Current through P.L. 171-2024
Section 25-1-4-3 - Sworn statements of compliance; retention of copies of certificates of completion; audits(a) Notwithstanding any other law, a board that is specifically authorized or mandated to require continuing education as a condition to renew a registration, certification, or license must require a practitioner to comply with the following renewal requirements:(1) The practitioner shall provide the board with a sworn statement executed by the practitioner that the practitioner has fulfilled the continuing education requirements required by the board, after which the board will forward the sworn statement to the agency (established by IC 25-1-5-3).(2) The practitioner shall retain copies of certificates of completion for continuing education courses for three (3) years from the end of the licensing period for which the continuing education applied. The practitioner shall provide the board or agency (established by IC 25-1-5-3) with copies of the certificates of completion upon the board's or agency's request for a compliance audit.(b) This subsection does not apply to an individual licensed under IC 25-34.1. Following every license renewal period, the agency with consultation from the board may randomly audit for compliance more than one percent (1%) but less than ten percent (10%) of the practitioners required to take continuing education courses.(c) This subsection applies only to individuals licensed under IC 25-34.1. Following every license renewal period for a broker's license issued under IC 25-34.1, the agency in consultation with the board may randomly audit for compliance more than one percent (1%) but less than ten percent (10%) of the practitioners required to take continuing education courses.Amended by P.L. 173-2016, SEC. 1, eff. 7/1/2016.Amended by P.L. 168-2016, SEC. 1, eff. 7/1/2016.As added by P.L. 269-2001, SEC.4. Amended by P.L. 157-2006, SEC.13.