230-RICR-20-50-2
230-RICR-20-50-2. Continuing Education for Insurance Producers (version Amendment, 12/19/2012 to 05/14/2018)
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Reg. # 40
State of Rhode Island and Providence Plantations
DEPARTMENT OF BUSINESS REGULATION
Division of Insurance
1511 Pontiac Avenue, Bldg. 69-2
Cranston, Rhode Island 02920
INSURANCE REGULATION 40
CONTINUING EDUCATION FOR INSURANCE PRODUCERS
Table of Contents
Section 1
Authority
Section 2
Purpose
Section 3
Definitions
Section 4
Applicability
Section 5
Exemptions
Section 6
Educational Requirements
Section 7
Approved Courses
Section 8
Approved Providers and Course Submissions
Section 9
Continuing Education Advisory Board
Section 10
Compliance
Section 11
Penalty
Section 12
Fees
Section 13
Collection of Continuing Education Course Data
Section 14
Severability
Section 15
Effective Date
Section 1
Authority
This Regulation is promulgated in accordance with R.I. Gen. Laws §§ 27-3.2-1 et
seq. and 42-14-17.
Section 2
Purpose
The purpose of this regulation is to establish requirements and standards for
continuing education programs for individual resident insurance producers.
Section 3
Definitions
As used in this Regulation:
A.
“Continuing Education Course Provider” or “Provider” shall mean any person or
entity which is approved by the Department to provide continuing education
course(s) for insurance producers pursuant to R.I. Gen. Laws §§ 27-3.2-1 et seq.
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B.
“Department” shall mean Department of Business Regulation, Division of
Insurance.
C.
“Director” shall mean the Director of the Department of Business Regulation or
his or her designee.
D.
"License" shall mean a document issued by the Department authorizing a person
to act as an insurance producer for the lines of authority specified in the
document. The license itself does not create any authority, actual, apparent or
inherent authority, in the holder to represent or commit an insurance carrier.
E.
“License Renewal Period” shall mean each biennial license period during which
the individual holds the license prior to the renewal date.
F.
"NAIC" shall mean National Association of Insurance Commissioners.
G.
"Resident" shall mean a person who either resides in Rhode Island or maintains
an office in Rhode Island where the business of producing insurance is transacted
and designates Rhode Island as the residence for purposes of licensure.
H.
“Reciprocal State” shall mean any state which grants nonresident insurance
producer licenses to licensed Rhode Island insurance producers without the
necessity of examination on the basis of the Rhode Island license.
Section 4
Applicability
This Regulation applies to resident insurance producers licensed to engage in the
sale of the following lines or class of insurance:
1.
Life insurance;
2.
Accident & Health and Sickness insurance;
3.
Property insurance;
4.
Casualty insurance and
5.
Personal Lines.
Section 5
Exemptions
This chapter does not apply to:
1.
Those residents holding licenses to sell any kind or kinds of insurance for which
an examination is not required;
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2.
Residents holding insurance producer licenses limited to credit, crop, travel,
surety, car rental or title insurance;
3.
Non-resident licensees who meet continuing education requirements established
by the insurance department in their home state if the home state is reciprocal
with the State of Rhode Island; or
4.
Residents holding a license continuously without a lapse of licensure for twenty-
five (25) years and who are age fifty-five (55) at the time of renewal.
A.
A lapse has occurred if the producer’s license expired and was not
reinstated.
B.
A producer’s license may be reinstated if the producer submits an
Application of License Reinstatement and pays the renewal fee within
thirty (30) days of expiration. If the application is submitted more than
thirty (30) days after expiration of the license, the licensee must pay both
the renewal fee and a reinstatement fee. If a license is reinstated it is not
considered to have lapsed. Licenses cannot be reinstated more than one
year after expiration.
C.
A producer who reinstates must complete continuing education in exactly
the same manner as would have been required if the license was renewed
prior to the expiration date.
5.
Any exemption granted by the Department.
Section 6
Educational Requirements
1.
Any person to which this Regulation applies shall, for each biennial license
period, satisfactorily complete approved continuing education courses equivalent
to a minimum of twenty four (24) accumulated credit hours including three (3)
hours of ethics.
2.
A person teaching any approved course of instruction or lecturing at any approved
seminar shall qualify for the same number of classroom hours as would be
granted to a person taking and successfully completing that course, seminar, or
program.
3.
Licensees who have relocated to Rhode Island after being licensed in another state
shall provide, on the first renewal of the license, twenty four (24) credits
consisting of courses approved either in the licensees prior resident state or in
Rhode Island. The Department will accept a combination of such courses as long
as the credits submitted total twenty four (24) including three (3) hours of ethics.
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Section 7
Approved Courses
The following are the categories of courses that are approved for continuing
education credit:
1.
Rhode Island approved courses
A.
Any course or program of instruction, seminar or correspondence course
approved by the Department shall qualify for the number of hours
assigned to it by the Department after consultation with the Advisory
Board as described in section 9 of this regulation.
1.
When the course is given by classroom instruction the number of
hours for which it qualifies will be based on the number of actual
classroom hours.
2.
For course given in whole or partly online or by self study, the
provider shall fully describe its calculation of the number of credit
hours requested and the basis therefore.
B.
In evaluating courses the Advisory Board and the Department will be
looking for satisfaction of the following criteria:
1.
Material that is current, relevant, accurate, and that includes valid
reference materials, graphics and interactivity.
2.
Clearly defined objectives and course completion criteria
3.
Specific instructions to register, navigate and complete the course
work.
4.
Technical support/provider representative be available during
business hours.
5.
Process to authenticate student identity.
6.
Method for measuring the student’s successful completion of
course material and for evaluating the learning experience.
7.
A monitor is not required for examinations.
C.
The following criteria will be evaluated, in addition to those listed in B
above, for on line courses:
1.
Each producer should be required to enroll for the course before
having access to course material.
2.
Prevent access to the course exam before review of the course
materials.
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3.
Prevent downloading of any course exam.
4.
Provide review questions at the end of each unit/chapter and
prevent access to the final exam until each set of questions are
answered at a 70% rate.
5.
Provide final exam questions that do not duplicate unit/chapter
questions.
6.
Prevent alternately accessing course materials and course exams.
2.
Courses approved in other states
Any nationally recognized approved continuing education course, program of
instruction, training seminar or correspondence course approved by a reciprocal
state shall qualify for the same number of hours assigned to it by the reciprocal
state as credit in Rhode Island as if it were approved by the Department.
Section 8
Approved Providers and Course Submissions
1.
Continuing Education Course Providers
a.
Each Continuing Education Course Provider shall register with the
Department on a form and in a manner designated by the Department.
b.
Once registered the Provider may submit courses for approval as described
below. The provider is responsible for keeping all information on file
with the Department current.
c.
There is a one hundred dollar ($100) initial fee and an annual fifty dollar
($50) renewal fee for this registration.
d.
All Continuing Education Course Providers shall renew their registration
each year no later than January 1 regardless of when the initial registration
was made. If the Provider fails to renew within thirty (30) days it will
have to apply as a new Provider. Any courses approved for a provider that
has failed to renew will have that approval terminated by virtue of the fact
that the Provider has not renewed.
e.
Continuing Education Course Providers shall submit course rosters
electronically in accordance with instructions received by the Department
and pay a fee of one dollar ($1) per credit hour for each insurance
producer who completes the course within ten (10) days of completion of
the course. Failure to file the roster electronically shall be grounds to
revoke the Providers ability to offer courses in Rhode Island.
2.
Rhode Island Approved Courses
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a.
Providers shall submit an application for course approval on a form and in
a manner designated by the Department.
b.
In addition to the application and course materials, Providers must remit a
nonrefundable fee of sixty dollars ($60) for each course submitted.
c.
Courses approved for Rhode Island shall be assigned a unique course
number that is valid for a period of two (2) years. If the course is
resubmitted after the two-year period, such course shall be reassigned a
new course number.
d.
The provider must submit all course material, for both new submissions
and renewals, at least ninety (90) days prior to the proposed effective date
of the course.
3.
Courses Approved in Reciprocal States
a.
If a course has been approved in the Provider’s home state, the Provider
should submit an application for reciprocal approval in a manner and on a
form approved by the Department.
b.
In addition to the application and reciprocal state approval, the Provider
must remit a nonrefundable fee of sixty dollars ($60) for each course
submitted.
4.
Courses Available for Continuing Education Credit for Producers
a.
Courses are effective for two (2) years from the date the course is
approved.
b.
Courses must be resubmitted for approval, with updates, in order for the
course to be offered after the two (2) year period. Courses will not be
automatically renewed.
c.
Currently registered Continuing Education Course Providers are eligible to
submit courses to the Department for approval. Failure to renew
registration as a Continuing Education Course Provider will result in the
removal of the courses submitted by that provider from the valid course
list.
Section 9
Continuing Education Advisory Board
The Department will be assisted in the review and approval process of Rhode
Island courses by two continuing education advisory boards. The Life, Accident & Health
and Sickness Board shall consist of up to six (6) persons considered by the Department to
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have sufficient experience in the effected lines of insurance as necessary to advise the
Department on the approval of courses. Persons who are representatives of the Rhode
Island Association of Insurance and Financial Advisors, the Independent Insurance
Agents of Rhode Island and the Rhode Island Society of Financial Service Professionals
are presumed to have such expertise. The Property & Casualty Board shall consist of up
to six (6) persons considered by the Department to have sufficient experience in the
effected lines of insurance as necessary to advise the Director on the approval of courses.
Persons who are representatives of the Independent Insurance Agents of Rhode Island,
Rhode Island Association of Insurance and Financial Advisors and the Chartered
Property and Casualty Underwriters are presumed to have such expertise.
The board members shall be appointed by the Director and shall serve at his or
her pleasure. Board Members shall serve indefinite terms unless and until removed by
the Director or upon resignation. The Director shall be empowered to fill any unexpired
term upon a vacancy. The Boards shall meet at least once a year and additionally as
required. The Boards shall advise the Director on the plans and operations of the
continuing education program for any person licensed pursuant to this title and not
exempt pursuant to the Regulation.
Section 10
Compliance
1.
Any person licensed pursuant to this title and not exempt under section 5 of this
Regulation shall comply with all of the terms and requirements of this chapter.
2.
Up to twelve (12) excess continuing education credits accumulated during a
biennial license cycle may be carried forward through the end of the next renewal
period. Ethics credits will be carried forward as general credits so that the
required three (3) ethics credit must be obtained during the biennial license cycle.
3.
Although Providers are required to submit completion of course credits
electronically, residents are required to maintain proof of the continuing education
courses taken. Copies of these certificates need be submitted only if requested by
the Department. Producers have the burden of showing compliance with
continuing education requirements.
4.
The Director, for good cause shown, may grant an extension of time during which
the requirements of this chapter may be completed. Unless the Director finds
extraordinary circumstances that extension of time shall not exceed the period of
one year.
5.
If requested by the Department, every person subject to the provisions of this
chapter shall furnish, in a form satisfactory to the Director, written certification as
to the courses, programs, or seminars of instruction taken and successfully
completed by that person. The certification shall be executed by or on behalf of
the sponsoring organization.
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Section 11
Penalty
Any person failing to meet the requirements of this chapter and who has not been
granted an extension of time within which to comply or who has submitted a false or
fraudulent certificate of compliance, shall be subject to any or all of the penalties in R.I.
Gen. Laws § 42-14-16. Such person will be given the opportunity to dispute the
allegations and/or penalty pursuant to R.I. Gen. Laws § 42-35-1 et seq. Any Provider that
fails to comply with the requirements of this regulation, including electronic submission
of credits, will be subject to being removed from the list of providers approved to offer
courses in Rhode Island.
Section 12
Fees
1.
All persons licensed pursuant to R.I. Gen. Laws § 27-2.4-1 et seq. shall pay a fee
of five dollars ($5) per annum along with continuing education compliance.
2.
All Continuing Education Course Providers shall be charged a fee of sixty dollars
($60) for the approval of each continuing education course submitted for
approval.
3.
All Continuing Education Course Providers shall be charged an initial registration
fee of one hundred dollars ($100).
4.
All Continuing Education Course Providers shall be charged an annual renewal
registration fee of fifty dollars ($50).
5.
All Continuing Education Course Providers will be charged a fee of one dollar
($1) per credit hour for each insurance producer who completes the course.
Section 13
Collection of Continuing Education Course Data
The Department may contract with non-governmental entities, including the
NAIC or any affiliates or subsidiaries that the NAIC oversees, to perform any ministerial
functions, including the collection of continuing education course data, related to
licensing that the Department may deem appropriate.
Section 14
Severability
If any provision of this Regulation or the application thereof to any person or
circumstances is held invalid or unconstitutional, the invalidity or unconstitutionality
shall not affect other provisions or applications of this Regulation which can be given
effect without the invalid or unconstitutional provision or application, and to this end the
provisions of this Regulation are severable.
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Section 15
Effective Date
This Regulation shall be effective as indicated below.
EFFECTIVE DATE: January 1, 2007
AMENDED:
September 1, 2008
September 14, 2009
May 13, 2010
December 19, 2012