A. After notice and opportunity for a hearing, the director may issue an order requiring a person or group to cease and desist from engaging in an act or practice found to be in violation of any provision of the Group Self-Insurance Act or of any rules or regulations promulgated thereunder.
B. Upon a finding, after notice and opportunity for a hearing, that any person or group has violated any cease and desist order, the director may do either or both of the following:
(1) impose a monetary penalty of not more than ten thousand dollars ($10,000) for each and every act or violation of such order not to exceed an aggregate monetary penalty of one hundred thousand dollars ($100,000); and
(2) revoke the group's certificate of approval or any insurance license held by the person.
History: Laws 1986, ch. 22, § 96; 1990 (2nd S.S.), ch. 2, § 80.
The 1990 (2nd S.S.) amendment, effective January 1, 1991, substituted "director" for "superintendent" in both subsections and "and" for "or" at the end of Subsection B(1).