IREAA™ Code of Ethics
Rule 1………………..…Ethical
Behavior
Rule 2………………..…Primary
Duty to Client
Rule 3………………..…Disclosure
of Role
Rule 4…………………..Written
Representation Agreements
Rule 5 ………..……..….Confidentiality
Rule 6…………….…….Misrepresentation
or Falsification
Rule 7………………..…Advertising
Rule 8………………..…Obedience
to Law
Rule 9……………….….Competence
Rule 10…………………Unprofessional
Conduct
Rule 11….………..……Conduct
Unbecoming of a Member
Rule 1 - Ethical Behavior
A Member shall:
- endeavor to protect and promote the best interests of the Member's
Client,
- endeavor to protect the public from fraud, misrepresentation or
unethical practice in connection with real estate Transactions,
- maintain and enhance the Member's degree of skill and competence,
- render services, including giving advice and opinions, based on
the Member's knowledge, training, qualifications and expertise,
- deal fairly, honestly and with integrity with the public, other
Members and third parties,
- cooperate with the Council in fulfilling its duty to serve and protect
the public interest,
- comply with the Real Estate and Business Brokers Act and the regulations
under it and the by-laws of the Council.
Guiding Principles
1.1 |
Ethical behavior
is based upon the Golden Rule: "Do unto others as you would
have them do unto you". |
1.2 |
The opening
words to this rule are taken from the requirements imposed on all
Members by subsection 6(1) of the Real Estate and Business Brokers
Act. The Code of Ethics is a description and amplification by the
Council of this obligation. |
1.3 |
Members are
expected to keep abreast of the current professional standards. |
1.4 |
The Code of
Ethics sets out the minimum requirements that Members are expected
to meet. |
1.5 |
This Code of
Ethics shall apply to all Members despite any agreement to the
contrary. |
Rule 2 - Primary Duty
to Client
A Member shall endeavor to protect and promote
the best interests of the Member's Client. This primary obligation does
not relieve the Member of the responsibility of dealing fairly, honestly
and with integrity with others involved in each Transaction.
Guiding Principles
Fiduciary
Duty to Client |
2.1 |
A Member has a fiduciary
duty, professionally and at law, to endeavor to protect and promote
the interests of the Member's Client to the extent that he or she
may ethically or legally do so. This relationship of trust means
that the Member never puts the Member's interests above those of
the Client. Competence, diligence, full disclosure, obedience,
loyalty, confidentiality and complete accounting are included in
this duty. |
2.2 |
Except in cases of Consensual
Dual Agency, a Member does not act as a mediator between the Member's
Client and the other Person involved in the Transaction. Rather,
the Member advocates the Member's Client's position according to
the Client's instructions. |
2.3 |
A Member should
inform a Client about the availability of a listed Property where
it is in the interests of the Client regardless of the fee or commission
arrangement.
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Honest
Disclosure to Client |
2.4 |
A Member, in attempting to
obtain a listing, should not knowingly misrepresent to the Seller
the potential market value of a property. When attempting to enter
into a Buyer Agency Agreement, a Member should not knowingly misrepresent
to the Buyer the potential purchase price of a Property. |
2.5 |
A Member should fully disclose
to the Member's Client, at the earliest practical opportunity,
any information that the Member knows or ought to know which could
affect the decision to proceed with the transaction. The Member
should disclose to the Member's Client the material steps that
the Member takes on the Client's behalf. |
2.6 |
A Member's primary duty is
to the Member's Client. However, the Member also has a duty to
deal fairly with the public, other Members, third parties and the
profession as a whole as represented by the Council. The Code of
Ethics attempts to indicate how a Member can fulfill both sets
of duties.
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Fair
Dealing with Customers |
2.7 |
A Member, when dealing with
a Customer, should not mislead the Customer as to any matters pertaining
to the Property or Transaction. |
2.8 |
A Member, when dealing with
a Customer, should exercise reasonable care and skill when answering
inquiries or giving information so that the answers or information
are complete and accurate.
|
Fair
Dealing with Third Parties |
2.9 |
A Member should provide competent,
thorough and skilled assistance when dealing with lawyers, mortgage
lenders, home inspectors, surveyors and other third parties that
may be involved in the Transaction, and should cooperate with those
persons, to facilitate the successful completion of any Transaction,
to the extent practical without breaching the Member's duties to
the Member's Client. |
2.10 |
No Member should make a practice
of Steering any Clients or Customers to a particular person for
other services that may be required in connection with any Transaction. |
2.11 |
All of the other Guiding
Principles expand upon aspects of this primary duty. |
Rule 3 – Disclosure
of Role
3.1 |
A Member is strongly advised
to obtain a written acknowledgement of the disclosure of the Member's
role from the Person. Requesting a written acknowledgement brings
home to the Person the seriousness of the disclosure. The written
acknowledgement also provides evidence that the necessary disclosure
has been made. |
3.2 |
Disclosure of
a Member's role includes identifying whether he or she is representing
the Seller, the Buyer, or some other party to the Transaction.
The Persons involved in the Transaction, including their representatives,
should be clearly informed of the role of the Member in the Transaction.
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Disclosure
of Nature of the Service |
3.3 |
Disclosure of
the "nature of service" includes explaining that the
Member's primary responsibility is to protect and promote the interests
of the Member's Client, but that this primary obligation does not
relieve the Member of the responsibility to deal fairly with all
Parties to the Transaction.
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Timing
and Method of Disclosure |
3.4 |
The disclosure in this Rule
should be made at the earliest practical opportunity in the relationship,
but not later than when the Member Accepts an Agency, even if the
written acknowledgement is obtained later in the relationship.
A Person may disclose information to a Member that he or she might
otherwise have kept confidential if the Person knew the Member's
role, or, conversely, a Person may withhold information from the
Member that he or she would otherwise have told the Member if the
Person knew the Member's role. |
3.5 |
The disclosure of role in
this Rule should be included in writing in any Offer between the
parties where the Member is representing a Party. |
Rule 4 - Written Representation
Agreements
A Member shall enter into a written Representation
Agreement with a Client at the earliest practical opportunity, and in
all cases before any Offer to Purchase is submitted.
Guiding Principles
4.1 |
A Representation Agreement
should specify the role and nature of services of the Member, the
duration of the Agreement, the compensation of the Member and the
other expectations and obligations of the Member and the Client. |
4.2 |
A Member should put any representation
or promises in writing including a representation or promise to
permit the early cancellation of a listing or a representation
agreement or a representation or promise to rebate or reduce a
commission in some circumstances. Section24 of the Real Estate
and Business Brokers Act has special requirements for representations
or promises to resell any real estate, Purchase or Sell real estate,
to obtain a mortgage, lease or loan and some similar Transactions. |
4.3 |
A Representation Agreement
should not be for a period of more than 6 months unless the Client
specifically gives an Informed Consent to a longer period in writing
and the Client initials that provision. |
4.4 |
The requirements of this
Rule are in addition to the requirements in Rule 3. |
4.5 |
Section 35 of the Real Estate
and Business Brokers Act has specific provisions relating to Listing
Agreements. |
Rule 5 - Confidentiality
A Member shall not disclose confidential information
about the Client except with the Informed Consent of the Client or as
required or authorized by law. The duty of confidentiality continues
after the professional relationship with the Client has ended. A Member
may disclose confidential information without consent in order to prevent
or assist authorities to prevent, investigate or prosecute an offence,
to defend the Member against an allegation by the Client of negligent
or improper conduct.
Guiding Principles
8.1 |
Confidential information
includes information about a Client's assets, liabilities, personal
income, personal expenses, motivations to Buy or Sell, and previous
Offers which are not part of a public record. |
8.2 |
A Member should not disclose
or use confidential information for the Member's advantage or the
advantage of a third party without the Client's consent. |
8.3 |
A Member should ensure that
a Client's consent to disclose or use confidential information
is specific, is an Informed Consent and is made after full disclosure
by the Member of the nature of the proposed disclosure of information
or the use to which the information will be put. |
Rule 6 - Misrepresentation
or Falsification
A Member shall not make any statement or participate
in the creation of any document or statement that the Member knows or
ought to know is false or misleading.
Guiding Principles
10.1 |
A Member should be honest
and candid when advising Clients. |
10.2 |
A Member should not participate
in any arrangement to conceal or withhold any facts pertaining
to a Property. |
Rule 7 - Advertising
A Member shall ensure that all advertising and
promotion by or on behalf of the Member, including for Properties and
services, is not false, misleading or deceptive.
Guiding Principles
21.1 |
A Member may communicate
factual, accurate and verifiable information that a reasonable
Person would consider relevant in the choice of a Member or in
Buying or Selling Property. |
21.2 |
A Member should not communicate
information that is false, misleading or deceptive, by the inclusion
or omission of any information. |
21.3 |
A Member should not use a
Client's name or likeness, or the address of a Client's Property,
in any advertising or promotional material, without the express
written consent of the Client. |
21.4 |
A Member should not advertise
the price or terms of an Agreement about a Property that was bought
or sold through the services of the Member without written consent
from the Member's Client. |
21.5 |
With respect to the use of
the word "Specialist", a Member may only advertise as
a "Commercial Specialist" or a "Residential Specialist" if
a Member has satisfied the criteria established by the Council
to be such a Specialist. Otherwise a Member may be put to
the test of proving that any other term, title or designation that
implies that the Member is a specialist or expert is not false,
misleading or deceptive advertising. A Member should not
use a term, title, or designation implying that the Member is a
specialist or an expert in the profession or a term, title or designation
restricted by the Council, unless the Member satisfies the criteria
established by the Council for its use. |
21.6 |
Sections 28 and 47 of the
Real Estate and Business Brokers Act also apply to advertising. |
Rule 8 - Obedience to
Law
A Member shall practice in accordance with all
federal, territorial or provincial law or municipal by-law relevant to
the Member's fitness to practice.
Guiding Principles
23.1 |
A Member should always obey
the law. However, the Council is most concerned about breaches
of the law that reflect on the Member's ability to be an ethical
and competent practitioner or which reflect upon the profession
as a whole. Some infractions, however, do not reflect on the Member's
ability to be a good practitioner and do not reflect on the profession
as a whole. For example, it would be rare that a parking or speeding
infraction would be relevant to a Member's fitness to practice.
However, laws pertaining to real estate are usually relevant to
a Member's fitness to practice. Similarly, laws unrelated to real
estate but that relate to integrity and trust are generally relevant
to a Member's fitness to practice (eg., a fraud conviction would
almost always be of significant concern to the Council). |
23.2 |
A Member should practice
in strict accordance with the Real Estate and Business Brokers
Act and its regulations, the by-laws made by the Council and any
terms or conditions on the Member's registration. |
23.3 |
A Member should not knowingly,
or where he or she ought to have known, permit any property in
the Member's charge to be used for an unlawful purpose. |
23.4 |
A Member should not sign
an Agreement on behalf of a Client unless lawfully authorized to
do so. Section 23 of the Real Estate and Business Brokers
Act also applies here. |
Rule 9 - Competence
Member shall render conscientious service with
the knowledge, skill, judgment and competence, in conformity with this
Code of Ethics and the standards, which are reasonably expected of Member's.
When the Member is unable to render such a service, either alone or with
the aid of another Member, the Member shall decline to act.
Guiding Principles
42.1 |
A Member should provide timely
service to Clients and Customers and should respond appropriately
to all communications with any participant to a Transaction. |
42.2 |
When giving advice or an
opinion, the Member should give Clients a competent opinion based
on knowledge of the relevant facts, an adequate consideration of
the applicable law, and the Member's own experience and expertise. |
42.3 |
A Member should only delegate
or assign tasks to unregistered staff or assistants that are appropriate
for an unregistered Person to perform. |
42.4 |
A Member should not delegate
or assign tasks to unregistered staff or assistants that constitute
trading in Property including but not limited to being on site
at an open house, door to door or telephone solicitation, showing
Properties, or participating in an Offer or a listing presentation. |
42.5 |
A Member should supervise
the staff or assistants to whom the Member delegates or assigns
a task sufficient to ensure that the task is performed appropriately.
The supervising Member should be responsible for all services rendered
and the Member should ensure that a registered Person retains the
direct relationship with the Client. The tasks delegated or assigned
to unregistered staff or assistants should be done under the direct
supervision of the Member. |
Rule 10 - Unprofessional
Conduct
A Member shall not engage in an act or omission
relevant to the practice of the profession that, having regard to all
the circumstances, would reasonably be regarded by Members or the public
as disgraceful, dishonorable or unprofessional.
Guiding Principles
46.1 |
A Member should only act
on the authority of the Member's Client. Authority can be written,
verbal or implied. A Member should obtain written authority whenever
practical. |
46.2 |
A Member should not practice
when impaired, by alcohol, drugs or any other substance. |
46.3 |
A Member's conduct should
be professional with other Members or outside professional advisers. |
46.4 |
A Member should not directly
or indirectly benefit from the practice of the profession while
the Member's registration is suspended, unless the Member first
adequately discloses the nature of the benefit to the Council and
obtains the prior written consent of the Council or a Committee
of the Council. |
46.5 |
A Member should not permit
or assist a Member whose registration has been suspended or revoked
or whose registration the Registrar has refused to renew from directly
or indirectly benefiting from the practice of the profession. |
Rule 11 - Conduct Unbecoming
a Member
A Member shall not engage in conduct unbecoming
a Member.
Guiding Principles
47.1 |
Conduct unbecoming a Member
refers to conduct that occurs outside of the practice of the profession
but which brings the profession into disrepute or demonstrates
that the Member is not fit to be a Member of the profession. For
example, acts of dishonesty are unbecoming a Member even if the
conduct does not amount to a crime. |
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