Disciplinary Action
AMERICAN DREAM REAL ESTATE (Jacksonville
) – By Consent, the Commission revoked
the firm license of American Dream Real Estate effective December
15, 2003
. The
Commission found that American Dream Real Estate’s president, principal broker
and broker-in-charge, while acting as an agent in a real estate transaction,
misappropriated for her own usea $10,000 earnest money deposit.
MICHAEL R. ARMSTRONG (Fayetteville
) – By Consent, the Commission
reprimanded Mr. Armstrong effective November 18, 2003
. The Commission found that Mr.
Armstrong failed to disclose three misdemeanor offenses on his 2002 salesperson
application. The Commission noted that Mr. Armstrong did disclose the offenses
on his 2003 broker application.
WILLIAM R. BARKER (Denver
) – By Consent, the Commission reprimanded
Mr. Barker effective December 1, 2003
. The Commission found that Mr. Barker
failed to disclose a DWI conviction on his 1992 salesperson license application
and, on his 2002 broker license application, failed to disclose a misdemeanor
criminal conviction previously reported on his earlier salesperson application.
GLATHA E. BUCHANAN (Dillsboro) – By Consent, the Commission
suspended the broker license of Ms. Buchanan for a period of one year effective
October 1, 2003
. The Commission then stayed the suspension for a probationary
period of one year. The Commission found that Ms. Buchanan failed to bring the
firm’s trust account books and records into compliance with the Real Estate
License Law and Commission rules after a former broker-in-charge failed to
properly account for the funds of others and maintain the firm’s records. The
Commission noted that Ms. Buchanan obtained the necessary software and training
to bring the firm’s books and records into compliance.
RUDENA E. BULLARD (Carolina
Beach
) – By Consent, the Commission suspended
the salesperson license of Ms. Bullard for a period of one year effective December
15, 2003
. Three
months of the suspension are to be active with the remainder stayed for a
probationary period of two years. The Commission found that Ms. Bullard failed
to disclose on her 1996 salesperson license application a 1984 DWI conviction
and an additional DWI charge pending at the time of which she was later
convicted. The Commission also found that Ms. Bullard failed to disclose
subsequent to licensing a conviction for operating a motor vehicle without a
license, driving while her license had been revoked and two additional DWI
charges.
DAVID W. BULLOCK (Raleigh
) – By Consent, the Commission
reprimanded Mr. Bullock effective January 15, 2004
. The Commission found that Mr. Bullock
failed to disclose a 1989 conviction for driving while impaired on his 2001
salesperson license application.
CHERRIE BYNUM (Raleigh
) – By Consent, the Commission suspended
the broker license of Ms. Bynum for a period of ninety days effective June
18, 2003
. The
Commission then stayed the suspension for a probationary period of eighteen
months. The Commission found that Ms. Bynum, while employed as broker-in-charge
of a real estate brokerage firm and, without its knowledge and consent, joined
a competing firm and conducted the business of the competing firm from the
office with which she was originally affiliated.
RASHEED D. W. CHABWERA
(Warrenton) – The
Commission accepted the permanent voluntary surrender of the broker license of
Mr. Chabwera effective October 1, 2003
. The Commission dismissed without
prejudice allegations that Mr. Chabwera had violated
provisions of the Real Estate License Law and Commission rules. Mr. Chabwera neither admitted nor denied misconduct.
DEBORAH L. COARSEY (Murphy) – The Commission accepted the
voluntary surrender of the salesperson license of Ms. Coarsey
for a period of three years effective January 1, 2004
. The Commission dismissed without
prejudice allegations that Ms. Coarsey had violated
provisions of the Real Estate License Law. Ms. Coarsey
neither admitted nor denied misconduct.
DWANNA B. DOLESH (Kernersville) – By Consent, the
Commission suspended the broker license of Ms. Dolesh
for a period of 90 days effective January 1, 2004
. The Commission found that Ms. Dolesh, as a broker, represented a purchaser in a real
estate transaction without entering into a written agency agreement and failed
to review the content of the Commission’s Working with Real Estate Agents
brochure with the purchaser and to disclose to the seller and listing agent in
writing her role as the buyer’s agent. The Commission also found that Ms. Dolesh failed to fulfill the promise of a purchase of a
refrigerator for the buyer as part of the transaction.
PHYLLIS H. DUNFORD (Raleigh
) – By Consent, the Commission revoked
the broker license of Ms. Dunford effective January
1, 2004
. The
Commission agreed to reinstate her salesperson license on certain conditions.
The Commission found that Ms. Dunford, acting in a
transaction as a buyer’s agent, failed to submit to her broker for deposit in a
trust account a buyers’ check with a blank payee for an appraisal and instead
delivered the check to the mortgage broker. The Commission also found that Ms. Dunford failed to disclose to the buyers’ lender that the
property’s actual purchase price was lower than the price stated on the
contract to purchase and, in order to enable the buyers to obtain a larger,
more favorable loan, that a second mortgage from the sellers was a “dummy”
mortgage to be cancelled after closing.
FIRST CHOICE OF
JACKSON LLC (Dillsboro) –
By Consent, the Commission suspended the firm license of First Choice for a
period of one year effective October 1, 2003
. The Commission then stayed the
suspension for a probationary period of one year. The Commission found that
First Choice failed to properly account for the funds of others and to maintain
its trust account records in compliance with the Real Estate License Law and
Commission rules. The Commission noted that First Choice obtained the necessary
software and training to bring the firm’s books and records into compliance.
JAMES N. FITTS (Blue Ridge
,
Georgia
) – By Consent, the Commission
reprimanded Mr. Fitts effective November
25, 2003
. The
Commission found that Mr. Fitts failed to report on
his 2003 salesperson application a reprimand by the Georgia Real Estate
Commission or that there were disciplinary charges pending for representing a
broker other than the one with whom he was affiliated, and related charges.
FORECLOSURE REAL
ESTATE & INVESTMENTS, LLC (Henderson) – The Commission accepted the permanent voluntary
surrender of the firm license of Foreclosure Real Estate & Investments
effective October 1, 2003
. The Commission dismissed without
prejudice allegations that Foreclosure Real Estate & Investments had
violated provisions of the Real Estate License Law and Commission rules.
Foreclosure Real Estate & Investments neither admitted nor denied
misconduct.
ROBERT G. GAINES (Winston-Salem
) – By Consent, the Commission suspended
the broker license of Mr. Gaines for a period of one year effective January
15, 2004
. The
Commission then stayed the suspension for a probationary period of two years.
The Commission found that Mr. Gaines, while licensed as a real estate
salesperson, engaged in two real estate transactions while on inactive status
and without the supervision of a broker. The Commission also found that Mr.
Gaines advanced funds to a client at closing without having these funds
disclosed on the settlement statement.
ERNESTINE G. GOSSETT (Bolivia
) – By Consent, the Commission suspended
the broker license of Ms. Gossett for a period of two years effective December
1, 2002
. One
month of the suspension is to be active with the remainder stayed for a probationary
period of one year. The Commission found that Ms. Gossett, as broker-in-charge
of a property management firm, failed to produce records of client funds that
were to have been held in trust by her.
NANCY L. HENLINE (Hickory
) – By Consent, the Commission revoked
the broker license of Ms. Henline effective March
1, 2004
. The
Commission then issued a salesperson license to Ms. Henline.
The Commission found that Ms. Henline, while a real
estate salesperson, owned and controlled her own firm from July 1998 to August
2000 and acted without the effective supervision of a broker-in-charge.
ROBERT D. HOLLEMAN,
JR. (Durham
) – By Consent, the Commission
reprimanded Mr. Holleman effective December
1, 2003
. The
Commission found that Mr. Holleman, while principal
broker and/or broker-in-charge of a real estate firm, did not maintain an
office at the firm and held a full-time position elsewhere. The Commission also
found that Mr. Holleman allowed a salesperson to
maintain full control over the trust account, failed to review and maintain the
records, failed to reconcile the trust account at all, and was unable to
produce the records for inspection.
LINDA E. IVAN (Asheville
) - The Commission revoked the broker
license of Ms. Ivan effective February 15, 2004
. The Commission found that Ms. Ivan
misrepresented and concealed a material fact in a contract she entered for the
purchase of a time share, refused to make timely and complete responses to
formal inquiries from the Commission and committed unworthy and incompetent acts
in the transaction by entering into a contract she did not intend to honor.
VERNON B. JACKSON (Charlotte) – By Consent, the
Commission suspended the broker license of Mr. Jackson for a period of one year
effective December 1, 2003
. The Commission then stayed the
suspension effective January 1, 2004
. The Commission found that Mr. Jackson
pleaded guilty in August 2002 to one count of failure to pay state income
taxes. The Commission noted that Mr. Jackson has now paid in full the income
taxes owed.
KENNETH A. JOHNSON (Hampstead) – By Consent, the
Commission reprimanded Mr. Johnson effective January 15,
2004
. The
Commission found that Mr. Johnson, as broker-in-charge of a real estate firm,
failed to review trust account records or the acts of a salesperson under his
supervision. Mr. Johnson allowed the salesperson to manage the account. As a
result, funds were embezzled from the trust account and the salesperson engaged
in acts for which a license was required while the license was expired or
inactive. The Commission noted that Mr. Johnson cooperated with the Commission
investigation and funded the trust account shortage so that all customers were
paid in full.
RHONDA G. KING (Jackson
) – By Consent, the Commission suspended
the salesperson license of Ms. King for a period of six months effective October
9, 2003
. Ninety
days of the suspension are to be active with the remainder stayed for a
probationary period of one year. The Commission found that Ms. King failed to
disclose in her 1998 application for a salesperson license that she had been
convicted of a misdemeanor. The Commission noted that Ms. King allowed the
salesperson license to expire in 2002, but did disclose the conviction in her
2003 application for reinstatement.
TROY A. LEGGE (Charlotte) – By Consent, the
Commission suspended the salesperson license of Mr. Legge
for a period of six months effective January 1, 2004
. The Commission then stayed the
suspension for a probationary period of six months. The Commission found that
Mr. Legge failed to report on his 2001 salesperson
license application three 1988 and 1989 criminal convictions that occurred when
he was a college freshman. The Commission noted that Mr. Legge
did report the convictions on his 2003 broker license application.
MARGARET W. LOWMAN (Hickory
) – By Consent, the Commission
reprimanded Ms. Lowman effective January
15, 2004
. The
Commission found that Ms. Lowman after ceasing to act
as principal broker of a real estate firm, failed to notify the Commission of
her change in status as required by Commission rules.
ROBBIE G. MCCOY (Franklin
) – By Consent, the Commission
reprimanded Ms. McCoy effective January 21, 2004
. The Commission found that Ms. McCoy
acted as a buyer agent without first obtaining the written agreement required
by Commission rule. Ms. McCoy neither admitted nor denied but did not contest
the Commission finding.
THOMAS ROBIN TODD
MCINTOSH (Durham
) – By Consent, the Commission revoked
the broker license of Mr. McIntosh effective January 14,
2003
. The
Commission found that Mr. McIntosh accepted a $10,000 earnest money deposit
relating to a real estate transaction and deposited the money into his trust
account but subsequently converted the money to his own use. The Commission
also found that Mr. McIntosh failed to produce records concerning this
transaction to the Commission’s authorized representative upon request or
thereafter. Mr. McIntosh neither admitted nor denied the findings of the
Commission, but did not contest the revocation of his license based upon them.
RICKARD B. MERCER (Kitty Hawk
) – By Consent, the Commission suspended
the broker license of Mr. Mercer for a period of one year effective January
25, 2004
. The
Commission found that Mr. Mercer failed to disclose on his 1995 broker license
application pending criminal charges against him for carrying a concealed
weapon and driving while intoxicated, with the former charge subsequently being
dismissed and the latter resulting in a conviction, which Mr. Mercer failed to
disclose as required by Commission rules. The Commission also found that Mr.
Mercer failed to disclose a 1999 conviction of driving while impaired and that
he failed to disclose all of his criminal convictions and a pending charge of
driving while impaired on his firm license application. The Commission noted
that the pending DWI charge was subsequently dismissed.
HOMER
L. MONK
(Raleigh
) – By Consent,
the Commission reprimanded Mr. Monk effective November 18, 2003
. The Commission found that Mr. Monk, while
acting as an agent of a seller in a commercial transaction, failed to provide
the parties the required agency disclosure under Commission rules. The
Commission also found that as a consequence, the buyers failed to understand
who represented them and were able to have the transaction set aside. The Commission
noted that Mr. Monk cooperated with the Commission’s investigation of this
matter.
JAMES
A. MOORE, JR. (Pfafftown) – By Consent, the Commission reprimanded Mr. Moore
effective November 25, 2003
. The Commission
found that Mr. Moore failed to disclose a 1989 DWI conviction on his 1993
salesperson and 1999 broker license applications.
JOAN
W. MOORE
(Conover) – The Commission revoked the broker license of Ms. Moore effective October 15, 2003
. The Commission foundthat Ms. Moore
failed to disclose to a financial institution in a loan application the true
value of sales contracts for town homes she was to build, misrepresented to
buyers the cause for delays in construction and falsely promised to re-pay a
buyer. The Commission also found that Ms. Moore was disciplined by the
Contractor’s Board for engaging in general contracting in excess of her
license, and that she made false, misleading and evasive statements in response
to Commission inquiries concerning complaints.
MORRIS
& RAPER REALTORS, INC. (Atlanta
,
Georgia
) – By Consent,
the Commission suspended the firm license of Morris & Raper
for a period of one year effective November
1, 2003
. The Commission then stayed the suspension for a
probationary period of one year. The Commission found that Morris & Raper, after acquiring a North Carolina
firm license,
accepted compensation for real property transactions negotiated in North Carolina
that it had
brokered prior to obtaining the necessary firm license.
JESSE R. ODOM (Huntersville) – By Consent, the
Commission revoked the broker license of Mr. Odom effective October
31, 2003
. The
Commission found that Mr. Odom made false statements in his 1992 salesperson
license application, 2002 broker license application and 2003 firm license
application in order to conceal criminal convictions and pending charges from
the Commission. The Commission also found that Mr. Odom, on three separate
occasions between 1998 and 2002, failed to report criminal convictions as
required by Commission rule.
THERESA S. PARKER (Jacksonville
) – By Consent, the Commission revoked
the broker license of Ms. Parker effective December 15, 2003
. The Commission found that Ms. Parker,
as president, principal broker and broker-in-charge of a real estate firm,
misappropriated for her own use a $10,000 earnest money deposit given to her in
connection with a real estate transaction for which she acted as agent.
WHITNEY J. PORTER (Durham
) – By Consent, the Commission
reprimanded Mr. Porter effective March 1, 2004
. The Commission found that Mr. Porter
failed to supervise a salesperson associated with his sole proprietorship in
that he did not require the salesperson to verify the ownership of properties
before listing them in the MLS nor did he require written listing agreements
for the properties. The Commission also found that Mr. Porter refused to
provide transaction records to the Commission upon its request.
TORRANCE J. PORTER (Durham
) – By Consent, the Commission
reprimanded Mr. Porter effective March 1, 2004
. The Commission found that Mr. Porter,
a salesperson, listed several properties in the MLS for a particular person or
firm that he knew or should have known was not the owner. The Commission also
found that Mr. Porter did not have written listing agreements for the
properties or permission from the owners to advertise them for sale. The
Commission also found that Mr. Porter, while originally uncooperative, has
since fully cooperated with the Commission’s investigation in this matter.
BILLY R. RAMSEY (Marshall
) – By Consent, the Commission suspended
the salesperson license of Mr. Ramsey for a period of one year effective December
1, 2003
. Three
months of the suspension are to be active with the remainder stayed for a
probationary term of two years. The Commission found that Mr. Ramsey failed to
disclose on his 1995 North Carolina
salesperson license application a 1990
disciplinary action by the Florida Board of Auctioneers. The Commission noted
that Mr. Ramsey has had no complaints against him since he was granted the
salesperson license in 1995.
CHRIS E. SAIEED (Farmville) – By Consent, the Commission
suspended the salesperson license of Mr. Saieed for a
period of two years effective November 1, 2003
. Six months of the suspension are to be
active with the remainder stayed for a probationary period of three years under
certain conditions. The Commission found that Mr. Saieed
failed to disclose a 1995 criminal conviction on his application for a
salesperson license in 2001. The Commission noted that Mr. Saieed
did disclose the conviction on his 2002 application for a broker license.
MARGIE C. SCOTT (Greensboro
) – By Consent, the Commission revoked
the broker license of Ms. Scott effective February 1, 2004
. The Commission agreed to grant Ms.
Scott’s application for a salesperson license between February and June 2005.
The Commission found that Ms. Scott, as broker-in-charge of a real estate firm,
failed to properly maintain the firm’s trust accounts and records and failed to
properly supervise a salesperson associated with the firm.
JOHN J. STACHURA (Alpharetta
,
Georgia
) – By Consent, the Commission
reprimanded Mr. Stachura effective November
1, 2003
. The
Commission found that Mr. Stachura, as
broker-in-charge of the North Carolina
office of a licensed real estate firm,
allowed the firm, after it obtained its license, to collect compensation for
brokerage acts performed by the firm and its agents in North Carolina
before the firm license was obtained.
CRAYMON STRICKLAND,
JR. (Lumberton
) - By Consent, the Commission suspended
the broker license of Mr. Strickland for a period of six months effective January
15, 2004
. The
Commission then stayed the suspension for a probationary period of six months.
The Commission found that Mr. Strickland falsely represented on his 2000
application for a salesperson license that he had not been convicted of any
crime when he had been convicted of misdemeanor larceny in 1989. The Commission
noted that Mr. Strickland did report the conviction on his 2003 broker license
application.
DALE E. TERRY (Winston-Salem
) – By Consent, the Commission
reprimanded Mr. Terry effective November 25, 2003
. The Commission found that Mr. Terry
falsely stated on his salesperson and broker applications that he had not been
convicted of a criminal offense, when in fact he had been convicted of a DWI in
1992.
YUSUF THOMAS (Durham
) – By Consent, the Commission revoked
the broker license of Mr. Thomas effective December 10, 2003
.The Commission found that Mr. Thomas retained a $500 earnest money
deposit received from a buyer and replaced it with a personal check, made
payable to the listing agent, that was returned for insufficient funds.
LINDA L. TWIST (Hayesville) – By Consent, the
Commission reprimanded Ms. Twist effective December 1, 2002
. The Commission found that Ms. Twist
failed to procure an accurate and thorough contract executed by both seller and
buyer to purchase property she had listed and, when the agreement failed,
released a disputed earnest money deposit to the buyer without the seller’s
authorization.
ROSA L. WHITE (Atlanta
) – By Consent, the Commission
reprimanded Ms. White effective November 18, 2003
. The Commission found that Ms. White
failed to disclose a DWI conviction on her 2002 salesperson application. The
Commission noted that Ms. White did disclose the conviction on her 2003 broker
application.
NICHOLAS M. WILSON (Holly
Springs
) – By Consent, the Commission
reprimanded Mr. Wilson effective November 18, 2003
. The Commission found that Mr. Wilson
represented the siding on a house he listed for sale as Hardiplank
as advised by the owners of the property and without independent verification
by a licensed home inspector or other professional, when in fact the siding was
determined later to be Omniplank.
ANNETTE B. WINSTEAD (Raleigh
) – By Consent, the Commission suspended
the salesperson license of Ms. Winstead for a period
of six months effective November 25, 2003
. Four months of the suspension are to
be active with the remainder stayed for a probationary term of one year. The
Commission found that Ms. Winstead failed to disclose
on her 2001 salesperson license application 15 misdemeanor convictions entered
against her between 1985 and 2002 for writing worthless checks. The Commission
noted that Ms. Winstead did disclose the convictions
on her 2003 broker application, which required submission of a criminal
history.