{"data":{"id":"us-ky/krs-286.13-130","jurisdiction":"us-ky","citation":"KRS 286.13-130","heading":"Adverse action against regulated person, applicant, or licensee -- Notice","body":"of intent -- Conditions imposed on license or approval -- Administrative\ncomplaint -- Ineligibility if license or approval denied or revoked.  (Effective\nApril 30, 2027)\n(1) As used in this section:\n(a) \"Adverse action\" means to take any of the following actions:\n1. Deny or condition a license;\n2. Deny, in whole or in part, an application to engage in virtual currency\nkiosk business at one (1) or more locations, or throug h one (1) or more\nagents, in this state;\n3. Condition an approval:\na. To engage in virtual currency kiosk business at a location in this\nstate; or\nb. Of an agent to engage in virtual currency kiosk business in this\nstate on behalf of an applicant or licensee; or\n4. Suspend, revoke, or refuse to renew:\na. A license;\nb. An approval to engage in virtual currency kiosk business at a\nlocation in this state; or\nc. An approval of an agent to engage in virtual currency kiosk\nbusiness in this state on behalf of a licensee;\n(b) \"Regulated person\" means any applicant, licensee, or agent; and\n(c) 1. \"Unsafe or unsound act or practice\" means an act or practice that:\na. Creates a likelihood of material loss, insolvency, or dissipation of\na regulated person's assets; or\nb. Materially prejudices the:\ni. Financial condition of a regulated person; or\nii. Interests of a regulated person's customers.\n2. In determining whether a re gulated person has engaged, or is engaging,\nin an unsafe or unsound act or practice, the commissioner may consider:\na. The size and condition of the person's business;\nb. The magnitude of the loss;\nc. The gravity of the violation of this subtitle;\nd. Any a ction taken by another state or federal government against\nthe person; and\ne. The previous conduct of the person.\n(2) Subject to KRS 286.13 -125 and 335B.020, the commissioner may take an adverse\naction against a regulated person if the commissioner finds o ne (1) or more of the\nfollowing:\n(a) The regulated person has:\n1. Violated any:\na. Provision of this subtitle;\nb. Other state or federal law related to money transmission or virtual\ncurrency kiosk business; or\nc. Consent order or compliance agreement enter ed into with the\ncommissioner;\n2. Engaged in:\na. An unsafe or unsound act or practice;\nb. An unfair, deceptive, or dishonest act or practice;\nc. Fraud, an intentional misrepresentation, or gross negligence; or\nd. A misappropriation of legal tender, virtual currency, or other\nassets;\n3. Misrepresented material facts or made a false promise likely to\ninfluence, persuade, or induce a virtual currency kiosk user to engage in\na virtual currency kiosk transaction;\n4. Misrepresented or concealed a material fact, term, or condition of a\nvirtual currency kiosk transaction;\n5. Knowingly engaged in a transaction, practice, or course of business that\nperpetrates a fraud upon any person in connection with a virtual\ncurrency kiosk transaction;\n6. Failed to exchange, transfer, or store, without just cause, any funds in\naccordance with any agreement connected with a virtual currency kiosk\nbusiness;\n7. Failed to timely remit, account for, or deliver to any person any legal\ntender, virtual currency, precious metals, electronic certificates, or other\nassets legally due to the person;\n8. Failed to implement reasonable risk -mitigation measures to prevent\nfraudulent activity by third parties in connection with a virtual currency\nkiosk transaction;\n9. Been found to have violated any of the recordkeeping and reporting\nrequirements of the United States government, including 31 U.S.C. secs.\n5311 to 5332 and 31 C.F.R. pt. 103;\n10. Been convicted of, pled guilty to, or pled nolo contendere, or kn owingly\nemployed or contracted with a responsible individual that has been\nconvicted of, pled guilty to, or pled nolo contendere, to a:\na. Felony; or\nb. Misdemeanor:\ni. Related to money transmission or virtual currency kiosk\nbusiness; or\nii. Involving theft, fraud, or breach of trust; or\n11. Has had any license, registration, claim of exemption, or other\nauthorization to do business relating to the financial services industry\ndenied, revoked, suspended, conditioned, restricted, probated, or\nterminated by any state, federal, or foreign jurisdiction;\n(b) The regulated person:\n1. Is insolvent;\n2. Has suspended payment of its obligations or made a general assignment\nfor the benefit of its creditors;\n3. Has:\na. Become the debtor, alleged debtor, respondent, or pe rson in a\nsimilar capacity in a case or other proceeding under any\nbankruptcy, reorganization, arrangement, readjustment,\ninsolvency, receivership, dissolution, liquidation, or similar law;\nand\nb. Not obtained from a court, within a reasonable time, confir mation\nof a plan or dismissal of the case or proceeding; or\n4. Has applied for, or has permitted the appointment of, a receiver, trustee,\nor other agent of a court for itself or for a substantial part of its assets;\n(c) The regulated person has knowingly m ade or provided, or caused to be made\nor provided, to the commissioner one (1) or more of the following:\n1. A material misrepresentation; or\n2. A false or fraudulent:\na. Material fact; or\nb. Financial statement;\n(d) The applicant or licensee suppressed or withheld from the commissioner any\ninformation which, if submitted by the applicant or licensee, warrants or\nwould have warranted the commissioner denying a license;\n(e) The applicant or licensee failed to terminate or suspend the authority of its\nresponsible individual or agent to act on its behalf when the applicant or\nlicensee knew, or was given reasonable notice, that its responsible individual\nor agent:\n1. Violated, or was about to violate, a material provision o f this subtitle,\nincluding any administrative regulation or order promulgated or issued\nby the commissioner; or\n2. Engaged in, or was about to engage in, an act or practice that would\nwarrant an adverse action under this section;\n(f) Any of the following a re listed on the specially designated nationals and\nblocked persons list prepared by the United States Department of the Treasury\nor the United States Department of State under Presidential Executive Order\nNo. 13224 as a potential threat to commit terroris t acts or to finance terrorist\nacts:\n1. The regulated person;\n2. An executive officer of the regulated person;\n3. A director of the regulated person;\n4. A key shareholder of the regulated person;\n5. A person in control of the regulated person; or\n6. A responsible individual of the applicant or licensee;\n(g) The competence, experience, character, or general fitness of an agent, or a\nperson in control of the agent, indicates that it is not in the public interest to\npermit the agent to be engaged in virtual currency kiosk business in this state;\n(h) The applicant or licensee no longer meets the requirements of this subtitle to:\n1. Hold a license; or\n2. Engage in virtual currency kiosk business at one (1) or more locations in\nthis state; or\n(i) Any fact or condi tion exists that, if it existed at the time the applicant or\nlicensee applied for a license, or approval to engage in virtual currency kiosk\nbusiness at one (1) or more locations, or through one (1) or more agents, in\nthis state, would have been grounds for denying the application.\n(3) Subsection (2)(a)1. of this section includes all of the following:\n(a) Violating any administrative regulation promulgated, or order of general\napplication issued, under this subtitle;\n(b) Failing to pay any fee, civil penalt y, or remedy that is owed under this\nsubtitle;\n(c) Violating the written conditions under which a license or approval was issued,\nrenewed, or maintained under this subtitle;\n(d) Refusing to permit, or failing to cooperate substantially with, an investigati on\nor examination under this subtitle;\n(e) Failing, within a reasonable time, to furnish any information or file any notice\nor report required or otherwise requested by the commissioner under this\nsubtitle; and\n(f) Failing to comply with a lawful order or subpoena issued by the\ncommissioner.\n(4) Subject to KRS 286.13-125:\n(a) The commissioner may, at any time, issue a notice of intent to impose\nconditions on a license, or approval to engage in virtual currency kiosk\nbusiness at one (1) or more locations, or  through one (1) or more agents, in\nthis state if the commissioner finds that the conditions, including any\nadditional bond amount specified by the commissioner under KRS 286.13 -\n050, are necessary for a licensee to continue to satisfy the requirements of t his\nsubtitle for licensure;\n(b) A notice of intent issued under paragraph (a) of this subsection shall specify\nthe additional conditions that are required for the licensee and any agent;\n(c) The commissioner may impose conditions on a license, or approval to engage\nin virtual currency kiosk business at one (1) or more locations, or through one\n(1) or more agents, in this state if the licensee, agent, or both, as applicable,\nfiles a written acceptance of the conditions specified in the notice issued under\nparagraph (a) of this subsection t o the licensee, agent, or both within thirty\n(30) days after service of the notice; and\n(d) If the department does not receive a written acceptance of the conditions\nspecified in a notice issued under paragraph (a) of this subsection to a\nlicensee, agent, or both within thirty (30) days after service of the notice, the\ncommissioner shall serve an administrative complaint on the licensee, agent,\nor both, as applicable, seeking to take an appropriate adverse action under\nsubsection (1)(a)4. of this section relating to the license or approval.\n(5) Any person or person in control whose license, or agent or person in control of an\nagent whose approval as an agent, has been:\n(a) Denied shall not be eligible to apply for a license, to serve as an agent, or to\nserve as a person in control of a licensee or agent for one (1) year after the\ndate of denial; or\n(b) Revoked shall not be eligible to apply for a license, to serve as an agent, or to\nserve as a person in control of a licensee or agent:\n1. For the first revocation, until three (3) years after the date of revocation;\nand\n2. For any subsequent revocation, permanently.\n(6) The surrender or expiration of a license, or an agent designation, shall not affect a\nproceeding to suspend or revoke the license or approval of the agent.","path":[],"source_url":"https://apps.legislature.ky.gov/law/statutes/statute.aspx?id=58301","current_through":"Includes enactments through the 2026 Regular Session","vintage":"09/05/2026","retrieved_at":"2026-09-05T20:57:16Z","sha256":"ca62a943641bd0a1089464dffdb6b4efad8f6be3a8f930f8d761fb13df5d85d2","source_id":"us-ky","stale":false,"prev":"us-ky/krs-286.13-125","next":"us-ky/krs-286.13-135"},"notice":"GroundRules: Original legal text. Not legal advice."}
