[Code of Federal Regulations]
[Title 19, Volume 1]
[Revised as of April 1, 2002]
From the U.S. Government Printing Office via GPO Access
[CITE: 19CFR111.30]

[Page 462-463]
 
                        TITLE 19--CUSTOMS DUTIES
 
  CHAPTER I--UNITED STATES CUSTOMS SERVICE, DEPARTMENT OF THE TREASURY
 
PART 111--CUSTOMS BROKERS--Table of Contents
 
        Subpart C--Duties and Responsibilities of Customs Brokers
 
Sec. 111.30  Notification of change of business address, organization, name, or location of business records; status report; termination of brokerage business.

    (a) Change of address. When a broker changes his business address, 
he must immediately give written notice of his new address to each 
director of a port that is affected by the change of address. In 
addition, if an individual broker is not actively engaged in transacting 
business as a broker and changes his non-business mailing address, he 
must give written notice of the new address in the status report 
required by paragraph (d) of this section.
    (b) Change in an organization. A partnership, association, or 
corporation broker must immediately provide written notice of any of the 
following to the director of each port through which it has been granted 
a permit:
    (1) The date on which a licensed member or officer ceases to be the 
qualifying member or officer for purposes of Sec. 111.11(b) or (c)(2), 
and the name of the broker who will succeed as the qualifying member or 
officer; and
    (2) Any change in the Articles of Agreement, Charter, or Articles of 
Incorporation relating to the transaction of customs business, or any 
other change in the legal nature of the organization (for example, 
conversion of a general partnership to a limited partnership, merger 
with another organization, divestiture of a part of the organization, or 
entry into bankruptcy protection).
    (c) Change in name. A broker who changes his name, or who proposes 
to operate under a trade or fictitious name in one or more States within 
the district in which he has been granted a permit and is authorized by 
State law to do so, must submit to the Office of Field Operations, U.S. 
Customs Service, Washington, DC 20229, evidence of his authority to use 
that name. The

[[Page 463]]

name must not be used until the approval of Headquarters has been 
received. In the case of a trade or fictitious name, the broker must 
affix his own name in conjunction with each signature of the trade or 
fictitious name when signing customs documents.
    (d) Status report--(1) General. Each broker must file a written 
status report with Customs on February 1, 1985, and on February 1 of 
each third year after that date. The report must be accompanied by the 
fee prescribed in Sec. 111.96(d) and must be addressed to the director 
of the port through which the license was delivered to the licensee (see 
Sec. 111.15). A report received during the month of February will be 
considered filed timely. No form or particular format is required.
    (2) Individual. Each individual broker must state in the report 
required under paragraph (d)(1) of this section whether he is actively 
engaged in transacting business as a broker. If he is so actively 
engaged, he must also:
    (i) State the name under which, and the address at which, his 
business is conducted if he is a sole proprietor;
    (ii) State the name and address of his employer if he is employed by 
another broker, unless his employer is a partnership, association or 
corporation broker for which he is a qualifying member or officer for 
purposes of Sec. 111.11(b) or (c)(2); and
    (iii) State whether or not he still meets the applicable 
requirements of Sec. 111.11 and Sec. 111.19 and has not engaged in any 
conduct that could constitute grounds for suspension or revocation under 
Sec. 111.53.
    (3) Partnership, association or corporation. Each corporation, 
partnership or association broker must state in the report required 
under paragraph (d)(1) of this section the name under which its business 
as a broker is being transacted, its business address, the name and 
address of each licensed member of the partnership or licensed officer 
of the association or corporation who qualifies it for a license under 
Sec. 111.11(b) or (c)(2), and whether it is actively engaged in 
transacting business as a broker, and the report must be signed by a 
licensed member or officer.
    (4) Failure to file timely. If a broker fails to file the report 
required under paragraph (d)(1) of this section by March 1 of the 
reporting year, the broker's license is suspended by operation of law on 
that date. By March 31 of the reporting year, the port director will 
transmit written notice of the suspension to the broker by certified 
mail, return receipt requested, at the address reflected in Customs 
records. If the broker files the required report and pays the required 
fee within 60 calendar days of the date of the notice of suspension, the 
license will be reinstated. If the broker does not file the required 
report within that 60-day period, the broker's license is revoked by 
operation of law without prejudice to the filing of an application for a 
new license. Notice of the revocation will be published in the Customs 
Bulletin.
    (e) Custody of records. Upon the permanent termination of a 
brokerage business, written notification of the name and address of the 
party having legal custody of the brokerage business records must be 
provided to the director of each port where the broker was transacting 
business within each district for which a permit has been issued to the 
broker. That notification will be the responsibility of:
    (1) The individual broker, upon the permanent termination of his 
brokerage business;
    (2) Each member of a partnership who holds an individual broker's 
license, upon the permanent termination of a partnership brokerage 
business; or
    (3) Each association or corporate officer who holds an individual 
broker's license, upon the permanent termination of an association or 
corporate brokerage business.