar program is entered against a regulated person with respect to the information, indictment, or complaint and, in the case of a judgment of conviction, is not subject to further appellate review, the superintendent may remove the regulated person from office, prohibit the regulated person from further participation in the conduct of the affairs of a bank or trust company, or both. A removal or prohibition order issued pursuant to division (B)(2) of this section is effective immediately upon service on the regulated person, and remains effective and enforceable as provided in the removal or prohibition order except to the extent it is stayed, modified, terminated, or set aside by action of the superintendent.
(3) A finding of not guilty or other disposition of the information, indictment, or complaint does not preclude the superintendent from subsequently instituting proceedings pursuant to section 1121.33 of the Revised Code to remove the regulated person from office or to prohibit the regulated person from further participation in the conduct of the affairs of a bank or trust company, or both.
(C) The superintendent shall serve a certified copy of a suspension or temporary prohibition order issued pursuant to division (A) or (B)(1) of this section or a removal or prohibition order issued pursuant to division (B)(2) of this section on any bank or trust company in relation to which the object of the suspension, removal, or prohibition order is a regulated person.
(D) A regulated person who has been suspended, removed from office, or temporarily or otherwise prohibited from further participation in the conduct of the affairs of a bank or trust company pursuant to this section or by order of the bank regulatory authority of another state or the United States shall not, while the suspension, removal, or prohibition order is in effect, continue or commence to hold any office of or participate in any manner in the conduct of the affairs of a bank or trust company in this state, except as specifically permitted by the superintendent or by the bank regulatory authority of another state or the United States pursuant to modification of the suspension, removal, or prohibition order. Participation in the conduct of the affairs of a bank or trust company includes doing any of the following:
(1) Soliciting, procuring, transferring, attempting to transfer, voting, or attempting to vote any proxy, consent, or authorization with respect to any voting rights in any bank or trust company;
(2) Violating any voting agreement previously approved by the superintendent;
(3) Voting for a director of any bank or trust company.
(E) If at any time, because of the suspension of one or more directors pursuant to this section, there are on the board of directors of a bank less than a quorum of directors not suspended, all powers and functions vested in or exercisable by the board shall be vested in and be exercisable by the director or directors on the board not suspended, until the time there is a quorum of the board of directors. If all the directors of a bank are suspended pursuant to this section, the superintendent shall appoint persons to serve temporarily as directors in their place, pending termination of the suspensions or until those who have been suspended cease to be directors of the bank and their successors take office.

Structure Ohio Revised Code

Ohio Revised Code

Title 11 | Banks-Savings and Loan Associations

Chapter 1121 | Banks - Superintendent's Powers

Section 1121.01 | Banks - Superintendent's Powers Definitions.

Section 1121.02 | Superintendent and Deputy Superintendent for Banks - Powers and Duties.

Section 1121.03 | Adoption of Administrative Rules.

Section 1121.05 | Granting Rights to Financial Institutions.

Section 1121.06 | Reducing Disadvantage to Ohio Bank or Trust Company.

Section 1121.10 | Examining Records and Affairs.

Section 1121.101 | Frequency of Bank Examinations.

Section 1121.11 | Alternate, Joint or Concurrent Examinations.

Section 1121.12 | Examining Person Who, Directly or Indirectly, Controls Bank.

Section 1121.13 | Examining Other Corporate Persons Who, Directly or Indirectly, Control Banks.

Section 1121.15 | Maintaining Books and Accounts.

Section 1121.16 | Prohibited Acts; Violations.

Section 1121.17 | Executing Documents.

Section 1121.18 | Confidentiality.

Section 1121.19 | Self-Assessment Report.

Section 1121.21 | Reporting Condition and Income.

Section 1121.23 | Criminal Records Check to Be Requested by Superintendent.

Section 1121.24 | Fee; Incomplete Application or Notice of Proposed Action or Transaction.

Section 1121.25 | Request for Confidentiality.

Section 1121.26 | Considering Impact of Proposed Action or Transaction.

Section 1121.27 | Reasonable and Necessary Conditions.

Section 1121.29 | Assessments.

Section 1121.30 | Banks Fund.

Section 1121.32 | Notice of Charges and Intent to Issue Cease and Desist Order.

Section 1121.33 | Notice of Charges and Intent to Remove Regulated Person From Office or Prohibit Further Participation.

Section 1121.34 | Issuing Order Suspending Regulated Person or Temporarily Prohibiting Further Participation.

Section 1121.35 | Civil Penalty.

Section 1121.37 | Serving Notice.

Section 1121.38 | Administrative Hearing.

Section 1121.39 | Notice Served Within 6 Years of Resignation, Termination or Separation.

Section 1121.41 | Notice of Charges and Intent to Issue Supervision Order.

Section 1121.43 | Monthly Publication by Superintendent of Violations.

Section 1121.45 | Meeting With Regulated Persons.

Section 1121.47 | Superintendent - Order and Subpoena Powers.

Section 1121.48 | Suits and Court Proceedings.

Section 1121.50 | Independent Auditor.

Section 1121.51 | Action to Secure Condition of Assets.

Section 1121.52 | Impaired Capital.

Section 1121.56 | Immunity.

Section 1121.61 | Bona Fide Errors.