| (1) |
An institution under the jurisdiction of the department is subject to supervisory actions by the commissioner under this chapter or Chapter 19, Acquisition of Failing Depository Institutions or Holding Companies, if the commissioner, with or without an administrative hearing, finds that:
| (a) |
the institution is not in a safe and sound condition to transact its business; |
| (b) |
an officer of the institution or other person has refused to be examined or has made false statements under oath regarding its affairs; |
| (c) |
the institution or other person has violated its articles of incorporation or any law, rule, or regulation governing the institution or other person; |
| (d) |
the institution or other person is conducting its business in an unauthorized or unsafe manner, or is practicing deception upon its depositors, members, or the public, or is engaging in conduct injurious to its depositors, members, or the public; |
| (e) |
the institution or other person has been notified by its primary account insurer of the insurer's intention to initiate proceedings to terminate insurance; |
| (f) |
the institution or other person has failed to maintain a minimum amount of capital as required by the department, any state, or the relevant federal regulatory agency; |
| (g) |
the institution or other person is a depository institution that has failed or refused to pay its depositors in accordance with the terms under which the deposits were received, or has or is about to become insolvent; |
| (h) |
the institution or other person or its officers or directors have failed or refused to comply with the terms of a legally authorized order issued by the commissioner or by any federal authority or authority of another state having jurisdiction over the institution or other person; |
| (i) |
the institution or other person or its officers or directors have failed or refused, upon proper demand, to submit its records, books, papers, and affairs for inspection to the commissioner or to a supervisor or an examiner of the department; |
| (j) |
the institution or other person or its officers or directors, after 30 days written notice, have failed to comply with or have continued to violate this title or any rule or regulation of the department issued under it; |
| (k) |
any person who controls the institution or other person subject to the jurisdiction of the department has used the control to cause the institution or other person to be or about to be in an unsafe or unsound condition, to conduct its business in an unauthorized or unsafe manner, or to violate this title or any rule or regulation of the department issued under it; or |
| (l) |
the remedies provided in Section 7-1-307, 7-1-308, or 7-1-313 are ineffective or impracticable to protect the interest of depositors, creditors, or members of the institution or other person, or to protect the interests of the public. |
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