Oregon Revised Statutes Chapter 125 § 125.240 — Professional fiduciaries
Oregon Revised Statutes Chapter 125 ·
Oregon Code § 125.240·Enacted ·Last updated March 01, 2026
Statute Text
Professional fiduciaries.
(1) If a petition seeks the appointment of a professional fiduciary, the
petition must contain the following information in addition to that information
required under ORS 125.055:
(a) Proof that
the professional fiduciary, or an individual responsible for making decisions
for clients or for managing client assets for the professional fiduciary, is
certified by the Center for Guardianship Certification or its successor
organization as a National Certified Guardian or a National Master Guardian.
(b) A description
of the events that led to the involvement of the professional fiduciary in the
case.
(c) The
educational background, professional experience, investment credentials and
licensing under ORS chapter 59 of the individual responsible as, or acting on
behalf of, the professional fiduciary.
(d)(A) The fees
charged by the professional fiduciary and whether the fees are on an hourly
basis or are based on charges for individual services rendered, including
whether there is any revenue sharing arrangement between the professional
fiduciary and any other person.
(B) The method by
which the fees described in subparagraph (A) of this paragraph will be assessed
or charged, whether by commissions, monthly charges or any other method.
(e) The names of
providers of direct services to protected persons that are repeatedly used by
the professional fiduciary under contract.
(f) The
disclosures required under ORS 125.221 if the person nominated to act as a
professional fiduciary will employ a person in which the nominated person has a
pecuniary or financial interest.
(g) The number of
protected persons for whom the person performs fiduciary services at the time
of the petition.
(h) Whether the
professional fiduciary has ever had a claim against the bond of the
professional fiduciary and a description of the circumstances causing the
claim.
(i) Whether the
professional fiduciary or any staff with responsibility for making decisions
for clients or for management of client assets has ever filed for bankruptcy
and the date of filing.
(j)(A) Whether
the professional fiduciary or any staff with responsibility for making
decisions for clients or for management of client assets has ever been denied a
professional license that is directly related to responsibilities of the
professional fiduciary, or has ever held a professional license that is
directly related to responsibilities of the professional fiduciary that was
revoked or canceled. If such a license has been denied, revoked or canceled,
the petition must reflect the date of the denial, revocation or cancellation
and the name of the regulatory body that denied, revoked or canceled the
license.
(B) A
professional license under this paragraph includes a certificate described in
paragraph (a) of this subsection.
(k) A statement
that the criminal records check required under subsection (2) of this section
does not disqualify the person from acting as a professional fiduciary.
(L) Whether the
professional fiduciary and any staff responsible for making decisions for
clients or for management of client assets is or has been certified by a
national or state association of professional fiduciaries, the name of any such
association and whether the professional fiduciary or other staff person has
ever been disciplined by any such association and the result of the
disciplinary action.
(m) The name,
address and telephone number of the individual who is to act as primary
decision maker for the protected person and the name of the person with whom
the protected person will have personal contact if that person is not the
person who will act as primary decision maker for the protected person.
(n) An
acknowledgment by the professional fiduciary that the professional fiduciary
will make all investments of client assets in accordance with the standards set
forth in ORS 130.750 to 130.775.
(2)(a) If a
petition seeks the appointment of a professional fiduciary as described in
subsection (5) of this section, the professional fiduciary and all staff with
responsibility for making decisions for clients or for management of client
assets must undergo a criminal records check before the court may appoint the
professional fiduciary. The results of the criminal records check shall be
provided by the petitioner to the court. Results of criminal records checks
submitted to the court are confidential, shall be subject to inspection only by
the parties to the proceedings and their attorneys, and shall not be subject to
inspection by members of the public except pursuant to a court order entered
after a showing of good cause. A professional fiduciary must disclose to the
court any criminal conviction of the professional fiduciary that occurs after
the criminal records check was performed. The criminal records check under this
subsection shall consist of a check for a criminal record in the State of Oregon
and a
Plain English Explanation
This Oregon statute addresses Professional fiduciaries. AI-powered analysis coming soon.
Key Points
01Part of Oregon statutory law
02Referenced as Oregon Code § 125.240
03Subject to legislative amendments
04Consult a licensed attorney for application to specific cases
Frequently Asked Questions
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