Name: Phone: Email: Manager: BASIC CONTRACTING PACK ~ ALWAYS REQUIRED REGARDLESS OF CARRIER OR STATE Carrier Selection & Producer Set-up Packet Legal Questions (Please answer all questions, sign, and date) Letter of Explanation/Supporting Documents (If any background questions are answered YES ) EFT Form (with voided check if needed) Current Insurance Licenses Errors & Omissions Policy (At least $1 million aggregate and $1 million per occurrence coverage limits) Agent s Declaration and Background Authorization (Signature required on last page) Ethical canons & Rules of Conduct (Signature required on last page) For P&C Agents Only AFA Agency P&C Contract Agreement (Agency contract for all P&C agents) Agent Contract Level Agreement (Contract level for P&C Agents) DNC P&C Agreement (All P&C agents must complete) ADDITIONAL REQUIREMENTS ~ VARIES BY CARRIER, STATE, AND/OR LINE OF BUSINESS Anti-Money Laundering Training (If you have or will be taking an anti-money laundering training course through another anti-money laundering vendor other than LIMRA. LIMRA training can be completed by going to: https://aml.limra.com/limralogin.aspx) State Annuity Certification Training Certificate (If soliciting annuities, check with your state s department of insurance for any requirements that are needed prior to selling: http://clearcert.com/annuityregs.asp) State LTC Partnership Training Certificate (If soliciting LTC products or products containing LTC riders, check with your state s department of insurance for any requirements that are needed prior to selling: http://clearcert.com/initial_training.asp) NIPR ( For license look up, license renewals and non-resident licenses. http://www.nipr.com/ ) New Agent Get your License New Agent Licensing Information ( Call (847) 705-3838 for information, process and pricing. http://www.ptstraining.com/pts/site/page/schedule Send to Kenneth McCreery: ken@afaresources.com Phone: (630)400-2345
PRODUCER SET-UP PACKET Use High Resolution Scanner or High Quality Fax Social Security #: Gender: Date of Birth: Ins. Lic. # & State: Driver's Lic# & State Residential Address ( PO Boxes) Address: City: State: Zip code: Complete the following only if DBA is a Licensed Business Entity/Agency: EIN: Business Name: Business Phone: Business Address: Business Fax: Company Type: C Corporation S Corporation Partnership LLC LLP LLS Sole Prop. AFA Monthly Tech & Office Fees: AFA Memberships: Free $99.99 $149.99 $199.99 $249.00 AFA Office Rentals: Free $300.00 $600.00 Financial Software: $70.00 AFA Managed AMS: $29.99 $69.99 Total Initial Monthly: Core Carriers & Initial Agent Compensation Level: Core Carriers: rth American Transamerica Athene Equitrust Foresters Aetna Initial Agent Level: Trainee Associate Agent Senior Agent Sales Manager District Regional National Marketing Director Send to Kenneth McCreery: ken@afaresources.com Phone: (630) 400-2345
Legal Questions for Contracting and Appointment Requests Please answer the following questions. If you answer YES to any question, be sure to provide a full, detailed explanation including specific dates. Name: Have you ever been charged or convicted of or plead guilty or no contest to any Felony, 1 Misdemeanor, federal/state insurance and/or securities or investments regulations or statutes? Have you ever been on probation? 1A Have you ever been convicted of or plead guilty or no contest to any Felony? 1B Have you ever been convicted of or plead guilty or no contest to any Misdemeanor? 1C 1D 1E Have you ever been convicted of or plead guilty or no contest to a violation of federal or state securities or investment related regulations? Have you ever been convicted of or plead guilty or no contest to a violation of state insurance department regulation or statutes? Has any foreign government, court, regulatory agency, or exchange ever entered an order against you related to investments or fraud? 1F Have you ever been charged with a Felony? 1G Have you ever been charged with a Misdemeanor? 1H Have you ever been on probation? Have you ever been or are you currently being investigated, have any pending 2 indictment, lawsuits, or have you ever been in a lawsuit with an insurance company? 2A Are you currently under investigation by any legal or regulatory authority? 2B Have you been under investigation by any insurance company? 2C 2D Have you ever been or are you currently involved in any pending indictments, lawsuits, civil judgments or other legal proceedings (civil or criminal)(you may omit family court). Have you ever been named as a defendant or codefendant in a lawsuit, or have you ever sued or been sued by an insurance company? 3 Have you ever been alleged to have engaged in any fraud? 4 Have you ever been found to have engaged in any fraud? Has any insurance or financial services company or broker-dealer terminated your contract 5 or appointment or permitted you to resign for a reason other than lack of sales? Were you fired because you were accused of violating insurance or investment 5A related statutes, regulations, rules or industry standards of conduct? 5B Were you fired because you were accused of fraud or the wrongful taking of property? Failure to supervise in connection with insurance or investment related statues, 5C regulations, rules or industry standards of conduct? Have you ever had an appointment with any insurance company denied or terminated 6 for cause? Does any insurer, insured, or other person claim any commission chargeback or 7 other indebtedness from you as a result of any insurance transactions or business?
Has any lawsuit or claim ever been made against your surety company, or errors and 8 omissions insurer, arising out of your sales or practices, or, have you been refused surety bonding or E&O coverage? 8A Has a bonding or surety company ever denied, paid on or revoked a bond for you? Or, have you ever had a claim filed against your surety company? Has any Errors & Omissions (E&O) carrier ever denied, paid claims on or cancelled 8B your coverage? Or, have you ever had a claim filed against your E&O carrier? 9 Have you ever had an insurance or securities license denied, suspended, cancelled or revoked? 10 Has any state or federal regulatory body found you to have been a cause of an investment or insurance related business having its authorization to do business denied, suspended, revoked, or restricted? 11 Has any state or federal regulatory agency revoked or suspended your license as an attorney, accountant, or federal contractor? 12 Has any state or federal regulatory agency found you to have made a false statement or omission or been dishonest, unfair, or unethical? 13 Have you had any interruptions in licensing? 14 Has any state, federal or self-regulatory agency filed a complaint against you, fined, sanctioned, censured, penalized or otherwise disciplined you for a violation of their regulations or state or federal statutes? Have you ever been the subject of a consumer initiated complaint? 14A Has any regulatory body ever sanctioned, censured, penalized or otherwise disciplined you? 14B Has any state, federal, or self-regulatory agency filed a complaint against you, fined o sanctioned you? 14C Have you ever been the subject of a consumer initiated complaint? 15 Have you personally or any insurance or securities brokerage firm with whom you have been associated filed a bankruptcy petition or declared bankruptcy? 15A Have you personally filed a bankruptcy petition or declared bankruptcy? 15B Has any insurance or securities brokerage firm with whom you have been associated filed a bankruptcy petition or been declared bankrupt either during your association or within five years after termination of such association? 15C Is the bankruptcy pending? 16 Are there any unsatisfied judgments, garnishments or liens against you? Are you connected in any way with a bank, savings & loan association, or other lending or 17 financial institution? 18 Have you ever used any other names or aliases? Do you have any unresolved matters pending with the Internal Revenue Service or other 19 taxing authority? If you answered any questions YES, provide an explanation that includes dates, actions, and descriptions. Attach additional paper if necessary. I attest that the information I have provided is true to the best of my knowledge. I acknowledge that if any information changes, I will notify my agency office within 5 days of such change. Further, I understand that my agency may contact me when I need to answer carrier specific questions. Signature: Date:
Letter of Explanation *If any background questions are answered YES, provide full explanation(s) that include date(s), action(s), and description(s). Date of Action: Action: Reason: Explanation: *Attach additional paper and documentation if necessary. FINRA Registration Info Are you currently a Registered Representative with FINRA? If, Broker/Dealer Name: CRD#: Anti-Money Laundering Course Completion AML Training Provider: ne Other LIMRA Completed On: *LIMRA doesn t provide certificates of completion. However, many carriers want a screenshot from LIMRA s website proving that you completed this training. We ll automatically get a screenshot of your AML training from LIMRA if you agree to the following: You are the sole user of your Username and Password. If anyone else accesses your account, you will lose all credit for previous courses since we cannot verify who completed the coursework. Bly clicking on the I agree, you hereby authorize M&O Marketing to access your account for the sole purpose to obtain and maintain the history of the training and completion dates that you have completed through LIMRA. I Agree Thanks User ID: Password: *User id is the first four letters of your last name followed by the last six numbers of your social security number. *If you forgot your password you can recover/reset it here. Honors CLU ChFC CFC CFP MDRT FLMI NQA Other:
Replace this page with Letters of Explanation if needed.
ELECTRONIC FUND TRANSFERS (EFT) Account: Owner Name: (Required): Transit/ABA #: Account #: Financial Institution Name: Branch: Address: Account Type: By signing below I hereby authorize the Company to initiate credit entries and, if necessary, adjustments for credit entries in error to the checking and/or savings account indicated on this form. This authority is to remain in full effect until the Company has received written notification from me of its termination. I understand that this authorization is subject to the terms of any agent or representative contract, commission agreement, or loan agreement that I may have now, or in the future, with the Company. Signature: Date: Attach copy of the check here for checking account or deposit slip for saving account:
Replace this page with a copy of your Insurance License
Replace this page with a copy of your E&O Insurance Certificate of Coverage IMPORTANT: E & O Certificate must list your full name as the insured. Please refer to the following examples. CORRECT: My Insurance Agency Inc. Joe Agent 123 Main Ave City, State, 12345 INCORRECT: My Insurance Agency Inc. 123 Main Ave City, State, 12345 If individual name is not listed correctly please provide a letter from the E&O Carrier listing agents covered under agency policy.
Agent s Declaration and Background Authorization 1. I have attached certain contracts and appointment paperwork and request that American Financial Associates, Inc., (An Illinois General Insurance Agent) process these documents so that I may be appointed as an agent to one or more insurance carriers. I hereby certify that my answers on the attached documents are true and complete. 2. It is also understood that I, not American Financial Associates, Inc., jointly or severally, will be responsible for any and all commission charge-backs. If litigation is necessary to collect any debit balances, reasonable attorney fees and collection costs plus interest at the highest rate allowable by state law will also be awarded to the prevailing party. 3. I fully understand I am a 1099 independent contractor of American Financial Associates, I do not hold American Financial Associates, Inc., jointly or severally, responsible for any of my actions or the actions of any employee or agent of my agency or any agent in my hierarchy. As used in this Declaration, the term my hierarchy shall refer to all agents contracted under me under my contract with the applicable insurance carrier. 4. I am fully aware and understand that as a licensed insurance agent it is my responsibility to completely understand the products and companies I represent and to properly solicit these products to consumers in accordance with insurance solicitation laws, advertising laws, and consumer protection laws and any other laws, rules, regulations and statutes within the state(s) where I hold a resident and/or non-resident license (collectively Applicable Laws ). I endorse ethical market conduct as embodied in the Insurance Marketplace Standards Association (IMSA) statement principles, and I agree to comply with the Ethical Canons and Rules of Conduct attached hereto as Exhibit A, as may be updated from time to time. 5. I am fully aware and understand that any form of advertising, be it to agents or to the public, regardless of the medium (e.g. print, radio, internet, etc.), must be sent to the relevant (advertised) insurance carrier home office for review and compliance approval. I understand that no ad may be run without written approval from the carrier. I further understand and acknowledge each of the following: (i) failure to follow this rule can result in loss of my appointment, fines and/or loss of my insurance license; and (ii) ad approval is a contractual requirement, as well as a legal requirement. 6. I authorize any individual or company to give American Financial Associates, Inc. or their authorized representatives, any and all information with reference to the character, credit, debits owed insurance companies, business reputation, employment history, including information whether or not among their records, about myself, any and all employees and agents of my agency and/or any agent under me in my hierarchy. I release said individual and/or company from any liability whatsoever which results, or might result, from the disclosure of such information. American Financial Associates, Inc., jointly and severally, are hereby released from any liability whatsoever which results, or might result, from the disclosure of such information. 7. I authorize American Financial Associates, Inc. and or any insurance carrier they represent to perform Credit and/or Background Checks as deemed appropriate on myself. Within five (5) days of the date of this Declaration, I shall provide a separate Agent Declaration and Background Authorization signed by each employee and/or agent working with me or for me and/or with or for any agency under me in my hierarchy. American Financial Assocaires Inc., jointly and severally, are MUST BE SIGNED BY AGENT Rev 05/2013
Agent s Declaration and Background Authorization hereby released from any liability whatsoever which results, or might result, from the disclosure of such information. 8. I am fully aware and understand that from time to time I may be provided with or become privy to Protected Health Information ( PHI ), which is any information that may include, but is not limited to, health information, including demographic information collected from an individual, and is created or received by a health care provider, health plan, employer, or health care clearinghouse; and relates to the past, present or future payment for the provision of health care to an individual; and that identifies the individual, or with respect to which there is a reasonable basis to believe the information can be used to identify the individual. I agree that I will not use such PHI in any manner that is inconsistent with 45 CFR 142,160 and 164 ( HHS Privacy Regulations ). Further, I have reviewed the HHS Privacy Regulations and have all taken measures necessary to comply with the same. 9. I understand that I have an affirmative obligation to disclose any Adverse Action (as defined below) taken against me or anyone in my hierarchy (as defined above) within five (5) days of such Adverse Action, regardless if it is related to my relationship with AFA; and that AFA. may further report such Adverse Action as may be required by a carrier. As used in this Declaration, the term Adverse Action shall include, but not be limited to: (i) the denial, suspension or revocation of any insurance, securities or other fiduciary license, (ii) the filing of a complaint, regulatory inquiry/investigation, arbitration or suit by an insurance department, FINRA, state securities office, attorney general or any other regulatory agency, (iii) the filing of any lawsuit or claim against me, my surety company or E&O insurer arising out of my sales or practices, (iv) my involvement in any litigation or the filing of an unsatisfied lien or judgments, including tax liens, against me, (v) an event in which I have been charged with or pled guilty to, nolo contendre to or have been found guilty of any felony or misdemeanor or are currently under indictment, (vi) the claim of any commission charge back or other indebtedness as a result of an insurance transaction, (vii) a discharge from employment or agent contract termination for reasons other than low production, or (viii) the filing of bankruptcy. 10. If I own an agency, I also represent and warrant that all of my employees and agents shall comply with the provisions of this Declaration. If requested, I will provide a signed Declaration from each agent or employee of my agency. In any event, I hereby agree to indemnify, hold harmless, upon request, defend, AFA, jointly and severally, from and against any and all claims, causes of action, demands, lawsuits, liabilities, costs and expenses, including, without limitation, court costs and reasonable attorney fees resulting from or arising out of, directly or indirectly: (i) any violation or breach by me or by any employee or agent of my agency or any agent in my hierarchy of any term, provision, agreement, covenant, representation or warranty of this Declaration or any other agreement between Agent and AFA (ii) any negligence, gross negligence, malpractice, fraud or intentional misconduct by me or by any employee or agent of my agency or by any agent in my hierarchy, and/or (iii) any act or omission by me or by any employee or agent of my agency or by any agent in my hierarchy in violation of any Applicable Law. This Section shall survive termination of my appointment, my agency s appointment, the appointment of any employee or agent of my agency and/or the appointment of any agent in my hierarchy by the MUST BE SIGNED BY AGENT Rev 05/2013
applicable insurance carrier for whom AFA. acts as a field marketing organization and/or general agent. 11. A photocopy or fax of this Declaration and Authorization shall be effective as the original for all purposes under this Declaration, including, without limitation, Sections 6 and 7 of this Declaration. You have my express permission to communicate with me by any means, including but not limited to fax, email and telephone. Printed Name: Social Security Number: Date of Birth: Agent Signature: Date: Business Telephone Number: (In addition to any listed with the State licensing authority.)
EXHIBIT A ETHICAL CANONS AND RULES OF CONDUCT The ethical canons and rules of conduct are as follows: 1. Competence and Compliance. Agent shall competently provide services to clients, and each Agent shall maintain and further the necessary knowledge and skills to continue to do so. Agent shall comply with all applicable Laws in providing services to clients. 2. Confidentiality. Agent shall protect the privacy of clients, and others with whom he or she has a professional relationship or on whose behalf he or she has reason to possess confidential information, unless the client has specifically released Agent from such duty or such information is required to be divulged in response to proper legal process. 3. Professionalism. Agent shall serve the public, clients and employers with the highest professionalism, integrity, impartiality, objectivity and ethical behavior. 4. Fairness. Agent shall perform professional services in a manner that is fair and reasonable to clients, prospective clients, colleagues, and employers, and the Agent shall disclose any conflicts of interest associated with providing such services. Agent shall, in rendering services to a client, disclose: a. All material information relevant to the professional relationship, including but not limited to conflict(s) of interest(s), amount of compensation, address, telephone number, credentials, qualifications, licenses, and agency relationships, as well as the Agent's scope of authority within the agency. b. Any and all information required by all Laws applicable to the relationship in a manner that complies with such Laws. c. Agent's compensation shall be fair, reasonable, and clearly disclosed. 5. Integrity. Agent shall always act in the best interest of his client and Agent shall provide services with honesty and trust and place the interests of the client above his/her own interests. 6. Diligence. Agent shall act timely and promptly in serving clients, employers, principals and other users of the Agent's services. Agent shall carefully evaluate a client's circumstances in accordance with all applicable Laws prior to making a recommendation and the Agent shall make and/or implement only those recommendations that are appropriate for the client. Agent shall properly supervise subordinates with regard to their delivery of services to the client, and the Agent shall not accept or otherwise condone any subordinate's conduct that is in violation of these Ethical Canons and Rules of Conduct.
7. Continuing Education. Agent shall keep informed of developments in his/her area of activity and participate in continuing education throughout his/her professional career in order to improve professional competence in all fields in which Agent is involved. Agent shall offer advice only in those areas that Agent has competence. In those areas that Agent is not professionally competent; he/she shall seek the counsel of qualified individuals and/or refer clients to such persons. 8. Honesty and Fair Disclosure. Agent shall not solicit clients through false or misleading communications or advertisements, either written or oral. Agent shall not, during the course of rendering professional services, engage in conduct that involves dishonesty, fraud, deceit or misrepresentation, or make a false or misleading statement to a client, employer, employee, professional colleague, governmental or other regulatory body or official, or any other person or entity. 9. Disclosure and Reporting. An Agent who has reason to suspect illegal conduct within the organization shall make timely disclosure of the available evidence to the Agent's immediate supervisor and/or partners or co-owners. If the Agent is convinced that illegal conduct exists within the Agent's organization, and that appropriate measures are not being taken to remedy the problem, the Agent shall, where appropriate, alert the proper regulatory authorities and AFA,Inc.. Agent