What action is prohibited if a complaint is filed after two years from the done act?

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The prohibition against disciplinary action after two years from the date of the alleged misconduct is rooted in the principle of statute of limitations. This legal concept is designed to ensure timely resolution of complaints and to protect individuals from facing indefinite uncertainty regarding their professional conduct.

In the context of real estate and broker practices, if a complaint is filed after the two-year statutory limit, regulatory authorities cannot initiate disciplinary measures against a licensee. This helps maintain fairness and prevents the potential for stale claims that could be based on evidence that is no longer fresh or available.

While filing fees and court hearings may still be relevant aspects of legal processes, the ability to impose disciplinary measures on a licensee lapses after this time frame has elapsed. Thus, the focus on the prohibition of disciplinary action is crucial as it aligns with the broader goals of ensuring justice and accountability in a timely manner.

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