3 NH CEUs. Instructor: John Doran.
This Course is designed to educate Principal and Managing Brokers with respect to their Statutory Supervisory Duties in guiding their Licensees’ Professional Conduct. It is also designed to educate Licensees as to what they should expect from their Principal and Managing Brokers in doing their work on behalf of the Firm. The Course focuses on references to and compliance with RSA 331-A:16 and Declaratory Ruling: “Definition of Reasonable Supervision”
FREE to members
$47 nonmembers
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