AUTHORITY: section 339.120, 339.710, 339.780 and 339.820, RSMo
Supp. 1999.* This rule originally filed as 4 CSR 250-8.020. Original
rule filed Nov. 14, 1978, effective Feb. 11, 1979. Amended: Filed
20 CSR 2250-8.020 Broker Supervision and Improper Use of May 11, 1983, effective Aug. 11, 1983. Amended: Filed June 15,
License and Office 1990, effective Dec. 31, 1990. Amended: Filed Feb. 2, 1994, effective
Aug. 28, 1994. Amended: Filed Dec. 1, 1997, effective Sept. 1, 1998.
PURPOSE: This rule explicitly prohibits a broker from using his/ Amended: Filed Jan. 14, 2000, effective July 30, 2000. Moved to 20
her license to permit a salesperson to function as a real estate CSR 2250-8.020, effective Aug. 28, 2006.
brokerage firm.
*Original authority: 339.120, RSMo, 1941, amended 1963, 1967, 1981, 1988, 1993, 1995,
1999; 339.710, RSMo 1996, amended 1998, 1999; 339.780, RSMo 1996, amended 1998,
(1) Individual brokers, designated brokers, and office managers/ 1999; 339.820, RSMo 1996, amended 1998, 1999.
supervising brokers shall be responsible for supervising the
real estate related activities including the protection of any
confidential information as defined under 339.710.8, RSMo 20 CSR 2250-8.030 Branch Offices
of all licensed and unlicensed persons associated with them,
whether in an individual capacity or through a corporate PURPOSE: This rule qualifies a branch office and stipulates who
entity, association or partnership. A broker shall not be held may manage and direct same.
responsible for inadequate supervision if—
(A) A licensed or unlicensed person violates a provision (1) If a broker maintains a branch office(s), each shall be
of Chapter 339, RSMo or the rules for it in conflict with the operated under the same name and license as the parent
supervising broker’s