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Superintendent of Financial Services |
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surintendant des services financiers |
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REGARDING the Insurance Act, R.S.O. 1990, c. I.8, as amended (the “Act”), in particular sections 441.1, 441.2 and 441.3;
AND REGARDING Andrew Leonard Doyle
ORDER TO IMPOSE AN ADMINISTRATIVE PENALTY
Andrew Leonard Doyle (“Mr. Doyle”) is licensed under the Act as a Life Insurance and Accident and Sickness Insurance Agent (#06092241).
On July 11, 2018, the Superintendent of Financial Services (“Superintendent”) issued a Notice of Proposal to Impose an Administrative Penalty in the amount of $1,750 on Mr. Doyle. The Superintendent determined that Mr. Doyle contravened subsection 447(2)(a) of the Act by furnishing false, misleading, or incomplete information to the Commission.
The Notice of Proposal was sent by registered mail on July 13, 2018 and was received by Mr. Doyle on July 18, 2018. Mr. Doyle had until August 2, 2018 to file a request for hearing with the Financial Services Tribunal (the “Tribunal”).
On August 3, 2018, the Registrar of the Tribunal confirmed that neither Mr. Doyle nor anyone on his behalf requested a hearing in writing.
ORDER
An Administrative Monetary Penalty in the amount of $1,750 is imposed on Andrew Leonard Doyle.
TAKE NOTICE THAT Andrew Leonard Doyle will be receiving shortly an invoice from Ontario Shared Services, a part of the Ministry of Government and Consumer Services, with information as to where and how to make the payment. Andrew Leonard Doyle must pay the Administrative Monetary Penalty no later than 6 months after the date of the invoice.
If Mr. Doyle fails to pay the Administrative Monetary Penalty in accordance with the terms of this Order, the Superintendent may file the Order with the Superior Court of Justice and the Order may be enforced as if it were an order of the Court. An Administrative Monetary Penalty that is not paid in accordance with the terms of an order imposing the penalty is a debt due to the Crown and is enforceable as such.
DATED at Toronto, Ontario, this day of , 2018.
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Anatol Monid
Executive Director, Licensing and Market Conduct Division
By Delegated Authority from
The Superintendent of Financial Services