Ohio § 1121.33
Full text of Ohio Ohio Revised Code § 1121.33, with citation guidance and answers to common questions.
§ 1121.33.
(A) The superintendent of financial institutions may issue and serve a notice of charges
and intent to remove a regulated person from office or prohibit a regulated person
from further participation in the conduct of the affairs of a bank or trust company,
or both, if, in the opinion of the superintendent, all of the following apply: (1) The regulated person has, directly or indirectly, done any of the following: (a) Violated any of the following: (i) A law or rule; (ii) A final cease and desist order; (iii) A condition imposed in writing by the superintendent in connection with granting
an application or notice that is subject to the superintendent's approval or an opportunity
for the superintendent to disapprove or other request by a bank, trust company, or
regulated person; (iv) A written agreement between a bank or trust company and the superintendent, or between
the regulated person and the superintendent. (b) Engaged or participated in an unsafe or unsound practice in connection with a bank,
trust company, or other business institution; (c) Committed or engaged in an act, omission, or practice constituting a breach of the
regulated person's fiduciary duty as a regulated person. (2) The violation, practice, or breach results in any of the following: (a) A bank, trust company, or other business institution has suffered or will probably
suffer substantial financial loss or other damage; (b) The interests of a bank's depositors or shareholders or trust company's beneficiaries
or shareholders have been or could be prejudiced; (c) The regulated person has received or will receive financial gain or other benefit. (3) The violation, practice, or breach does either of the following: (a) Involves personal dishonesty on the part of the regulated person; (b) Demonstrates willful or continuing disregard by the regulated person for the safety
and soundness of a bank, trust company, or business institution. (B) The notice of charges and intent to remove a regulated person from office or prohibit
a regulated person from further participation in the conduct of the affairs of a bank
or trust company shall include all of the following: (1) A statement of the violation or violations, unsafe or unsound practice or practices,
or breach or breaches alleged; (2) A statement of the facts constituting the grounds for the proposed removal or prohibition
order; (3) Notice that the regulated person is entitled to a hearing, in accordance with section 1121.38 of the Revised Code , to determine whether an order removing the regulated person from office, prohibiting
the regulated person from further participation in the conduct of the affairs of a
bank or trust company, or both, should be issued against the regulated person if the
regulated person requests the hearing within thirty days after service of the notice; (4) Notice that, if the regulated person makes a timely request for a hearing, the regulated
person may appear at the hearing in person, by attorney, or by presenting positions,
arguments, and contentions in writing, and at the hearing may present evidence and
examine witnesses for and against the regulated person. (5) Notice that failure of the regulated person to timely request a hearing to determine
whether an order removing the regulated person from office, prohibiting the regulated
person from further participation in the conduct of the affairs of a bank or trust
company, or both, should be issued or to appear at the hearing, in person, by attorney,
or by writing, is consent by the regulated person to the issuance of the order. (C) The superintendent may issue an order removing the regulated person from office or
prohibiting the regulated person from further participation in the conduct of the
affairs of a bank or trust company, or both, if either of the following applies: (1) The regulated person consents to the issuance of the order; (2) Upon the record of the hearing the superintendent finds the grounds for the order
have been established. (D) A regulated person who has been removed from office or prohibited from further participation
in the conduct of the affairs of a bank or trust company pursuant to this section
or by order of the bank regulatory authority of another state or the United States
shall not, while the removal or prohibition order is in effect, continue or commence
to hold any office of or participate in any manner in the conduct of the affairs of
any bank or trust company in this state, except as specifically permitted by the superintendent
or by the bank regulatory authority of another state or the United States pursuant
to modification of the order. Participation in the conduct of the affairs of a bank or trust company includes
doing any of the following: (1) Soliciting, procuring, transferring, attempting to transfer, voting, or attempting
to vote any proxy, consent, or authorization with respect to any voting rights in
any bank or trust company; (2) Violating any voting agreement previously approved by the superintendent; (3) Voting for a director of any bank or trust company. (E) An order issued by the superintendent pursuant to this section is effective at the
time specified in the order, which, in the case of an order issued pursuant to division
(C)(2) of this section, shall be not less than thirty days after service of the order
on the regulated person. (F) An order issued by the superintendent pursuant to this section shall remain enforceable
and effective as provided in the order except to the extent it is stayed, modified,
terminated, or set aside by action of the superintendent or a reviewing court. (G) The superintendent shall serve a certified copy of a removal or prohibition order
issued pursuant to this section on any bank or trust company in relation to which
the object of the removal or prohibition order is a regulated person.
Frequently Asked Questions About Ohio § 1121.33
What does Ohio Revised Code § 1121.33 cover?
Section 1121.33 is part of the Ohio Revised Code, the codified statutory law of Ohio. It sets out the legal rule or procedure described in the text above. Statutes are amended regularly, so always verify against the official source.
How do I cite Ohio § 1121.33?
A common citation format is "Ohio Revised Code § 1121.33" (Ohio). Legal writing may require the code abbreviation, section number, and year or edition. Match the style required by your court, professor, or publisher.
Is this the official text of Ohio law?
No. This page is for research and education and may not include the most recent amendments. For official current law, check the Ohio official source linked on this page or consult a licensed Ohio attorney.
How does Ohio § 1121.33 apply to my situation?
Statutes are interpreted in context, and application depends on your specific facts. Only a licensed attorney in Ohio can advise on how this section applies to you. Contact your state or local bar association for a referral.
Sources & Verification
Not legal advice. Verify against the official source and consult a licensed attorney in Ohio.