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Office of the Revisor of Statutes

PROFESSIONAL RULES

Rules of the MinnesotaClient Security Board

Rules of the Minnesota Client Security Board

Effective July 1, 1987
With amendments effective through July 1, 2020

TABLE OF HEADNOTES

Rule 1. Rules Governing the Client Security Board
1.01Membership of the Board
1.02Terms of Office
1.03Reimbursement
1.04Meetings
1.05Immunity
1.06Duties of the Board
1.07Conflict of Interest
1.08Duties of the Director
1.09Confidentiality
1.10Annual Report
Rule 2. Rules Governing the Fund
2.01Establishment of the Fund
2.02Financing
2.03Ordering, Reinstatement and Cancellation of Assessments
2.04Failure to Pay Assessment
2.05Disbursements from the Fund
Rule 3. Rules Governing the Claim Process
3.01Claims Payment Discretionary
3.02Filing Claims
3.03Privileged Complaints
3.04Screening Claims
3.05Claim Investigation
3.06Rights of Lawyer Subject to Claim
3.07Lawyer Cooperation
3.08Subpoena
3.09Jurisdiction
3.10Action after Investigation
3.11Panels
3.12Request for Hearing
3.13Hearing
3.14Determination
3.15Denial
3.16Reconsideration
3.17Subrogation
3.18Notification of Claim Paid
3.19Deleted
Rule 4. Rule Governing Education
4.01Education