A. Renewal.
- 1. If a salesperson or broker makes a timely and administratively complete application for license renewal or a new license with reference to any activity of a continuing nature, the existing license does not expire until the application has been finally determined by the Department, and, in case the application is denied or the terms of the new license limited, until the last day for seeking review of the Commissioner’s order or a later date fixed by order of the reviewing court.
2. Any salesperson or broker applying for a license renewal shall submit the following information on the Application for License Renewal form:
- a. Any change or correction to the applicant’s licensing information;
- b. Whether the renewal application is late;
- c. The signature of the applicant, attesting to the truthfulness of the application information;
- d. A completed disciplinary actions disclosure form, providing sufficient details and supporting documents for any affirmative response not previously disclosed in writing to the Department concerning judgments, orders, professional licenses, or convictions, as required under R4-28-301(A).
e. To renew as designated broker for an employing broker, the designated broker shall complete and submit a signed Broker Supervision & Control Audit Declaration for the sole proprietorship or entity on whose behalf the broker acts as designated broker. The completed declaration shall:
- i. Be dated and filed before or with the broker’s renewal application, and submitted to the Department no earlier than 90 days before the broker’s license expiration date;
- ii. Be in the form prescribed by the Department;
- iii. State the broker’s compliance or non-compliance with, or the non-applicability of, specified statutes and rules; and
- iv. Identify all of the broker’s property management and trust accounts.
- B. Late renewal. In addition to the information required in subsection (A), any person applying for renewal after the date of license expiration shall specify whether the person conducted unlawful license activities as described in R4-28-306.
C. Reinstatement.
1. Any salesperson or broker applying for license reinstatement under A.R.S. § 32-2131 shall, in addition to the requirements in R4-28-301(A), submit the following information on the Application for Reinstatement form:
- a. The type of license and status requested;
- b. The applicant’s legal name, business address, and telephone number;
- c. Whether the license was suspended, canceled, terminated, or revoked, and the date of and reason for the action;
- d. The license number of the applicant;
- e. The mailing address, if different than the business address;
- f. The name, address, and telephone number of the employing broker, if applicable;
- g. The employer’s trade or d.b.a. name, if any;
- h. The date of the application; and
- i. The signature of the applicant attesting to the above information and that the applicant is aware of the provisions in A.R.S. §§ 32-2131, 32-2153, and 32-2160.01.
- 2. If the license was active at the time of suspension, cancellation, revocation, or termination, the applicant shall provide the information required under R4-28-306.
D. A salesperson or broker shall notify the Department in writing within 10 days of any change in the individual’s personal information or qualifications. The salesperson or broker shall include in the notice the individual’s name, signature, license number, and:
- 1. If disclosing information required under R4-28-301, such as a criminal conviction, adverse judgment, denial or restriction of or disciplinary action against a professional or occupational license, or recovery fund payment on the person’s behalf, a written statement providing detailed information and, upon request by the Department, the supporting documentation identified in R4-28-301(A)(2);
- 2. If requesting a change of personal name, written notice stating the prior name and new name, supporting documentation for the change, and applicable fee;
- 3. If changing address of record or mailing address, written notice stating the prior address, new address and the date of the change;
- 4. If changing email address or telephone number or providing an additional telephone number or email address, written notice of the prior and current number or email address or;
- 5. If becoming licensed as a professional corporation or professional limited liability company, or changing licensure as a professional corporation or professional limited liability company, the information required under subsection (F).
E. A designated broker shall notify the Department in writing within 10 days of any change in the employing broker’s qualifications under R4-28-301, and shall provide notice of any proposed change in the employing broker’s business information under this Section. An employing broker shall not conduct business under information described in subsections (E)(2), (3), (7), (9), (12), or (13) until the change is approved by the Department. The designated broker shall include in the written notice the designated broker’s name and signature, the employing broker’s legal name, and:
- 1. If disclosing information required under R4-28-301 such as an adverse judgment, bankruptcy, denial, or restriction of or disciplinary action against a professional or occupational license, or recovery fund payment on the person’s own behalf or on behalf of any officer, director, member, manager, partner, owner, trust beneficiary holding 10 percent or more beneficial interest, stockholder owning 10 percent or more stock, or other person exercising control of the employing broker, file with the Department a written statement of the occurrence, providing detailed information and, upon request by the Department, the supporting documentation identified in R4-28-301(A)(2);
- 2. If changing the employing broker’s legal name, written notice stating the current name and proposed name, supporting documentation, and applicable fee;
- 3. If changing the employing broker’s d.b.a. name, written notice stating the current d.b.a. name, if any, the proposed d.b.a. name, and applicable fee;
- 4. If changing the employing broker’s address of record, changing or adding a business mailing address, or changing the address of any branch office, written notice of the change stating the prior address and new address, and pay the applicable fee;
- 5. If changing business telephone number or email of record, written notice of the change, providing the prior and current number or email address. The broker may provide additional telephone numbers or email addresses;
- 6. If changing branch office managers at an established branch office of the employing broker, or changing the authority delegated to the branch office manager, the application form, and applicable fee;
- 7. If closing a branch office, submitting the Department form for branch office closure and severing the employment of or transferring to another branch office each employee at the branch;
- 8. If hiring a salesperson or broker, or transferring a salesperson or broker employed by the employing broker to another office of the employing broker, submitting a form prescribed by the Commissioner and applicable fee;
- 9. If opening or closing a broker’s trust account, written notice of the opening or closing that provides the name of the account, the account number, and the name and address of the bank where the account is located. If relocating or changing the name of a trust account, the designated broker shall include the information for the previous and new accounts;
- 10. If appointing a temporary broker, submit the information specified in R4-28-305 and in accordance with provisions of A.R.S. §§ 32-2127 or 32-2133, as applicable, or;
- 11. If an employing broker is changing designated brokers, the information and documentation provided in R4-28-302(K).
F. In addition to the applicant’s name, signature, license number, employing broker’s office license number, and the change fee, a salesperson or broker shall submit the following information to be licensed as a professional corporation or professional limited liability company, to add or remove members of a licensed professional corporation or professional limited liability company, or to change the name of a licensed professional corporation or professional limited liability company:
1. Professional corporation.
- a. The name of the professional corporation that includes the full or last name of each officer, director, and shareholder of the professional corporation as it appears in the Articles of Incorporation;
- b. The name and business address of each officer, director, and shareholder in the corporation and a written statement that each holds a current and active real estate license;
- c. A copy of the Articles of Incorporation, as amended and filed with the Arizona Corporation Commission and;
- d. Evidence that membership in the professional corporation is limited to the designated broker and does not include any other person if the applicant for licensure as a professional corporation is licensed as a designated broker;
2. Professional limited liability company.
- a. The name of the professional limited liability company which includes the full or last name of each member of the professional limited liability company as it appears in the Articles of Organization;
- b. The name and address of each member and manager in the limited liability company and a written statement that each holds a current and active real estate license;
- c. A copy of the Articles of Organization, as amended and filed with the Arizona Corporation Commission;
- d. A copy of the operating agreement, as amended, and;
- e. Evidence that membership in the professional limited liability company is limited to the designated broker and does not include any other person if the applicant for licensure as a professional limited liability company is licensed as a designated broker.
3. To return a license from professional corporation or professional limited liability company status to individual status:
- a. The name, license number, and dated signature of the salesperson or broker;
- b. Appropriate department form, and;
- c. The change fee.
G. Administrative severance.
1. A salesperson or broker may request that the Department sever the salesperson’s or broker’s license from the employing broker. The salesperson or broker shall provide the following information on a form or in the manner prescribed by the Department:
- a. The name, license number, and dated signature of the salesperson or broker seeking the severance, and;
- b. The name of the employing broker from whom the license is being severed.
- 2. Upon receipt of the written request for severance as provided in subsection (G)(1)(a), the Department shall administratively sever the license and provide written notice to the employing broker, who shall return the severed person’s license to the Department under subsection (E)(10).
Historical Note
Adopted effective May 1, 1980 (Supp. 80-3). Amended effective March 13, 1981 (Supp. 81-2). Amended effective August 1, 1986 (Supp. 86-4). Former Section R4-28-07 renumbered without change as Section R4-28-303 (Supp. 87-1). Amended by adding a new subsection (K) effective May 3, 1988 (Supp. 88-2). Amended effective February 28, 1995 (Supp. 95-1). Former Section R4-28-303 repealed, new Section R4-28-303 adopted by final rulemaking at 5 A.A.R. 650, effective February 3, 1999 (Supp. 99-1). Subsection (F) amended to correct a manifest clerical error, filed in the Office of the Secretary of State March 29, 1999 (Supp. 99-3). Amended by final rulemaking at 6 A.A.R. 1886, effective May 2, 2000 (Supp. 00-2). Amended by final rulemaking at 11 A.A.R. 506, effective March 5, 2005 (Supp. 05-1). Amended by final rulemaking at 31 A.A.R. 4267 (November 7, 2025), effective December 13, 2025 (Supp. 25-4).