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Code · Wisconsin · Chapter 217 — Money transmitters

217.05 License requirements.

1,091 words·~5 min read·/wi/chapter-217/217-05-2

A research copy — for the controlling text, always check the official state or federal source. Not legal advice.

217.05 License requirements.
(1)License required. A person may not engage in the business of money transmission or advertise, solicit, or hold itself out as providing money transmission unless the person is licensed under this chapter. This subsection does not apply to an authorized delegate of a person licensed under this chapter acting within the scope of authority conferred by a written contract with the licensee, or to a person who is exempt pursuant to s. 217.03 and does not engage in money transmission outside the scope of the exemption.
(2)License not transferable. A license issued under this section is not transferable or assignable.
(3)Application for license.
(a)An applicant for a license shall apply in a form and manner prescribed by the division and submit a $1,000 nonrefundable application fee.
(b)The applicant shall provide all of the following information to the division:
1. The legal name and residential and business addresses of the applicant and any fictitious or trade name used by the applicant in conducting its business.
2. The applicant’s federal employer identification number or social security number, as applicable. If an applicant who is an individual does not have a social security number, the applicant, as a condition of applying for or applying to renew a license, shall submit a statement made or subscribed under oath or affirmation to the division that the applicant does not have a social security number. The form of the statement shall be prescribed by the department of children and families.
3. A list of any criminal convictions of the applicant and any material litigation in which the applicant has been involved in the 10-year period next preceding the submission of the application.
4. A description of any money transmission previously provided by the applicant and the money transmission that the applicant seeks to provide in this state.
5. A list of the applicant’s proposed authorized delegates and the locations in this state where the applicant and its authorized delegates propose to engage in money transmission.
6. A list of other states in which the applicant is licensed to engage in money transmission and any license revocations, suspensions, or other disciplinary action taken against the applicant in another state.
7. Information concerning any bankruptcy or receivership proceedings affecting the applicant or a person in control of the applicant.
8. A sample form of contract for authorized delegates, if applicable.
9. A sample form of each payment instrument or stored value, as applicable.
10. The name and address of any federally insured depository financial institution through which the applicant plans to conduct money transmission.
11. A copy of audited financial statements of the applicant for the most recent fiscal year and for the 2-year period next preceding the submission of the application or, if acceptable to the division, certified unaudited financial statements for the most recent fiscal year or another period acceptable to the division.
12. A certified copy of unaudited financial statements of the applicant for the most recent fiscal quarter.
13. A copy of the surety bond or other form of security required by s. 217.10
(2).
14. Any other information the division or the nationwide multistate licensing system and registry reasonably requires with respect to the applicant.
(c)If the applicant is a corporation, limited liability company, partnership, or other legal entity, the applicant shall provide all of the following information to the division, in addition to the information required under par.
(b):
1. The date of the applicant’s incorporation or formation and state or country of incorporation or formation.
2. A certificate of good standing from the state or country in which the applicant is incorporated or formed, if applicable.
3. A brief description of the structure or organization of the applicant, including each parent or subsidiary of the applicant and whether each parent or subsidiary is publicly traded.
4. The legal name, any fictitious or trade name, all business and residential addresses, and the employment, as applicable, in the 10-year period next preceding the submission of the application, of each key individual and person in control of the applicant.
5. A list of any criminal convictions and material litigation in which a person in control of the applicant that is not an individual has been involved in the 10-year period next preceding the submission of the application.
6. If the applicant is a publicly traded corporation, a copy of the most recent report filed with the U.S. Securities and Exchange Commission under section 13 of the Securities Exchange Act of 1934, 15 USC 78m .
7. If the applicant is a wholly owned subsidiary of a publicly traded corporation, one of the following as applicable:
a. If the parent corporation is publicly traded in the United States, a copy of the parent corporation’s audited financial statements for the most recent fiscal year or a copy of the parent corporation’s most recent report filed under section 13 of the Securities Exchange Act of 1934, 15 USC 78m .
b. If the parent corporation is publicly traded outside the United States, a copy of similar documentation filed with the regulator of the parent corporation’s domicile outside the United States.
8. The name and address of the applicant’s registered agent in this state.
(d)The division may waive one or more requirements of par.
(b)or
(c)or permit an applicant to submit other information in lieu of the required information.
(4)Information requirements for certain individuals.
(a)Any individual in control of a licensee or applicant, any individual that seeks to acquire control of a licensee, and each key individual shall provide all of the following items to the division through the nationwide multistate licensing system and registry as provided in s. 224.35
(2):
1. The individual’s fingerprints for submission to the federal bureau of investigation and the division for purposes of a national criminal history background check unless the person currently resides outside of the United States and has resided outside the United States for the last 10 years.
2. Personal history and experience in a form and manner prescribed by the division, to include all of the following:
a. An independent credit report from a consumer reporting agency. This requirement shall be waived if the individual does not have a social security number.
b. Information related to any criminal convictions or pending charges.
c. Information related to any regulatory or administrative action and any civil litigation involving claims of fraud, misrepresentation, conversion, mismanagement of funds, breach of fiduciary duty, or breach of contract.
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