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Broker Responsibility Course (2025-2026)

Required CE For Brokers and Supervisors – 6 Hours – TREC Approval Number #50498

The Broker Responsibility course provides information concerning the regulatory aspects of the management, operation and supervision of a real estate brokerage firm in Texas. The course provides an understanding and working knowledge of a broker’s responsibilities and obligations under 22 TAC §532.2, which sets out specific requirements and best practices for brokers.

The following persons are required to take the Broker Responsibility course:

  • A broker who sponsors sales agents;
  • A designated broker of a business entity who sponsors sales agents; and
  • A license holder who is a delegated supervisor of one or more license holders.

NOTE: A real estate license holder who is not required to take the Broker Responsibility course may take this course and receive six hours toward continuing education (CE) requirements.

Course Chapters:

  • Chapter 1 – Brokerage Supervision and Structure

    • Who’s in Charge?
    • How Can One Broker Responsibly Supervise a High Number of Sales Agents?
    • Required Oversight of Sales Agents’ First-Time Brokerage Activities
    • How Do Brokers Coach and Assist Agents?
    • One Rule Fits All
    • Activity: Build a Brokerage
    • Working for Multiple Brokerages: What a Transaction Coordinators and Showing Agents are Allowed to Do in Texas
    • Can You Use Unlicensed Individuals to Help With Your Texas Real Estate Transactions? It Depends.

    Chapter 2 – Policies and Procedures

    • 8 Reasons Policies and Procedures are Essential to Your Brokerage
    • Navigating Compliance with Recordkeeping Requirements
    • Activity: What Would You Do?
    • Broker Responsibilities for Property Management
    • What Brokers Need to Know About Trust Accounts
    • From the Case Files: Property Management and Trust Accounts
    • What Brokers Need to Know About Business Entity Broker Licenses and Business Entity Registrations
    • Broker Succession: What Happens When the Designated Broker Dies?

    Chapter 3 – Competency

    • Timely Response Required: How to Comply With TREC Rules 535.2(j) and 535.157
    • All About Competency
    • Activity: Coaching and Training
    • From the Case Files: Competency Case Studies

    Chapter 4 –Daily Business

    • Information About Brokerage Services
    • What is an Advertisement?
    • Who is Advertising?
    • What Advertising Laws and Rules Must License Holders Follow?
    • Advertising and Social Media Trends
    • From the Case Files: Advertising
    • 20 Misleading Advertising Types
    • Artificial Intelligence and Broker Responsibility
    • BPOs, CMAs, and Appraisals: What’s the Difference?
    • Not Sure if You Want to Renew Your License? Here’s Why You May Want to go Inactive

    Chapter 5 –TREC Enforcement

    • Who Handles Complaints and Discipline?
    • Advertising Compliance Program
    • Top TREC Complaint Categories
    • From the Case Files: Filed Under Misc.
    • Your Policies and Procedures Summary Sheet

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