FLORIDA PROBATE RULES
AND STATUTES

FLORIDA RULES OF CIVIL
PROCEDURE

FLORIDA RULES OF GENERAL
PRACTICE 

AND JUDICIAL ADMINISTRATION
 
 

2023 EDITION

 
 

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International Standard Book Number: 978-1-66335-772-4 (print)
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 2023 by The Florida Bar. All rights reserved
Published 2023
Printed in the United States of America

(Pub No. 22736)



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PREFACE
This pamphlet is another in a continuing series of publications designed to

aid Florida lawyers to practice more efficiently and effectively.
This manual will be updated annually to reflect statutory and rules of

procedure revisions.
 Terry L. Hill, Director
 Programs Division
 January 2023



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TABLE OF CONTENTS
__________

FLORIDA RULES OF CIVIL PROCEDURE
CITATIONS TO OPINIONS ............................... CIV-3
TABLE OF CONTENTS ............................... CIV-7
TEXT ............................... CIV-13
SUBJECT INDEX TO RULES ............................... CIV-147

FLORIDA RULES OF GENERAL PRACTICE AND JUDICIAL
ADMINISTRATION

CITATIONS TO OPINIONS ............................... JUD-3
TABLE OF CONTENTS ............................... JUD-7
TEXT ............................... JUD-11
SUBJECT INDEX TO RULES ............................... JUD-117

FLORIDA PROBATE RULES AND STATUTES
CITATIONS TO OPINIONS ............................... PROB-3
TABLE OF CONTENTS ............................... PROB-7
TEXT ............................... PROB-11
FLORIDA STATUTES

CHAPTER 69 (Selected Section) ............................... PROB-181
CHAPTER 86 (Selected Section) ............................... PROB-183
CHAPTER 198 ............................... PROB-185
CHAPTER 222 ............................... PROB-195
CHAPTER 393 (Selected Sections) ............................... PROB-205
CHAPTER 409 (Selected Sections) ............................... PROB-211



CHAPTER 518 ............................... PROB-219
CHAPTER 655 (Selected Sections) ............................... PROB-229
CHAPTER 689 ............................... PROB-241
CHAPTER 695 ............................... PROB-261
CHAPTER 709 ............................... PROB-271
CHAPTER 710 ............................... PROB-283
CHAPTER 711 ............................... PROB-291
CHAPTER 716 ............................... PROB-295
CHAPTER 717 ............................... PROB-297
CHAPTER 731 ............................... PROB-325
CHAPTER 732 ............................... PROB-331
CHAPTER 733 ............................... PROB-363
CHAPTER 734 ............................... PROB-401
CHAPTER 735 ............................... PROB-403
CHAPTER 736 ............................... PROB-409
CHAPTER 738 ............................... PROB-467
CHAPTER 739 ............................... PROB-485
CHAPTER 740 ............................... PROB-491
CHAPTER 744 ............................... PROB-497
CHAPTER 747 ............................... PROB-559
CHAPTER 765 ............................... PROB-563
CHAPTER 825 (Selected Section) ............................... PROB-587

FLORIDA CONSTITUTION
ARTICLE X, Section 4 ............................... PROB-595

SUBJECT INDEX TO RULES AND STATUTES ...............................
PROB-597



Licensed to Otis K Pitts, Otis K Pitts

FLORIDA RULES 
OF 

CIVIL PROCEDURE

2023 Edition

Rules reflect all changes through 346 So.3d 1157. Subsequent amendments,
if any, can be found at www.floridasupremecourt.org/decisions/rules.shtml.
The Florida Bar also updates the rules on its website at www.FloridaBar.org
(on the homepage click Rules Updates).
 
 
 
 
 
 
 
 

CONTINUING LEGAL EDUCATION PUBLICATIONS
THE FLORIDA BAR 

TALLAHASSEE, FLORIDA 32399-2300



CITATIONS TO OPINIONS ADOPTING OR AMENDING
RULES

ORIGINAL ADOPTION, effective 1-1-67: 187 So.2d 598.
OTHER   
OPINIONS:
Effective 1-1-68: 211 So.2d 206. Amended 1.010, 1.020(d)(2), (d)(3),

1.100(c), 1.250, 1.340, 1.370,
1.410(a), 1.420(b), (e), 1.440,
1.500(e), 1.530(b), (f), 1.550(a);
added 1.481; deleted 1.650, 1.670,
1.690, 1.700, 1.710, 1.720.

Effective 10-1- 211 So.2d 174. Added forms 1.900-1.991.
68:
Effective 9-1-70: 237 So.2d 151. Amended 1.370(a)-(b), 1.640(a),

form 1.918.
Effective 12-31- 253 So.2d 404. Amended 1.035, 1.070, 1.080,
71: 1.100, 1.110, 1.200, 1.431, 1.450(d),

1.490, 1.943; added 1.611, 1.627,
1.950, 1.975, 1.983-1.984, 1.989,
1.995-1.996.

Effective 11-29- 269 So.2d 359. Amended 1.020, 1.035, 1.500.
72:
Effective 1-1-73: 265 So.2d 21. Four-year-cycle revision. Amended

1.035, 1.070, 1.080, 1.100, 1.140,
1.170, 1.200, 1.250, 1.280, 1.310,
1.320, 1.330, 1.340, 1.350, 1.360,
1.370, 1.380, 1.390, 1.410, 1.430,
1.440, 1.442, 1.500, 1.560, 1.627,
forms 1.915-1.916, 1.949, 1.951.

Effective 10-1- 281 So.2d 204. Amended 1.431(b), 1.611(b).
73:
Effective 1-1-77: 339 So.2d 626. Four-year-cycle revision. Amended

1.020(f)-(g), 1.030, 1.080(a), (h),



1.310(b)(4), 1.340(e), 1.410(c),
1.420(e), 1.431(e), (f)(1)-(f)(2), (g),
1.440(c), 1.510(c), form 1.917;
deleted 1.630.

Effective 6-13- 347 So.2d 599. Amended 1.220.
77:
Effective 9-1-77: 348 So.2d 325. Amended 1.330(a)(6), 1.340(f).
Effective 7-1-79: 372 So.2d 449. Amended 1.030(a), 1.310(b)(4);

deleted 1.020, 1.025, 1.030(b)-(e),
1.035.

Effective 7-2-79: 368 So.2d 1293. Amended 1.450(d); added 1.450(f).
Effective 1-1-80: 377 So.2d 971. Amended 1.080(h)(1).
Effective 1-1-81: 391 So.2d 165. Four-year-cycle revision. Amended

1.010, 1.060(b), 1.070(i), 1.090(e),
1.170(f), 1.190(a), 1.340(c), (e),
1.350(b), 1.400, 1.410(c), 1.420(e),
1.431(g), 1.440(b), 1.442, 1.460,
1.490(d), 1.570, 1.580, 1.610, forms
1.901-1.917, 1.919-1.920, 1.931,
1.934, 1.938, 1.940-1.946, 1.948,
1.971-1.972, 1.980, 1.990, 1.995-
1.996; renumbered 1.221; added
1.220, 1.351, 1.432, 1.625, forms
1.921, 1.922, 1.988; deleted
1.210(c), (d), 1.290(d), 1.627, 1.640,
1.660, 1.680, form 1.950.

Effective 1-1-82: 403 So.2d 926. Amended 1.310(e), (f)(1), (f)(3),
1.320(b), 1.330(d)(4), 1.340(e);
added 1.350(d); deleted 1.320(c),
1.450(d); Effective date delayed
1.450(f).

Effective 1-1-82: 407 So.2d 197. Amended 1.340(e).
Effective 6-1-84: 450 So.2d 810. Amended 1.611(c), forms 1.943-1,

1.943-2, 1.995-1.
Effective 6-1-84: 450 So.2d 817. Amended 1.611(c), forms 1.943(b)-



(e), 1.995(b).
Effective 1-1-85: 458 So.2d 245. Four-year-cycle revision. Amended

1.080(e), 1.180(a), 1.200, 1.280(a),
1.290(a)(4), 1.310, 1.340, 1.380(c),
1.420, 1.440; added 1.060(c), 1.630;
deleted 1.450(d)-(e); transferred
1.450(f) to Fla.R.Jud.Admin. 2.075.

Effective 7-1-86: 488 So.2d 57. Amended 1.100(c); added forms
1.997-1.998.

Effective 1-1-88: 518 So.2d 908. Added 1.700, 1.710, 1.720, 1.730,
1.740, 1.750, 1.760, 1.770, 1.780,
1.800, 1.810, 1.820, 1.830.

Effective 3-1-88: 521 So.2d 118. Added 1.491.
Effective 9-22- 541 So.2d 1121. Added 1.222.
88:
Effective 10-17- 532 So.2d 1058. Added 1.612.
88:
Effective 11-23- 534 So.2d 1150. Amended 1.700(b), (c).
88:
Effective 12-30- 536 So.2d 193. Added 1.650.
88:
Effective 1-1-89: *536 So.2d 974. Four-year-cycle revision. Amended

1.140(a), 1.170(g), 1.190(a),
1.280(b)(3)(A) (renumbered (b)(4)
(A)), 1.310(b)(4), (c), 1.340(a),
1.360, 1.380, 1.390(c), 1.440(c),
1.470(b), forms 1.948, 1.975; added
1.070(j), 1.200(a)(5), 1.280(b)(2)
(renumbering the remaining
subdivisions), (b)(4)(D), 1.431(f),
forms 1.902(b), 1.932.

Effective 1-11- 536 So.2d 198. Added 1.612 (revised opinion).
89:
Effective 7-6-89: 545 So.2d 866. Amended 1.280.
Effective 1-1-90: 550 So.2d 442. Amended 1.442.



Effective 7-1-90: 563 So.2d 85. Amended 1.700, 1.710, 1.720,
1.730, 1.740, 1.750, 1.760; deleted
1.770, 1.780.

Effective 7-6-90: 563 So.2d 1079. Amended form 1.943(c).
Effective 10-25- 568 So.2d 1273. Amended 1.650(d)(2).
90:
Effective 4-4-91: 577 So.2d 580. Amended 1.976.
Effective 5-28- 604 So.2d 764. Amended 1.720(f); transferred 1.760
92: to Florida Rules for Certified and

Court-Appointed Mediators as
10.010.

Effective 7-9-92: 608 So.2d 1. Repealed 1.442.
Effective 1-1-93: 604 So.2d 1110. Four-year-cycle revision.

Substantively amended 1.070,
1.080(b), (f), 1.100(b), 1.200,
1.310(b)(4)(D), 1.420(f), 1.431(g)
(2), 1.510(c), 1.530(e), 1.540(b),
1.611, forms 1.902(b), 1.907(b),
1.960, 1.988(b), standard
interrogatories form 7; added new
1.442 directing compliance with
statute; deleted 1.070(d)
(renumbering the remaining
subdivisions), 1.400, 1.612, 1.931.

Effective 1-1-93: 609 So.2d 465. Deleted 1.432.
Effective 11-22- 627 So.2d 481. Amended 1.650(d)(3).
93:
Effective 6-16- 639 So.2d 22. Corrected 1.630(c).
94:
Effective 7-1-94: 641 So.2d 343. Amended 1.700-1.720, 1.750,

1.800-1.830.
Effective 1-1-96: 663 So.2d 1049. Amended 1.010, 1.360, 1.540, forms

1.918-1.919, 1.982; deleted 1.491,
1.611, 1.740, forms 1.943, 1.975,
1.995, standard interrogatories form



7 (because of adoption of Florida
Family Law Rules of Procedure).

Effective 1-25- 674 So.2d 86. Added 1.061.
96:
Effective 1-1-97: 682 So.2d 105. Four-year-cycle revision. Amended

1.061, 1.110, 1.280(b)(4), 1.310(c)-
(d), (h), 1.351(b)-(c), 1.380, 1.442,
1.480(b), 1.710(b)(4), 1.730(b)-(c),
1.750(b), 1.800, forms 1.908, 1.916,
1.921-1.923, 1.997; added 1.070(i)
and renumbered (j), added 1.280(b)
(5), added 1.351 (d) and renumbered
(e), (f), added 1.410 (a) and
renumbered (a)-(f), added forms
1.902(c), 1.910(b), 1.911(b),
1.912(b), 1.913(b), 1.922(c)-(d);
deleted 1.450(a) and renumbered
(b)-(c); added committee note to
1.907.

Effective 10-1- 718 So.2d 795. Amended 1.140(b) and 1.330(a).
98:
Effective 10-15- 723 So.2d 180. Added form 1.995.
98:
Effective 3-4-99: 746 So.2d 1084. Amended 1.070(j).
Effective 3-11- 745 So.2d 946. Amended 1.650(d)(3).
99:
Effective 7-1-99: 756 So.2d 27. Added rule 1.840 and form 1.999.
Effective 2-17- 754 So.2d 671. Amended 1.070(j).
00:
Effective 1-1-01: 773 So.2d 1098. Four-year-cycle revision.

Substantively amended 1.061,
1.442(b), (f)-(g), 1.560, 1.650(d),
forms 1.988, 1.990-1.996; added
1.525, form 1.977.

Effective 10-23- 858 So.2d 1013. Repealed 1.840, form 1.999.



03:
Effective 1-1-04: 858 So.2d 1013. Two-year-cycle revision. Amended

1.070(j), 1.190, 1.210(a), 1.370,
1.380, 1.525, 1.540, 1.650, 1.750,
1.810, 1.820, forms 1.902, 1.906,
1.977, 1.988; added 1.981; repealed
1.840, form 1.999.

Effective 10-1- 887 So.2d 1090. Amended 1.200, 1.490.
04:
Effective 1-1-06: 915 So.2d 145. Amended 1.720(f).
Effective 1-1-06: 915 So.2d 612. Revised Statewide Uniform

Guidelines for Taxation of Costs in
Civil Actions.

Effective 1-1-06: 917 So.2d 176. Two-year-cycle revision. Amended
1.380, 1.420(e), 1.431, 1.510, 1.525,
forms 1.989, 1.997.

Effective 11-15- 969 So.2d 1003. Amended 1.720(f)(2).
07:
Effective 1-1-08: 966 So.2d 943. Three-year-cycle revision. Amended

1.120, 1.140, 1.210, 1.221, 1.280,
1.310, 1.351, 1.360, 1.410, 1.650,
1.820, forms 1.902, 1.910-1.913,
1.922, 1.982.

Effective 1-1-08: 967 So.2d 178. Amended 1.200 and 1.470; adopted
1.452 and 1.455.

Effective 5-28- 15 So.3d 558. Amended 1.100, 1.200, 1.440;
09: added 1.201, form 1.999.
Effective 10-1- 20 So.3d 376. Amended form 1.985.
09:
Effective 10-1- 15 So.3d 558. Amended form 1.918.
09:
Effective 10-15- 30 So.3d 477. Amended form 1.998.
09:
Effective 1-1-10: 30 So.3d 477. Amended form 1.997.
Effective 2-11- 44 So.3d 555. Amended 1.110, added forms 1.924;



10: 1.996(a)-(b)
Effective 1-1-11: 52 So.3d 579. Amended rules 1.080, 1.100, 1.310,

1.340, 1.351, 1.360, 1.410, 1.420,
1.442, 1.470, 1.480, 1.510, 1.525,
forms 1.901, 1.923, 1.986; added
rules 1.071, 1.285, form 1.975;
deleted form 1.985.

Effective 10-1- 80 So.3d 317. Amended rules 1.280, 1.310, 1.340,
11: 1.350, forms 1.988, 1.990, 1.991,

1.993, 1.994, and 1.995(a)-(d).
Effective 1-1-12: 75 So.3d 264. Amended rule 1.720.
Effective 9-1-12: 102 So.3d 505. Amended rules 1.080, 1.170, 1.351,

1.410, 1.440, 1.442, 1.510, 1.630.
Effective 9-1-12: 95 So.3d 76. Amended rules 1.200, 1.201, 1.280,

1.340, 1.350, 1.380, 1.410.
Effective 10-1- 95 So.3d 96. Amended rule 1.090.
12:
Effective 4-1-13: 102 So.3d 451. Amended rules 1.030, 1.080.
Effective 4-11- 112 So.3d 1209. Amended rule 1.442.
13:
Effective 5-9-13: 113 So.3d 777. Amended rule 1.490.
Effective 1-1-14: 131 So.3d 643. Amended rules 1.380, 1.431, 1.442,

1.480, 1.490, 1.530, 1.560, 1.630;
added 1.020, 1.451.

Effective 2-20- 133 So.3d 928. Amended rule 1.470.
14:
Effective 3-13- 141 So.3d 179. Amended rule 1.490. Adopted rule
14: 1.491.
Effective 10-1- 141 So.3d 1172. Amended rule 1.720.
14:
Effective 12-11- 153 So.3d 258. Amended rules 1.110, 1.994, 1.996.
14: Adopted rule 1.115.
Effective 3-5-15: 159 So.3d 858. Amended rules 1.490, 1.491.
Effective 1-14- 153 So.3d 258. Amended rule 1.115, forms



16: 1.944(a), 1.944(b), 1.944(c)
1.944(d), 1.996(b).

Effective 1-1-17: 199 So.3d 867. Three-year-cycle rule and form
amendments. Amended rules 1.020,
1.071, 1.100, 1.130, 1.140, 1.170,
1.200, 1.310, 1.320, 1.340, 1.410,
1.431, 1.500, 1.510, 1.625, 1.630,
forms 1.900, 1.910, 1.911, 1.912,
1.913, 1.918, 1.921, 1.922, 14.975,
1.980, 1.997; adopted rule 1.545.

Effective 2-23- 211 So.3d 985. Amended form 1.983.
17:
Effective 7-1-18: 244 So.3d 1009. Amended rule 1.570; renumbered

form 1.914; adopted forms 1.914(b),
1.914(c).

Effective 1-1-19: 257 So.3d 66. Amended rules 1.170, 1.260, 1.351,
1.410, 1.440, 1.442, 1.510.

Effective 1-1-20: 283 So.3d 802. Amended forms 1.997, 1.998.
Effective 1-1-20: 292 So.3d 660. Amended rules 1.090, 1.350, 1.380,

1.510, 1.540, 1.610, 1.650, 1.730,
1.830, 1.902, 1.923, 1.984, 1.996(a),
1.996(b), Appendix I Form 1, Form
2; adopted rule 1.535.

Effective 4-1-20: 45 FLW S88. Amended rule 1.470.
Effective 8-13- 302 So.3d 811. Amended form 1.997.
20:
Effective 12-31- 309 So.3d 192. Amended rule 1.510.
20:
Effective 1-28- 312 So.3d 445. Amended rule 1.470.
21:
Effective 4-8-21: 318 So.3d 1240. Amended rule 1.080.
Effective 4-8-21: 315 So.3d 633. Amended rule 1.650.
Effective 4-8-21: 315 So.3d 635. Amended rule 1.260.
Effective 4-29- 317 So.3d 72. Amended rule 1.810.



21:
Effective 5-21- 317 So.3d 1090. Amended rule 1.720.
21:

Effective 8-26- 324 So.3d 459. Amended rule 1.280.
21:
Effective 10-7- 345 So.3d 697. Amended rules 1.280, 1.340.
21:
Effective 10-28- 344 So.3d 940. Amended rules 1.020, 1.090, 1.170,
21: 1.310, 1.350, 1.351, 1.440, 1.442,

1.470, Form 1.983, 1.997, 1.999.
Effective 12-16- 334 So.3d 587. Amended form 1.997.
21:
Effective 5-26- 345 So.3d 845. Amended rule 1.442.
22:
Effective 7-14- 346 So.3d 1105. Amended rules 1.310, 1.320, 1.410,
22: 1.430, 1.440, 1.700, 1.720, 1.730,

1.750, 1.830; repealed rule 1.451.
Effective 10-1- 346 So.3d 1157 Amended rule 1.530; deleted rule
22: 1.535.
NOTE TO USERS: Rules in this pamphlet are current through 346 So.3d
1157. Subsequent amendments, if any, can be found at
www.floridasupremecourt.org/decisions/rules.shtml. The Florida Bar also
updates the rules on its website at www.FloridaBar.org (on the homepage
click Rules Updates).



TABLE OF CONTENTS
__________

TRACING TABLE
1.010. SCOPE AND TITLE OF RULES
1.020. PRIVACY AND COURT RECORDS
1.030. NONVERIFICATION OF PLEADINGS
1.040. ONE FORM OF ACTION
1.050. WHEN ACTION COMMENCED
1.060. TRANSFERS OF ACTIONS
1.061. CHOICE OF FORUM
1.070. PROCESS
1.071. CONSTITUTIONAL CHALLENGE TO STATE STATUTE OR

COUNTY OR MUNICIPAL CHARTER, ORDINANCE, OR
FRANCHISE; NOTICE BY PARTY

1.080. SERVICE AND FILING OF PLEADINGS, ORDERS, AND
DOCUMENTS

1.090. TIME
1.100. PLEADINGS AND MOTIONS
1.110. GENERAL RULES OF PLEADING
1.115. PLEADING MORTGAGE FORECLOSURES
1.120. PLEADING SPECIAL MATTERS
1.130. ATTACHING COPY OF CAUSE OF ACTION AND EXHIBITS
1.140. DEFENSES
1.150. SHAM PLEADINGS
1.160. MOTIONS



1.170. COUNTERCLAIMS AND CROSSCLAIMS
1.180. THIRD-PARTY PRACTICE
1.190. AMENDED AND SUPPLEMENTAL PLEADINGS
1.200. PRETRIAL PROCEDURE
1.201. COMPLEX LITIGATION
1.210. PARTIES
1.220. CLASS ACTIONS
1.221. HOMEOWNERS ASSOCIATIONS AND CONDOMINIUM

ASSOCIATIONS
1.222. MOBILE HOMEOWNERS ASSOCIATIONS
1.230. INTERVENTIONS
1.240. INTERPLEADER
1.250. MISJOINDER AND NONJOINDER OF PARTIES
1.260. SURVIVOR; SUBSTITUTION OF PARTIES
1.270. CONSOLIDATION; SEPARATE TRIALS
1.280. GENERAL PROVISIONS GOVERNING DISCOVERY
1.285. INADVERTENT DISCLOSURE OF PRIVILEGED MATERIALS
1.290. DEPOSITIONS BEFORE ACTION OR PENDING APPEAL
1.300. PERSONS BEFORE WHOM DEPOSITIONS MAY BE TAKEN
1.310. DEPOSITIONS UPON ORAL EXAMINATION
1.320. DEPOSITIONS UPON WRITTEN QUESTIONS
1.330. USE OF DEPOSITIONS IN COURT PROCEEDINGS
1.340. INTERROGATORIES TO PARTIES
1.350. PRODUCTION OF DOCUMENTS AND THINGS AND ENTRY

UPON LAND FOR INSPECTION AND OTHER PURPOSES
1.351. PRODUCTION OF DOCUMENTS AND THINGS WITHOUT

DEPOSITION



1.360. EXAMINATION OF PERSONS
1.370. REQUESTS FOR ADMISSION
1.380. FAILURE TO MAKE DISCOVERY; SANCTIONS
1.390. DEPOSITIONS OF EXPERT WITNESSES
1.410. SUBPOENA
1.420. DISMISSAL OF ACTIONS
1.430. DEMAND FOR JURY TRIAL; WAIVER
1.431. TRIAL JURY
1.440. SETTING ACTION FOR TRIAL
1.442. PROPOSALS FOR SETTLEMENT
1.450. EVIDENCE
1.452. QUESTIONS BY JURORS
1.455. JUROR NOTEBOOKS
1.460. CONTINUANCES
1.470. EXCEPTIONS UNNECESSARY; JURY INSTRUCTIONS
1.480. MOTION FOR A DIRECTED VERDICT
1.481. VERDICTS
1.490. MAGISTRATES
1.491. GENERAL MAGISTRATES FOR RESIDENTIAL MORTGAGE

FORECLOSURE MATTERS
1.500. DEFAULTS AND FINAL JUDGMENTS THEREON
1.510. SUMMARY JUDGMENT
1.520. VIEW
1.525. MOTIONS FOR COSTS AND ATTORNEYS FEES
1.530. MOTIONS FOR NEW TRIAL AND REHEARING;

AMENDMENTS OF JUDGMENTS; REMITTITUR OR ADDITUR
1.540. RELIEF FROM JUDGMENT, DECREES, OR ORDERS



1.545. FINAL DISPOSITION FORM
1.550. EXECUTIONS AND FINAL PROCESS
1.560. DISCOVERY IN AID OF EXECUTION
1.570. ENFORCEMENT OF FINAL JUDGMENTS
1.580. WRIT OF POSSESSION
1.590. PROCESS IN BEHALF OF AND AGAINST PERSONS NOT

PARTIES
1.600. DEPOSITS IN COURT
1.610. INJUNCTIONS
1.620. RECEIVERS
1.625. PROCEEDINGS AGAINST SURETY ON JUDICIAL BONDS
1.630. EXTRAORDINARY REMEDIES
1.650. MEDICAL MALPRACTICE PRESUIT SCREENING RULE
1.700. RULES COMMON TO MEDIATION AND ARBITRATION
1.710. MEDIATION RULES
1.720. MEDIATION PROCEDURES
1.730. COMPLETION OF MEDIATION
1.750. COUNTY COURT ACTIONS
1.800. EXCLUSIONS FROM ARBITRATION
1.810. SELECTION AND COMPENSATION OF ARBITRATORS
1.820. HEARING PROCEDURES FOR NON-BINDING ARBITRATION
1.830. VOLUNTARY BINDING ARBITRATION
1.900. FORMS
1.901. CAPTION
1.902. SUMMONS
1.903. CROSSCLAIM SUMMONS



1.904. THIRD-PARTY SUMMONS
1.905. ATTACHMENT
1.906. ATTACHMENT  FORECLOSURE
1.907. GARNISHMENT
1.908. WRIT OF REPLEVIN
1.909. DISTRESS
1.910. SUBPOENA FOR TRIAL
1.911. SUBPOENA DUCES TECUM FOR TRIAL
1.912. SUBPOENA FOR DEPOSITION
1.913. SUBPOENA DUCES TECUM FOR DEPOSITION
1.914(a). EXECUTION
1.914(b). NOTICE TO APPEAR
1.914(c). AFFIDAVIT OF CLAIMANT IN RESPONSE TO NOTICE TO

APPEAR
1.915. WRIT OF POSSESSION
1.916. REPLEVIN ORDER TO SHOW CAUSE
1.917. NE EXEAT
1.918. LIS PENDENS
1.919. NOTICE OF ACTION; CONSTRUCTIVE SERVICE  NO

PROPERTY
1.920. NOTICE OF ACTION; CONSTRUCTIVE SERVICE  PROPERTY
1.921. NOTICE OF PRODUCTION FROM NONPARTY
1.922. SUBPOENA DUCES TECUM WITHOUT DEPOSITION
1.923. EVICTION SUMMONS/RESIDENTIAL
1.924. AFFIDAVIT OF DILIGENT SEARCH AND INQUIRY
1.932. OPEN ACCOUNT
1.933. ACCOUNT STATED



1.934. PROMISSORY NOTE
1.935. GOODS SOLD
1.936. MONEY LENT
1.937. REPLEVIN
1.938. FORCIBLE ENTRY AND DETENTION
1.939. CONVERSION
1.940. EJECTMENT
1.941. SPECIFIC PERFORMANCE
1.942. CHECK
1.944(a). MORTGAGE FORECLOSURE
1.944(b). MORTGAGE FORECLOSURE
1.944(c). MOTION FOR ORDER TO SHOW CAUSE
1.944(d). ORDER TO SHOW CAUSE
1.945. MOTOR VEHICLE NEGLIGENCE
1.946. MOTOR VEHICLE NEGLIGENCE WHEN PLAINTIFF IS

UNABLE TO DETERMINE WHO IS RESPONSIBLE
1.947. TENANT EVICTION
1.948. THIRD-PARTY COMPLAINT. GENERAL FORM
1.949. IMPLIED WARRANTY
1.951. FALL-DOWN NEGLIGENCE COMPLAINT
1.960. BOND. GENERAL FORM
1.961. VARIOUS BOND CONDITIONS
1.965. DEFENSE. STATUTE OF LIMITATIONS
1.966. DEFENSE. PAYMENT
1.967. DEFENSE. ACCORD AND SATISFACTION
1.968. DEFENSE. FAILURE OF CONSIDERATION



1.969. DEFENSE. STATUTE OF FRAUDS
1.970. DEFENSE. RELEASE
1.971. DEFENSE. MOTOR VEHICLE CONTRIBUTORY NEGLIGENCE
1.972. DEFENSE. ASSUMPTION OF RISK
1.975. NOTICE OF COMPLIANCE WHEN CONSTITUTIONAL

CHALLENGE IS BROUGHT
1.976. STANDARD INTERROGATORIES
1.977. FACT INFORMATION SHEET
1.980. DEFAULT
1.981. SATISFACTION OF JUDGMENT
1.982. CONTEMPT NOTICE
1.983. PROSPECTIVE JUROR QUESTIONNAIRE
1.984. JUROR VOIR DIRE QUESTIONNAIRE
1.986. VERDICTS
1.988. JUDGMENT AFTER DEFAULT
1.989. ORDER OF DISMISSAL FOR LACK OF PROSECUTION
1.990. FINAL JUDGMENT FOR PLAINTIFF. JURY ACTION FOR

DAMAGES
1.991. FINAL JUDGMENT FOR DEFENDANT. JURY ACTION FOR

DAMAGES
1.993. FINAL JUDGMENT FOR PLAINTIFF. GENERAL FORM. NON-

JURY
1.994. FINAL JUDGMENT FOR DEFENDANT. GENERAL FORM. NON-

JURY
1.995. FINAL JUDGMENT OF REPLEVIN
1.996(a). FINAL JUDGMENT OF FORECLOSURE
1.996(b). FINAL JUDGMENT OF FORECLOSURE FOR

REESTABLISHMENT OF LOST NOTE



1.996(c). MOTION TO CANCEL AND RESCHEDULE FORECLOSURE
SALE

1.997. CIVIL COVER SHEET
1.998. FINAL DISPOSITION FORM
1.999. ORDER DESIGNATING A CASE COMPLEX
APPENDIX I. STANDARD INTERROGATORIES FORMS
APPENDIX II. STATEWIDE UNIFORM GUIDELINES FOR TAXATION
OF COSTS IN CIVIL ACTIONS
SUBJECT INDEX






FLORIDA RULES OF CIVIL PROCEDURE
______

 Rule 1.010. 
Fla. R. Civ. P. 1.010

RULE 1.010. SCOPE AND TITLE OF RULES.
These rules apply to all actions of a civil nature and all special statutory

proceedings in the circuit courts and county courts except those to which the
Florida Probate Rules, the Florida Family Law Rules of Procedure, or the
Small Claims Rules apply. The form, content, procedure, and time for
pleading in all special statutory proceedings shall be as prescribed by the
statutes governing the proceeding unless these rules specifically provide to
the contrary. These rules shall be construed to secure the just, speedy, and
inexpensive determination of every action. These rules shall be known as the
Florida Rules of Civil Procedure and abbreviated as Fla. R. Civ. P.



 Rule 1.020. 
Fla. R. Civ. P. 1.020

RULE 1.020. PRIVACY AND COURT RECORDS.
Every pleading or other document filed with the court must comply with

Florida Rules of General Practice and Judicial Administration 2.420, Public
Access to and Protection of Judicial Branch Records and 2.425, Minimization
of the Filing of Sensitive Information.



 Rule 1.030. 
Fla. R. Civ. P. 1.030

RULE 1.030. NONVERIFICATION OF PLEADINGS.
Except when otherwise specifically provided by these rules or an

applicable statute, every pleading or other document of a party represented by
an attorney need not be verified or accompanied by an affidavit.

COMMITTEE NOTES

1976 Amendment. Subdivisions (a)-(b) have been amended to require the
addition of the filing partys telephone number on all pleadings and papers
filed.



 Rule 1.040. 
Fla. R. Civ. P. 1.040

RULE 1.040. ONE FORM OF ACTION.
There shall be one form of action to be known as civil action.



 Rule 1.050. 
Fla. R. Civ. P. 1.050

RULE 1.050. WHEN ACTION COMMENCED.
Every action of a civil nature shall be deemed commenced when the

complaint or petition is filed except that ancillary proceedings shall be
deemed commenced when the writ is issued or the pleading setting forth the
claim of the party initiating the action is filed.



 Rule 1.060. 
Fla. R. Civ. P. 1.060

RULE 1.060. TRANSFERS OF ACTIONS.
(a) Transfers of Courts. If it should appear at any time that an action is

pending in the wrong court of any county, it may be transferred to the proper
court within said county by the same method as provided in rule 1.170(j).

(b) Wrong Venue. When any action is filed laying venue in the wrong
county, the court may transfer the action in the manner provided in rule
1.170(j) to the proper court in any county where it might have been brought
in accordance with the venue statutes. When the venue might have been laid
in 2 or more counties, the person bringing the action may select the county to
which the action is transferred, but if no such selection is made, the matter
shall be determined by the court.

(c) Method. The service charge of the clerk of the court to which an action
is transferred under this rule shall be paid by the party who commenced the
action within 30 days from the date the order of transfer is entered, subject to
taxation as provided by law when the action is determined. If the service
charge is not paid within the 30 days, the action shall be dismissed without
prejudice by the court that entered the order of transfer.

COURT COMMENTARY

1984 Amendment. Because of confusion in some circuits, subdivision (c)
is added:

(a) to specify who is to pay the clerks service charge on transfer;
(b) to provide for the circumstance in which the service charge is not paid;

and
(c) to require the dismissal to be by the court which entered the order of

transfer.



 Rule 1.061. 
Fla. R. Civ. P. 1.061

RULE 1.061. CHOICE OF FORUM.
(a) Grounds for Dismissal. An action may be dismissed on the ground

that a satisfactory remedy may be more conveniently sought in a jurisdiction
other than Florida when:

(1) the trial court finds that an adequate alternate forum exists which
possesses jurisdiction over the whole case, including all of the parties;

(2) the trial court finds that all relevant factors of private interest favor
the alternate forum, weighing in the balance a strong presumption against
disturbing plaintiffs initial forum choice;

(3) if the balance of private interests is at or near equipoise, the court
further finds that factors of public interest tip the balance in favor of trial in
the alternate forum; and

(4) the trial judge ensures that plaintiffs can reinstate their suit in the
alternate forum without undue inconvenience or prejudice.
The decision to grant or deny the motion for dismissal rests in the sound
discretion of the trial court, subject to review for abuse of discretion.
(b) Stipulations in General. The parties to any action for which a

satisfactory remedy may be more conveniently sought in a jurisdiction other
than Florida may stipulate to conditions upon which a forum-non-conveniens
dismissal shall be based, subject to approval by the trial court. The decision
to accept or reject the stipulation rests in the sound discretion of the trial
court, subject to review for abuse of discretion.

A forum-non-conveniens dismissal shall not be granted unless all
defendants agree to the stipulations required by subdivision (c) and any
additional stipulations required by the court.
(c) Statutes of Limitation. In moving for forum-non-conveniens

dismissal, defendants shall be deemed to automatically stipulate that the
action will be treated in the new forum as though it had been filed in that
forum on the date it was filed in Florida, with service of process accepted as
of that date.



(d) Failure to Refile Promptly. When an action is dismissed in Florida for
forum non conveniens, plaintiffs shall automatically be deemed to stipulate
that they will lose the benefit of all stipulations made by the defendant,
including the stipulation provided in subdivision (c) of this rule, if plaintiffs
fail to file the action in the new forum within 120 days after the date the
Florida dismissal becomes final.

(e) Waiver of Automatic Stipulations. Upon unanimous agreement, the
parties may waive the conditions provided in subdivision (c) or (d), or both,
only when they demonstrate and the trial court finds a compelling reason for
the waiver. The decision to accept or reject the waiver shall not be disturbed
on review if supported by competent, substantial evidence.

(f) Reduction to Writing. The parties shall reduce their stipulation to a
writing signed by them, which shall include all stipulations provided by this
rule and which shall be deemed incorporated by reference in any subsequent
order of dismissal.

(g) Time for Moving for Dismissal. A motion to dismiss based on forum
non conveniens shall be served not later than 60 days after service of process
on the moving party.

(h) Retention of Jurisdiction. The court shall retain jurisdiction after the
dismissal to enforce its order of dismissal and any conditions and stipulations
in the order.

COMMITTEE NOTES

2000 Amendment. Subdivision (a)(1) is amended to clarify that the
alternative forum other than Florida must have jurisdiction over all of the
parties for the trial court to grant a dismissal based on forum non conveniens.

Subdivision (b) is amended to clarify that all of the defendants, not just the
moving defendant, must agree to the stipulations required by subdivision (c)
as well as any additional stipulations required by the trial court before an
action may be dismissed based on forum non conveniens.

Subdivision (g) is added to require that a motion to dismiss based on forum
non conveniens be served not later than 60 days after service of process on
the moving party.



Subdivision (h) is added to require the court to retain jurisdiction over the
action after the dismissal for purposes of enforcing its order of dismissal and
any conditions and stipulations contained in the order.

COURT COMMENTARY

This section was added to elaborate on Floridas adoption of the federal
doctrine of forum non conveniens in Kinney System, Inc. v. Continental
Insurance Co, 674 So.2d 86 (Fla. 1996), and it should be interpreted in light
of that opinion.

Subdivision (a) codifies the federal standard for reviewing motions filed
under the forum-non-conveniens doctrine. Orders granting or denying
dismissal for forum non conveniens are subject to appellate review under an
abuse-of-discretion standard.

As stated in Kinney, the phrase private interests means adequate access
to evidence and relevant sites, adequate access to witnesses, adequate
enforcement of judgments, and the practicalities and expenses associated with
the litigation. Private interests do not involve consideration of the availability
or unavailability of advantageous legal theories, a history of generous or
stingy damage awards, or procedural nuances that may affect outcomes but
that do not effectively deprive the plaintiff of any remedy.

Equipoise means that the advantages and disadvantages of the alternative
forum will not significantly undermine or favor the private interests of any
particular party, as compared with the forum in which suit was filed.

Public interests are the ability of courts to protect their dockets from
causes that lack significant connection to the jurisdiction; the ability of courts
to encourage trial of controversies in the localities in which they arise; and
the ability of courts to consider their familiarity with governing law when
deciding whether to retain jurisdiction over a case. Even when the private
conveniences of the litigants are nearly in balance, a trial court has discretion
to grant a forum-non-conveniens dismissal upon finding that retention of
jurisdiction would be unduly burdensome to the community, that there is
little or no public interest in the dispute, or that foreign law will predominate
if jurisdiction is retained.

Subdivision (b) provides that the parties can stipulate to conditions of a



forum-non-conveniens dismissal, subject to the trial courts approval. The
trial courts acceptance or rejection of the stipulation is subject to appellate
review under an abuse-of-discretion standard.

Subdivisions (c) and (d) provide automatic conditions that shall be deemed
included in every forum-non-conveniens dismissal. The purpose underlying
subdivision (c) is to ensure that any statute of limitation in the new forum is
applied as though the action had been filed in that forum on the date it was
filed in Florida. The purpose underlying subdivision (d) is to ensure that the
action is promptly refiled in the new forum. Both of these stipulations are
deemed to be a part of every stipulation that does not expressly state
otherwise, subject to the qualification provided in subdivision (e).

Subdivision (e) recognizes that there may be extraordinary conditions
associated with the new forum that would require the waiver of the
conditions provided in subdivisions (c) and (d). Waivers should be granted
sparingly. Thus, the parties by unanimous consent may stipulate to waive
those conditions only upon showing a compelling reason to the trial court.
The trial courts acceptance or rejection of the waiver may not be reversed on
appeal where supported by competent, substantial evidence.

Subdivision (f) requires the parties to reduce their stipulation to written
form, which the parties must sign. When and if the trial court accepts the
stipulation, the parties agreement then is treated as though it were
incorporated by reference in the trial courts order of dismissal. To avoid
confusion, the parties shall include the automatic stipulations provided by
subdivisions (c) and (d) of this rule, unless the latter are properly waived
under subdivision (e). However, the failure to include these automatic
conditions in the stipulation does not waive them unless the dismissing court
has expressly so ruled.



 Rule 1.070. 
Fla. R. Civ. P. 1.070

RULE 1.070. PROCESS.
(a) Summons; Issuance. Upon the commencement of the action,

summons or other process authorized by law shall be issued forthwith by the
clerk or judge under the clerks or the judges signature and the seal of the
court and delivered for service without praecipe.

(b) Service; By Whom Made. Service of process may be made by an
officer authorized by law to serve process, but the court may appoint any
competent person not interested in the action to serve the process. When so
appointed, the person serving process shall make proof of service by affidavit
promptly and in any event within the time during which the person served
must respond to the process. Failure to make proof of service shall not affect
the validity of the service. When any process is returned not executed or
returned improperly executed for any defendant, the party causing its
issuance shall be entitled to such additional process against the unserved
party as is required to effect service.

(c) Service; Numerous Defendants. If there is more than 1 defendant, the
clerk or judge shall issue as many writs of process against the several
defendants as may be directed by the plaintiff or the plaintiffs attorney.

(d) Service by Publication. Service of process by publication may be
made as provided by statute.

(e) Copies of Initial Pleading for Persons Served. At the time of personal
service of process a copy of the initial pleading shall be delivered to the party
upon whom service is made. The date and hour of service shall be endorsed
on the original process and all copies of it by the person making the service.
The party seeking to effect personal service shall furnish the person making
service with the necessary copies. When the service is made by publication,
copies of the initial pleadings shall be furnished to the clerk and mailed by
the clerk with the notice of action to all parties whose addresses are stated in
the initial pleading or sworn statement.

(f) Service of Orders. If personal service of a court order is to be made,
the original order shall be filed with the clerk, who shall certify or verify a
copy of it without charge. The person making service shall use the certified



copy instead of the original order in the same manner as original process in
making service.

(g) Fees; Service of Pleadings. The statutory compensation for making
service shall not be increased by the simultaneous delivery or mailing of the
copy of the initial pleading in conformity with this rule.

(h) Pleading Basis. When service of process is to be made under statutes
authorizing service on nonresidents of Florida, it is sufficient to plead the
basis for service in the language of the statute without pleading the facts
supporting service.

(i) Service of Process by Mail. A defendant may accept service of process
by mail.

(1) Acceptance of service of a complaint by mail does not thereby waive
any objection to the venue or to the jurisdiction of the court over the
person of the defendant.

(2) A plaintiff may notify any defendant of the commencement of the
action and request that the defendant waive service of a summons. The
notice and request shall:

(A) be in writing and be addressed directly to the defendant, if an
individual, or to an officer or managing or general agent of the
defendant or other agent authorized by appointment or law to receive
service of process;

(B) be dispatched by certified mail, return receipt requested;
(C) be accompanied by a copy of the complaint and shall identify the

court in which it has been filed;
(D) inform the defendant of the consequences of compliance and of

failure to comply with the request;
(E) state the date on which the request is sent;
(F) allow the defendant 20 days from the date on which the request is

received to return the waiver, or, if the address of the defendant is
outside of the United States, 30 days from the date on which it is
received to return the waiver; and

(G) provide the defendant with an extra copy of the notice and



request, including the waiver, as well as a prepaid means of compliance
in writing.
(3) If a defendant fails to comply with a request for waiver within the

time provided herein, the court shall impose the costs subsequently
incurred in effecting service on the defendant unless good cause for the
failure is shown.

(4) A defendant who, before being served with process, timely returns a
waiver so requested is not required to respond to the complaint until 60
days after the date the defendant received the request for waiver of service.
For purposes of computing any time prescribed or allowed by these rules,
service of process shall be deemed effected 20 days before the time
required to respond to the complaint.

(5) When the plaintiff files a waiver of service with the court, the action
shall proceed, except as provided in subdivision (4) above, as if a
summons and complaint had been served at the time of filing the waiver,
and no further proof of service shall be required.
(j) Summons; Time Limit. If service of the initial process and initial

pleading is not made upon a defendant within 120 days after filing of the
initial pleading directed to that defendant the court, on its own initiative after
notice or on motion, shall direct that service be effected within a specified
time or shall dismiss the action without prejudice or drop that defendant as a
party; provided that if the plaintiff shows good cause or excusable neglect for
the failure, the court shall extend the time for service for an appropriate
period. When a motion for leave to amend with the attached proposed
amended complaint is filed, the 120-day period for service of amended
complaints on the new party or parties shall begin upon the entry of an order
granting leave to amend. A dismissal under this subdivision shall not be
considered a voluntary dismissal or operate as an adjudication on the merits
under rule 1.420(a)(1).

COMMITTEE NOTES

1971 Amendment. Subdivisions (f), (g), and (h) of the existing rule are
combined because they deal with the same subject matter. The notice of
suit is changed to notice of action to comply with the statutory change in
1967. Subdivision (g) is new and provides for substitution of a certified or



verified copy of a court order that must be served. The original is to be filed
with the clerk and not removed. Subdivision (i) is relettered to (h).

1972 Amendment. Subdivision (a) is amended to require the officer
issuing the process to sign it and place the court seal on it. This was required
by former section 47.04, Florida Statutes, and is essential to the validity of
process. When the statute was repealed these procedural requirements were
omitted and inadvertently not included in the rule. Subdivision (b) is changed
to eliminate the predicate for court appointment of a person to make service
of process. This makes the rule more flexible and permits the court to appoint
someone to make service at any appropriate time.

1980 Amendment. Subdivision (i) is added to eliminate pleading
evidentiary facts for long arm service of process. It is based on the long
standing principle in service by publication that pleading the basis for service
is sufficient if it is done in the language of the statute. See McDaniel v.
McElvy, 91 Fla. 770, 108 So. 820 (1926). Confusion has been generated in
the decisions under the long arm statute. See Wm. E. Strasser Construction
Corp. v. Linn, 97 So. 2d 458 (Fla. 1957); Hartman Agency, Inc. v. Indiana
Farmers Mutual Insurance Co., 353 So. 2d 665 (Fla. 2d DCA 1978); and
Drake v. Scharlau, 353 So. 2d 961 (Fla. 2d DCA 1978). The amendment is
not intended to change the distinction between pleading and proof as
enunciated in Elmex Corp. v. Atlantic Federal Savings & Loan Association of
Fort Lauderdale, 325 So. 2d 58 (Fla. 4th DCA 1976). It is intended to
eliminate the necessity of pleading evidentiary facts as well as those of
pecuniary benefit that were used in the Elmex case. The amendment is
limited to pleading. If the statutory allegations are attacked by motion, the
pleader must then prove the evidentiary facts to support the statutory
requirements. If denied in a pleading, the allegations must be proved at trial.
Otherwise, the allegations will be admitted under rule 1.110(e).

1988 Amendment. Subdivision (j) has been added to require plaintiffs to
cause service of original summons within 120 days of filing the complaint
absent good cause of further delay.

1992 Amendment. Subdivision (d) is repealed because the reason for the
rule ceased when process was permitted to run beyond county boundaries.
The amendment to subdivision (j) (redesignated as (i)) is intended to clarify
that a dismissal under this subdivision is not to be considered as an



adjudication on the merits under rule 1.420(a)(1) of these rules.
1996 Amendment. Subdivision (i) is added to provide some formality to

the practice of requesting waiver of service of process by a sheriff or person
appointed to serve papers or by publication. The committee intends that only
the manner of service will be waived by this procedure. By accepting service
pursuant to this rule, the defendant will not waive any objection to venue or
jurisdiction over the person or admit to the sufficiency of the pleadings or to
allegations with regard to long-arm or personal jurisdiction. For example,
service of process would be void should a motion to dismiss be granted
because the complaint did not allege the basis for long-arm jurisdiction over a
nonresident defendant. City Contract Bus Service, Inc. v. H.E. Woody, 515
So. 2d 1354 (Fla. 1st DCA 1987). Under such circumstances, the defendant
must be served pursuant to law or again waive service pursuant to this rule.
Subdivision (i)(2)(F) allows the defendant twenty days from receipt (or thirty
days if the defendant is outside of the United States) to return the waiver.
Accordingly, the committee intends that the waiver be received by the
plaintiff or the plaintiffs attorney by the twentieth day (or the thirtieth day if
the defendant is outside of the United States). The former subdivision (i) has
been redesignated as subdivision (j). Form 1.902 may be used to give notice
of an action and request waiver of process pursuant to this rule.

2003 Amendment. Subdivision (j) is amended in accordance with Totura
& Co., Inc. v. Williams, 754 So. 2d 671 (Fla. 2000). See the amendment to
rule 1.190(a).



 Rule 1.071. 
Fla. R. Civ. P. 1.071

RULE 1.071. CONSTITUTIONAL CHALLENGE TO STATE
STATUTE OR COUNTY OR MUNICIPAL CHARTER,
ORDINANCE, OR FRANCHISE; NOTICE BY PARTY.

A party that files a pleading, written motion, or other document drawing
into question the constitutionality of a state statute or a county or municipal
charter, ordinance, or franchise must promptly

(a) file a notice of constitutional question stating the question and
identifying the document that raises it; and

(b) serve the notice and the pleading, written motion, or other document
drawing into question the constitutionality of a state statute or a county or
municipal charter, ordinance, or franchise on the Attorney General or the
state attorney of the judicial circuit in which the action is pending, by either
certified or registered mail.

Service of the notice and pleading, written motion, or other document does
not require joinder of the Attorney General or the state attorney as a party
to the action.

COMMITTEE NOTES

2010 Adoption. This rule clarifies that, with respect to challenges to a
state statute or municipal charter, ordinance, or franchise, service of the
notice does not require joinder of the Attorney General or the state attorney
as a party to the action; however, consistent with section 86.091, Florida
Statutes, the Florida Attorney General or applicable state attorney has the
discretion to participate and be heard on matters affecting the
constitutionality of a statute. See, e.g., Mayo v. National Truck Brokers, Inc.,
220 So. 2d 11 (Fla. 1969); State ex rel. Shevin v. Kerwin, 279 So. 2d 836
(Fla. 1973) (Attorney General may choose to participate in appeal even
though he was not required to be a party at the trial court). The rule imposes a
new requirement that the party challenging the statute, charter, ordinance, or
franchise file verification with the court of compliance with section 86.091,
Florida Statutes. See form 1.975.



 Rule 1.080. 
Fla. R. Civ. P. 1.080

RULE 1.080. SERVICE AND FILING OF PLEADINGS, ORDERS,
AND DOCUMENTS.

(a) Service. Every pleading subsequent to the initial pleading, all orders,
and every other document filed or required by statute or rule to be served in
the action must be served in conformity with the requirements of Florida
Rule of General Practice and Judicial Administration 2.516.

(b) Filing. All documents shall be filed in conformity with the
requirements of Florida Rule of Judicial Administration 2.525.

(c) Writing and written defined. Writing or written means a document
containing information, an application, or a stipulation.



 Rule 1.090. 
Fla. R. Civ. P. 1.090

RULE 1.090. TIME.
(a) Computation. Computation of time shall be governed by Florida Rule

of General Practice and Judicial Administration 2.514.
(b) Enlargement.

(1) In General. When an act is required or allowed to be done at or
within a specified time by order of court, by these rules, or by notice given
thereunder, for cause shown the court at any time in its discretion:

(A) with or without notice, may order the period enlarged if request
therefor is made before the expiration of the period originally prescribed
or as extended by a previous order, or

(B) upon motion made and notice after the expiration of the specified
period, may permit the act to be done when failure to act was the result
of excusable neglect.
(2) Exceptions. The court may not extend the time for making a motion

for new trial, for rehearing, or to alter or amend a judgment; making a
motion for relief from a judgment under rule 1.540(b); taking an appeal or
filing a petition for certiorari; or making a motion for a directed verdict.
(c) Unaffected by Expiration of Term. The period of time provided for

the doing of any act or the taking of any proceeding shall not be affected or
limited by the continued existence or expiration of a term of court. The
continued existence or expiration of a term of court in no way affects the
power of a court to do any act or take any proceeding in any action which is
or has been pending before it.

(d) For Motions. A copy of any written motion which may not be heard ex
parte and a copy of the notice of the hearing thereof shall be served a
reasonable time before the time specified for the hearing.



 Rule 1.100. 
Fla. R. Civ. P. 1.100

RULE 1.100. PLEADINGS AND MOTIONS.
(a) Pleadings. There must be a complaint or, when so designated by a

statute or rule, a petition, and an answer to it; an answer to a counterclaim
denominated as such; an answer to a crossclaim if the answer contains a
crossclaim; a third-party complaint if a person who was not an original party
is summoned as a third-party defendant; and a third-party answer if a third-
party complaint is served. If an answer or third-party answer contains an
affirmative defense and the opposing party seeks to avoid it, the opposing
party must file a reply containing the avoidance. No other pleadings will be
allowed.

(b) Motions. An application to the court for an order must be by motion
which must be made in writing unless made during a hearing or trial, must
state with particularity the grounds for it, and must set forth the relief or order
sought. The requirement of writing is fulfilled if the motion is stated in a
written notice of the hearing of the motion. All notices of hearing must
specify each motion or other matter to be heard.

(c) Caption.
(1) Every pleading must have a caption containing the name of all of the

parties, the name of the court, the file number, and a designation
identifying the party filing it.

(2) Every motion, order, judgment, or other document must have a
caption containing the name of the court, the case number, the name of the
first party on each side with an appropriate indication of other parties, and
a designation identifying the party filing it and its nature or the nature of
the order, as the case may be.

(3) In any in rem proceeding, every pleading, motion, order, judgment,
or other document must have a caption containing the name of the court,
the case number, the style In re (followed by the name or general
description of the property), and a designation of the person or entity filing
it and its nature or the nature of the order, as the case may be.

(4) In an in rem forfeiture proceeding, the style must be In re forfeiture



of (followed by the name or general description of the property).
(5) All documents filed in the action must be styled in such a manner as

to indicate clearly the subject matter of the document and the party
requesting or obtaining relief.
(d) Civil Cover Sheet. A civil cover sheet (form 1.997) must be completed

and filed with the clerk at the time an initial complaint or petition is filed by
the party initiating the action. If the cover sheet is not filed, the clerk must
accept the complaint or petition for filing; but all proceedings in the action
must be abated until a properly executed cover sheet is completed and filed.
The clerk must complete the civil cover sheet for a party appearing pro se.

(e) Motion in Lieu of Scire Facias. Any relief available by scire facias
may be granted on motion after notice without the issuance of a writ of scire
facias.

COMMITTEE NOTES

1971 Amendment. The change requires a more complete designation of
the document that is filed so that it may be more rapidly identified. It also
specifies the applicability of the subdivision to all of the various documents
that can be filed. For example, a motion to dismiss should now be entitled
defendants motion to dismiss the complaint rather than merely motion
or motion to dismiss.

1972 Amendment. Subdivision (a) is amended to make a reply mandatory
when a party seeks to avoid an affirmative defense in an answer or third-party
answer. It is intended to eliminate thereby the problems exemplified by
Tuggle v. Maddox, 60 So. 2d 158 (Fla. 1952), and Dickerson v. Orange State
Oil Co., 123 So. 2d 562 (Fla. 2d DCA 1960).

1992 Amendment. Subdivision (b) is amended to require all notices of
hearing to specify the motions or other matters to be heard.

2010 Amendment. Subdivision (c) is amended to address separately the
caption for in rem proceedings, including in rem forfeiture proceedings.

2016 Amendment. Subdivision (c) is amended to address the naming of
parties in pleadings and amended pleadings similarly to Federal Rule of Civil
Procedure 10(a). Subdivision (c)(2) on Civil Cover Sheets is moved to



subdivision (d), and subdivision (c)(3) on Final Disposition Forms is moved
to new rule 1.545.



 Rule 1.110. 
Fla. R. Civ. P. 1.110

RULE 1.110. GENERAL RULES OF PLEADING.
(a) Forms of Pleadings. Forms of action and technical forms for seeking

relief and of pleas, pleadings, or motions are abolished.
(b) Claims for Relief. A pleading which sets forth a claim for relief,

whether an original claim, counterclaim, crossclaim, or third-party claim,
must state a cause of action and shall contain (1) a short and plain statement
of the grounds upon which the courts jurisdiction depends, unless the court
already has jurisdiction and the claim needs no new grounds of jurisdiction to
support it, (2) a short and plain statement of the ultimate facts showing that
the pleader is entitled to relief, and (3) a demand for judgment for the relief to
which the pleader deems himself or herself entitled. Relief in the alternative
or of several different types may be demanded. Every complaint shall be
considered to demand general relief.

(c) The Answer. In the answer a pleader shall state in short and plain
terms the pleaders defenses to each claim asserted and shall admit or deny
the averments on which the adverse party relies. If the defendant is without
knowledge, the defendant shall so state and such statement shall operate as a
denial. Denial shall fairly meet the substance of the averments denied. When
a pleader intends in good faith to deny only a part of an averment, the pleader
shall specify so much of it as is true and shall deny the remainder. Unless the
pleader intends in good faith to controvert all of the averments of the
preceding pleading, the pleader may make denials as specific denials of
designated averments or may generally deny all of the averments except such
designated averments as the pleader expressly admits, but when the pleader
does so intend to controvert all of its averments, including averments of the
grounds upon which the courts jurisdiction depends, the pleader may do so
by general denial.

(d) Affirmative Defenses. In pleading to a preceding pleading a party
shall set forth affirmatively accord and satisfaction, arbitration and award,
assumption of risk, contributory negligence, discharge in bankruptcy, duress,
estoppel, failure of consideration, fraud, illegality, injury by fellow servant,
laches, license, payment, release, res judicata, statute of frauds, statute of



limitations, waiver, and any other matter constituting an avoidance or
affirmative defense. When a party has mistakenly designated a defense as a
counterclaim or a counterclaim as a defense, the court, on terms if justice so
requires, shall treat the pleading as if there had been a proper designation.
Affirmative defenses appearing on the face of a prior pleading may be
asserted as grounds for a motion or defense under rule 1.140(b); provided this
shall not limit amendments under rule 1.190 even if such ground is sustained.

(e) Effect of Failure to Deny. Averments in a pleading to which a
responsive pleading is required, other than those as to the amount of
damages, are admitted when not denied in the responsive pleading.
Averments in a pleading to which no responsive pleading is required or
permitted shall be taken as denied or avoided.

(f) Separate Statements. All averments of claim or defense shall be made
in consecutively numbered paragraphs, the contents of each of which shall be
limited as far as practicable to a statement of a single set of circumstances,
and a paragraph may be referred to by number in all subsequent pleadings.
Each claim founded upon a separate transaction or occurrence and each
defense other than denials shall be stated in a separate count or defense when
a separation facilitates the clear presentation of the matter set forth.

(g) Joinder of Causes of Action; Consistency. A pleader may set up in
the same action as many claims or causes of action or defenses in the same
right as the pleader has, and claims for relief may be stated in the alternative
if separate items make up the cause of action, or if 2 or more causes of action
are joined. A party may also set forth 2 or more statements of a claim or
defense alternatively, either in 1 count or defense or in separate counts or
defenses. When 2 or more statements are made in the alternative and 1 of
them, if made independently, would be sufficient, the pleading is not made
insufficient by the insufficiency of 1 or more of the alternative statements. A
party may also state as many separate claims or defenses as that party has,
regardless of consistency and whether based on legal or equitable grounds or
both. All pleadings shall be construed so as to do substantial justice.

(h) Subsequent Pleadings. When the nature of an action permits pleadings
subsequent to final judgment and the jurisdiction of the court over the parties
has not terminated, the initial pleading subsequent to final judgment shall be
designated a supplemental complaint or petition. The action shall then



proceed in the same manner and time as though the supplemental complaint
or petition were the initial pleading in the action, including the issuance of
any needed process. This subdivision shall not apply to proceedings that may
be initiated by motion under these rules.

COMMITTEE NOTES

1971 Amendment. Subdivision (h) is added to cover a situation usually
arising in divorce judgment modifications, supplemental declaratory relief
actions, or trust supervision. When any subsequent proceeding results in a
pleading in the strict technical sense under rule 1.100(a), response by
opposing parties will follow the same course as though the new pleading
were the initial pleading in the action. The time for answering and authority
for defenses under rule 1.140 will apply. The last sentence exempts post
judgment motions under rules 1.480(c), 1.530, and 1.540, and similar
proceedings from its purview.

2014 Amendment. The last two paragraphs of rule 1.110(b) regarding
pleading requirements for certain mortgage foreclosure actions were deleted
and incorporated in new rule 1.115.



 Rule 1.115. 
Fla. R. Civ. P. 1.115

RULE 1.115. PLEADING MORTGAGE FORECLOSURES.
(a) Claim for Relief. A claim for relief that seeks to foreclose a mortgage

or other lien which secures a promissory note on residential real property,
including individual units of condominiums and cooperatives designed
principally for occupation by one to four families, must: (1) contain
affirmative allegations expressly made by the claimant at the time the
proceeding is commenced that the claimant is the holder of the original note
secured by the mortgage; or (2) allege with specificity the factual basis by
which the claimant is a person entitled to enforce the note under section
673.3011, Florida Statutes.

(b) Delegated Claim for Relief. If a claimant has been delegated the
authority to institute a mortgage foreclosure action on behalf of the person
entitled to enforce the note, the claim for relief shall describe the authority of
the claimant and identify with specificity the document that grants the
claimant the authority to act on behalf of the person entitled to enforce the
note. The term original note or original promissory note means the
signed or executed promissory note rather than a copy of it. The term
includes any renewal, replacement, consolidation, or amended and restated
note or instrument given in renewal, replacement, or substitution for a
previous promissory note. The term also includes a transferrable record, as
defined by the Uniform Electronic Transaction Act in section 668.50(16),
Florida Statutes.

(c) Possession of Original Promissory Note. If the claimant is in
possession of the original promissory note, the claimant must file under
penalty of perjury a certification contemporaneously with the filing of the
claim for relief for foreclosure that the claimant is in possession of the
original promissory note. The certification must set forth the location of the
note, the name and title of the individual giving the certification, the name of
the person who personally verified such possession, and the time and date on
which the possession was verified. Correct copies of the note and all allonges
to the note must be attached to the certification. The original note and the
allonges must be filed with the court before the entry of any judgment of
foreclosure or judgment on the note.



(d) Lost, Destroyed, or Stolen Instrument. If the claimant seeks to
enforce a lost, destroyed, or stolen instrument, an affidavit executed under
penalty of perjury must be attached to the claim for relief. The affidavit must:
(1) detail a clear chain of all endorsements, transfers, or assignments of the
promissory note that is the subject of the action; (2) set forth facts showing
that the claimant is entitled to enforce a lost, destroyed, or stolen instrument
pursuant to section 673.3091, Florida Statutes; and (3) include as exhibits to
the affidavit such copies of the note and the allonges to the note, audit reports
showing receipt of the original note, or other evidence of the acquisition,
ownership, and possession of the note as may be available to the claimant.
Adequate protection as required and identified under sections 673.3091(2)
and 702.11(1), Florida Statutes, shall be provided before the entry of final
judgment.

(e) Verification. When filing an action for foreclosure on a mortgage for
residential real property the claim for relief shall be verified by the claimant
seeking to foreclose the mortgage. When verification of a document is
required, the document filed shall include an oath, affirmation, or the
following statement:

Under penalties of perjury, I declare that I have read the foregoing, and
the facts alleged therein are true and correct to the best of my knowledge and
belief.



 Rule 1.120. 
Fla. R. Civ. P. 1.120

RULE 1.120. PLEADING SPECIAL MATTERS.
(a) Capacity. It is not necessary to aver the capacity of a party to sue or be

sued, the authority of a party to sue or be sued in a representative capacity, or
the legal existence of an organized association of persons that is made a
party, except to the extent required to show the jurisdiction of the court. The
initial pleading served on behalf of a minor party shall specifically aver the
age of the minor party. When a party desires to raise an issue as to the legal
existence of any party, the capacity of any party to sue or be sued, or the
authority of a party to sue or be sued in a representative capacity, that party
shall do so by specific negative averment which shall include such supporting
particulars as are peculiarly within the pleaders knowledge.

(b) Fraud, Mistake, Condition of the Mind. In all averments of fraud or
mistake, the circumstances constituting fraud or mistake shall be stated with
such particularity as the circumstances may permit. Malice, intent,
knowledge, mental attitude, and other condition of mind of a person may be
averred generally.

(c) Conditions Precedent. In pleading the performance or occurrence of
conditions precedent, it is sufficient to aver generally that all conditions
precedent have been performed or have occurred. A denial of performance or
occurrence shall be made specifically and with particularity.

(d) Official Document or Act. In pleading an official document or official
act it is sufficient to aver that the document was issued or the act done in
compliance with law.

(e) Judgment or Decree. In pleading a judgment or decree of a domestic
or foreign court, a judicial or quasi-judicial tribunal, or a board or officer, it is
sufficient to aver the judgment or decree without setting forth matter showing
jurisdiction to render it.

(f) Time and Place. For the purpose of testing the sufficiency of a
pleading, averments of time and place are material and shall be considered
like all other averments of material matter.

(g) Special Damage. When items of special damage are claimed, they



shall be specifically stated.



 Rule 1.130. 
Fla. R. Civ. P. 1.130

RULE 1.130. ATTACHING COPY OF CAUSE OF ACTION AND
EXHIBITS.

(a) Instruments Attached. All bonds, notes, bills of exchange, contracts,
accounts, or documents on which action may be brought or defense made, or
a copy thereof or a copy of the portions thereof material to the pleadings,
must be incorporated in or attached to the pleading. No documents shall be
unnecessarily annexed as exhibits. The pleadings must contain no
unnecessary recitals of deeds, documents, contracts, or other instruments.

(b) Part for All Purposes. Any exhibit attached to a pleading must be
considered a part thereof for all purposes. Statements in a pleading may be
adopted by reference in a different part of the same pleading, in another
pleading, or in any motion.



 Rule 1.140. 
Fla. R. Civ. P. 1.140

RULE 1.140. DEFENSES.
(a) When Presented.

(1) Unless a different time is prescribed in a statute of Florida, a
defendant must serve an answer within 20 days after service of original
process and the initial pleading on the defendant, or not later than the date
fixed in a notice by publication. A party served with a pleading stating a
crossclaim against that party must serve an answer to it within 20 days
after service on that party. The plaintiff must serve an answer to a
counterclaim within 20 days after service of the counterclaim. If a reply is
required, the reply must be served within 20 days after service of the
answer.
(2)(A) Except when sued pursuant to section 768.28, Florida Statutes, the
state of Florida, an agency of the state, or an officer or employee of the
state sued in an official capacity must serve an answer to the complaint or
crossclaim, or a reply to a counterclaim, within 40 days after service.

(B) When sued pursuant to section 768.28, Florida Statutes, the
Department of Financial Services or the defendant state agency has 30
days from the date of service within which to serve an answer to the
complaint or crossclaim or a reply to a counterclaim.
(3) The service of a motion under this rule, except a motion for

judgment on the pleadings or a motion to strike under subdivision (f),
alters these periods of time so that if the court denies the motion or
postpones its disposition until the trial on the merits, the responsive
pleadings must be served within 10 days after the filing of the courts order
or, if the court grants a motion for a more definite statement, the
responsive pleadings must be served within 10 days after service of the
more definite statement unless a different time is fixed by the court in
either case.

(4) If the court permits or requires an amended or responsive pleading or
a more definite statement, the pleading or statement must be served within
10 days after the filing of the courts order unless a different time is fixed
by the court. Responses to the pleadings or statements must be served



within 10 days of service of the pleadings or statements.
(b) How Presented. Every defense in law or fact to a claim for relief in a

pleading must be asserted in the responsive pleading, if one is required, but
the following defenses may be made by motion at the option of the pleader:
(1) lack of jurisdiction over the subject matter, (2) lack of jurisdiction over
the person, (3) improper venue, (4) insufficiency of process, (5) insufficiency
of service of process, (6) failure to state a cause of action, and (7) failure to
join indispensable parties. A motion making any of these defenses must be
made before pleading if a further pleading is permitted. The grounds on
which any of the enumerated defenses are based and the substantial matters
of law intended to be argued must be stated specifically and with particularity
in the responsive pleading or motion. Any ground not stated must be deemed
to be waived except any ground showing that the court lacks jurisdiction of
the subject matter may be made at any time. No defense or objection is
waived by being joined with other defenses or objections in a responsive
pleading or motion. If a pleading sets forth a claim for relief to which the
adverse party is not required to serve a responsive pleading, the adverse party
may assert any defense in law or fact to that claim for relief at the trial,
except that the objection of failure to state a legal defense in an answer or
reply must be asserted by motion to strike the defense within 20 days after
service of the answer or reply.

(c) Motion for Judgment on the Pleadings. After the pleadings are
closed, but within such time as not to delay the trial, any party may move for
judgment on the pleadings.

(d) Preliminary Hearings. The defenses 1 to 7 in subdivision (b) of this
rule, whether made in a pleading or by motion, and the motion for judgment
in subdivision (c) of this rule must be heard and determined before trial on
application of any party unless the court orders that the hearing and
determination must be deferred until the trial.

(e) Motion for More Definite Statement. If a pleading to which a
responsive pleading is permitted is so vague or ambiguous that a party cannot
reasonably be required to frame a responsive pleading, that party may move
for a more definite statement before interposing a responsive pleading. The
motion must point out the defects complained of and the details desired. If
the motion is granted and the order of the court is not obeyed within 10 days



after the filing of the order or such other time as the court may fix, the court
may strike the pleading to which the motion was directed or make such order
as it deems just.

(f) Motion to Strike. A party may move to strike or the court may strike
redundant, immaterial, impertinent, or scandalous matter from any pleading
at any time.

(g) Consolidation of Defenses. A party who makes a motion under this
rule may join with it the other motions herein provided for and then available
to that party. If a party makes a motion under this rule but omits from it any
defenses or objections then available to that party that this rule permits to be
raised by motion, that party shall not thereafter make a motion based on any
of the defenses or objections omitted, except as provided in subdivision (h)
(2) of this rule.

(h) Waiver of Defenses.
(1) A party waives all defenses and objections that the party does not

present either by motion under subdivisions (b), (e), or (f) of this rule or, if
the party has made no motion, in a responsive pleading except as provided
in subdivision (h)(2).

(2) The defenses of failure to state a cause of action or a legal defense or
to join an indispensable party may be raised by motion for judgment on the
pleadings or at the trial on the merits in addition to being raised either in a
motion under subdivision (b) or in the answer or reply. The defense of lack
of jurisdiction of the subject matter may be raised at any time.

COMMITTEE NOTES

1972 Amendment. Subdivision (a) is amended to eliminate the
unnecessary statement of the return date when service is made by publication,
and to accommodate the change proposed in rule 1.100(a) making a reply
mandatory under certain circumstances. Motions to strike under subdivision
(f) are divided into 2 categories, so subdivision (a) is also amended to
accommodate this change by eliminating motions to strike under the new
subdivision (f) as motions that toll the running of time. A motion to strike an
insufficient legal defense will now be available under subdivision (b) and
continue to toll the time for responsive pleading. Subdivision (b) is amended



to include the defense of failure to state a sufficient legal defense. The proper
method of attack for failure to state a legal defense remains a motion to
strike. Subdivision (f) is changed to accommodate the 2 types of motions to
strike. The motion to strike an insufficient legal defense is now in subdivision
(b). The motion to strike under subdivision (f) does not toll the time for
responsive pleading and can be made at any time, and the matter can be
stricken by the court on its initiative at any time. Subdivision (g) follows the
terminology of Federal Rule of Civil Procedure 12(g). Much difficulty has
been experienced in the application of this and the succeeding subdivision
with the result that the same defenses are being raised several times in an
action. The intent of the rule is to permit the defenses to be raised one time,
either by motion or by the responsive pleading, and thereafter only by motion
for judgment on the pleadings or at the trial. Subdivision (h) also reflects this
philosophy. It is based on federal rule 12(h) but more clearly states the
purpose of the rule.

1988 Amendment. The amendment to subdivision (a) is to fix a time
within which amended pleadings, responsive pleadings, or more definite
statements required by the court and responses to those pleadings or
statements must be served when no time limit is fixed by the court in its
order. The courts authority to alter these time periods is contained in rule
1.090(b).

2007 Amendment. Subdivision (a) is amended to conform rule 1.140 to
the statutory requirements of sections 48.111, 48.121, and 768.28, Florida
Statutes. The rule is similar to Federal Rule of Civil Procedure 12(a).



 Rule 1.150. 
Fla. R. Civ. P. 1.150

RULE 1.150. SHAM PLEADINGS.
(a) Motion to Strike. If a party deems any pleading or part thereof filed by

another party to be a sham, that party may move to strike the pleading or part
thereof before the cause is set for trial and the court shall hear the motion,
taking evidence of the respective parties, and if the motion is sustained, the
pleading to which the motion is directed shall be stricken. Default and
summary judgment on the merits may be entered in the discretion of the court
or the court may permit additional pleadings to be filed for good cause
shown.

(b) Contents of Motion. The motion to strike shall be verified and shall
set forth fully the facts on which the movant relies and may be supported by
affidavit. No traverse of the motion shall be required.



 Rule 1.160. 
Fla. R. Civ. P. 1.160

RULE 1.160. MOTIONS.
All motions and applications in the clerks office for the issuance of mesne

process and final process to enforce and execute judgments, for entering
defaults, and for such other proceedings in the clerks office as do not require
an order of court shall be deemed motions and applications grantable as of
course by the clerk. The clerks action may be suspended or altered or
rescinded by the court upon cause shown.



 Rule 1.170. 
Fla. R. Civ. P. 1.170

RULE 1.170. COUNTERCLAIMS AND CROSSCLAIMS.
(a) Compulsory Counterclaims. A pleading must state as a counterclaim

any claim which at the time of serving the pleading the pleader has against
any opposing party, provided it arises out of the transaction or occurrence
that is the subject matter of the opposing partys claim and does not require
for its adjudication the presence of third parties over whom the court cannot
acquire jurisdiction. But the pleader need not state a claim if (1) at the time
the action was commenced the claim was the subject of another pending
action, or (2) the opposing party brought suit on that partys claim by
attachment or other process by which the court did not acquire jurisdiction to
render a personal judgment on the claim and the pleader is not stating a
counterclaim under this rule.

(b) Permissive Counterclaim. A pleading may state as a counterclaim any
claim against an opposing party not arising out of the transaction or
occurrence that is the subject matter of the opposing partys claim.

(c) Counterclaim Exceeding Opposing Claim. A counterclaim may or
may not diminish or defeat the recovery sought by the opposing party. It may
claim relief exceeding in amount or different in kind from that sought in the
pleading of the opposing party.

(d) Counterclaim against the State. These rules shall not be construed to
enlarge beyond the limits established by law the right to assert counterclaims
or to claim credits against the state or any of its subdivisions or other
governmental organizations thereof subject to suit or against a municipal
corporation or against an officer, agency, or administrative board of the state.

(e) Counterclaim Maturing or Acquired after Pleading. A claim which
matured or was acquired by the pleader after serving the pleading may be
presented as a counterclaim by supplemental pleading with the permission of
the court.

(f) Omitted Counterclaim or Crossclaim. When a pleader fails to set up
a counterclaim or crossclaim through oversight, inadvertence, or excusable
neglect, or when justice requires, the pleader may set up the counterclaim or
crossclaim by amendment with leave of the court.



(g) Crossclaim against Co-Party. A pleading may state as a crossclaim
any claim by one party against a co-party arising out of the transaction or
occurrence that is the subject matter of either the original action or a
counterclaim therein, or relating to any property that is the subject matter of
the original action. The crossclaim may include a claim that the party against
whom it is asserted is or may be liable to the crossclaimant for all or part of a
claim asserted in the action against the crossclaimant. Service of a crossclaim
on a party who has appeared in the action must be made under Florida Rule
of General Practice and Judicial Administration 2.516. Service of a
crossclaim against a party who has not appeared in the action must be made
in the manner provided for service of summons.

(h) Additional Parties May Be Brought In. When the presence of parties
other than those to the original action is required to grant complete relief in
the determination of a counterclaim or crossclaim, they must be named in the
counterclaim or crossclaim and be served with process and must be parties to
the action thereafter if jurisdiction of them can be obtained and their joinder
will not deprive the court of jurisdiction of the action. Rules 1.250(b) and (c)
apply to parties brought in under this subdivision.

(i) Separate Trials; Separate Judgment. If the court orders separate trials
as provided in rule 1.270(b), judgment on a counterclaim or crossclaim may
be rendered when the court has jurisdiction to do so even if a claim of the
opposing party has been dismissed or otherwise disposed of.

(j) Demand Exceeding Jurisdiction; Transfer of Action. If the demand
of any counterclaim or crossclaim exceeds the jurisdiction of the court in
which the action is pending, the action must be transferred immediately to the
court of the same county having jurisdiction of the demand in the
counterclaim or crossclaim with only such alterations in the pleadings as are
essential. The court must order the transfer of the action and the transmittal of
all documents in it to the proper court if the party asserting the demand
exceeding the jurisdiction deposits with the court having jurisdiction a sum
sufficient to pay the clerks service charge in the court to which the action is
transferred at the time of filing the counterclaim or crossclaim. Thereupon the
original documents and deposit must be transmitted and filed with a certified
copy of the order. The court to which the action is transferred shall have full
power and jurisdiction over the demands of all parties. Failure to make the
service charge deposit at the time the counterclaim or crossclaim is filed, or



within such further time as the court may allow, will reduce a claim for
damages to an amount within the jurisdiction of the court where the action is
pending and waive the claim in other cases.

COMMITTEE NOTES

1972 Amendment. Subdivision (h) is amended to conform with the
philosophy of the 1968 amendment to rule 1.250(c). No justification exists to
require more restrictive joinder provisions for counterclaims and crossclaims
than is required for the initial pleading. The only safeguard required is that
joinder does not deprive the court of jurisdiction. Subdivision (j) is amended
to require deposit of the service charge for transfer when a counterclaim or
crossclaim exceeding the jurisdiction of the court in which the action is
pending is filed. This cures a practical problem when the defendant files a
counterclaim or crossclaim exceeding the jurisdiction but neglects to pay the
service charge to the court to which the action is transferred. The matter then
remains in limbo and causes procedural difficulties in progressing the action.

1988 Amendment. The last 2 sentences were added to subdivision (g) to
counter the construction of these rules and section 48.031(1), Florida
Statutes, by an appellate court in Fundaro v. Canadiana Corp., 409 So. 2d
1099 (Fla. 4th DCA 1982), to require service of all crossclaims with
summons pursuant to rule 1.070. The purpose of this amendment is to make it
clear that crossclaims must be served as initial pleadings only against a party
who has not previously entered an appearance in the action.

2012 Amendment. Subdivision (g) is amended to reflect the relocation of
the service rule from rule 1.080 to Fla. R. Jud. Admin. 2.516.



 Rule 1.180. 
Fla. R. Civ. P. 1.180

RULE 1.180. THIRD-PARTY PRACTICE.
(a) When Available. At any time after commencement of the action a

defendant may have a summons and complaint served on a person not a party
to the action who is or may be liable to the defendant for all or part of the
plaintiffs claim against the defendant, and may also assert any other claim
that arises out of the transaction or occurrence that is the subject matter of the
plaintiffs claim. The defendant need not obtain leave of court if the
defendant files the third-party complaint not later than 20 days after the
defendant serves the original answer. Otherwise, the defendant must obtain
leave on motion and notice to all parties to the action. The person served with
the summons and third-party complaint, herein called the third-party
defendant, shall make defenses to the defendants claim as provided in rules
1.110 and 1.140 and counterclaims against the defendant and crossclaims
against other third-party defendants as provided in rule 1.170. The third-party
defendant may assert against the plaintiff any defenses that the defendant has
to the plaintiffs claim. The third-party defendant may also assert any claim
against the plaintiff arising out of the transaction or occurrence that is the
subject matter of the plaintiffs claim against the defendant. The plaintiff may
assert any claim against the third-party defendant arising out of the
transaction or occurrence that is the subject matter of the plaintiffs claim
against the defendant, and the third-party defendant thereupon shall assert a
defense as provided in rules 1.110 and 1.140 and counterclaims and
crossclaims as provided in rule 1.170. Any party may move to strike the
third-party claim or for its severance or separate trial. A third party defendant
may proceed under this rule against any person not a party to the action who
is or may be liable to the third-party defendant for all or part of the claim
made in the action against the third-party defendant.

(b) When Plaintiff May Bring in Third Party. When a counterclaim is
asserted against the plaintiff, the plaintiff may bring in a third party under
circumstances which would entitle a defendant to do so under this rule.

COURT COMMENTARY

1984 Amendment. Subdivision (a) is amended to permit the defendant to



have the same right to assert claims arising out of the transaction or
occurrence that all of the other parties to the action have. It overrules the
decisions in Miramar Construction, Inc. v. El Conquistador Condominium,
303 So. 2d 81 (Fla. 3d DCA 1974), and Richards Paint Mfg. Co. v. Onyx
Paints, Inc., 363 So. 2d 596 (Fla. 4th DCA 1978), to that extent. The term
defendant is used throughout instead of third-party plaintiff for clarity and
brevity reasons and refers to the defendant serving the summons and third-
party complaint on a third-party defendant or, when applicable, to the similar
summons and fourth party.



 Rule 1.190. 
Fla. R. Civ. P. 1.190

RULE 1.190. AMENDED AND SUPPLEMENTAL PLEADINGS.
(a) Amendments. A party may amend a pleading once as a matter of

course at any time before responsive pleading is served or, if the pleading is
one to which no responsive pleading is permitted and the action has not been
placed on the trial calendar, may so amend it at any time within 20 days after
it is served. Otherwise a party may amend a pleading only by leave of court
or by written consent of the adverse party. If a party files a motion to amend a
pleading, the party shall attach the proposed amended pleading to the motion.
Leave of court shall be given freely when justice so requires. A party shall
plead in response to an amended pleading within 10 days after service of the
amended pleading unless the court otherwise orders.

(b) Amendments to Conform with the Evidence. When issues not raised
by the pleadings are tried by express or implied consent of the parties, they
shall be treated in all respects as if they had been raised in the pleadings.
Such amendment of the pleadings as may be necessary to cause them to
conform to the evidence and to raise these issues may be made upon motion
of any party at any time, even after judgment, but failure so to amend shall
not affect the result of the trial of these issues. If the evidence is objected to at
the trial on the ground that it is not within the issues made by the pleadings,
the court may allow the pleadings to be amended to conform with the
evidence and shall do so freely when the merits of the cause are more
effectually presented thereby and the objecting party fails to satisfy the court
that the admission of such evidence will prejudice the objecting party in
maintaining an action or defense upon the merits.

(c) Relation Back of Amendments. When the claim or defense asserted in
the amended pleading arose out of the conduct, transaction, or occurrence set
forth or attempted to be set forth in the original pleading, the amendment
shall relate back to the date of the original pleading.

(d) Supplemental Pleadings. Upon motion of a party the court may
permit that party, upon reasonable notice and upon such terms as are just, to
serve a supplemental pleading setting forth transactions or occurrences or
events which have happened since the date of the pleading sought to be



supplemented. If the court deems it advisable that the adverse party plead
thereto, it shall so order, specifying the time therefor.

(e) Amendments Generally. At any time in furtherance of justice, upon
such terms as may be just, the court may permit any process, proceeding,
pleading, or record to be amended or material supplemental matter to be set
forth in an amended or supplemental pleading. At every stage of the action
the court must disregard any error or defect in the proceedings which does
not affect the substantial rights of the parties.

(f) Claims for Punitive Damages. A motion for leave to amend a pleading
to assert a claim for punitive damages shall make a reasonable showing, by
evidence in the record or evidence to be proffered by the claimant, that
provides a reasonable basis for recovery of such damages. The motion to
amend can be filed separately and before the supporting evidence or proffer,
but each shall be served on all parties at least 20 days before the hearing.

COMMITTEE NOTES

1980 Amendment. The last clause of subdivision (a) is deleted to restore
the decision in Scarfone v. Denby, 156 So. 2d 694 (Fla. 2d DCA 1963). The
adoption of rule 1.500 requiring notice of an application for default after
filing or serving of any paper eliminates the need for the clause. This will
permit reinstatement of the procedure in federal practice and earlier Florida
practice requiring a response to each amended pleading, thus simplifying the
court file under the doctrine of Dee v. Southern Brewing Co., 146 Fla. 588, 1
So. 2d 562 (1941).

2003 Amendment. Subdivision (a) is amended in accordance with Totura
& Co., Inc. v. Williams, 754 So. 2d 671 (Fla. 2000). See the amendment to
rule 1.070(j). Subdivision (f) is added to state the requirements for a party
moving for leave of court to amend a pleading to assert a claim for punitive
damages. See Beverly Health & Rehabilitation Services, Inc. v. Meeks, 778
So. 2d 322 (Fla. 2d DCA 2000).



 Rule 1.200. 
Fla. R. Civ. P. 1.200

RULE 1.200. PRETRIAL PROCEDURE.
(a) Case Management Conference. At any time after responsive

pleadings or motions are due, the court may order, or a party, by serving a
notice may convene, a case management conference. The matter to be
considered must be specified in the order or notice setting the conference. At
such a conference the court may:

(1) schedule or reschedule the service of motions, pleadings, and other
documents;

(2) set or reset the time of trials, subject to rule 1.440(c);
(3) coordinate the progress of the action if the complex litigation factors

contained in rule 1.201(a)(2)(A)(a)(2)(H) are present;
(4) limit, schedule, order, or expedite discovery;
(5) consider the possibility of obtaining admissions of fact and voluntary

exchange of documents and electronically stored information, and
stipulations regarding authenticity of documents and electronically stored
information;

(6) consider the need for advance rulings from the court on the
admissibility of documents and electronically stored information;

(7) discuss as to electronically stored information, the possibility of
agreements from the parties regarding the extent to which such evidence
should be preserved, the form in which such evidence should be produced,
and whether discovery of such information should be conducted in phases
or limited to particular individuals, time periods, or sources;

(8) schedule disclosure of expert witnesses and the discovery of facts
known and opinions held by such experts;

(9) schedule or hear motions in limine;
(10) pursue the possibilities of settlement;
(11) require filing of preliminary stipulations if issues can be narrowed;
(12) consider referring issues to a magistrate for findings of fact; and



(13) schedule other conferences or determine other matters that may aid
in the disposition of the action.
(b) Pretrial Conference. After the action is at issue the court itself may or

shall on the timely motion of any party require the parties to appear for a
conference to consider and determine:

(1) the simplification of the issues;
(2) the necessity or desirability of amendments to the pleadings;
(3) the possibility of obtaining admissions of fact and of documents that

will avoid unnecessary proof;
(4) the limitation of the number of expert witnesses;
(5) the potential use of juror notebooks; and
(6) any matters permitted under subdivision (a) of this rule.

(c) Notice. Reasonable notice must be given for a case management
conference, and 20 days notice must be given for a pretrial conference. On
failure of a party to attend a conference, the court may dismiss the action,
strike the pleadings, limit proof or witnesses, or take any other appropriate
action. Any documents that the court requires for any conference must be
specified in the order. Orders setting pretrial conferences must be uniform
throughout the territorial jurisdiction of the court.

(d) Pretrial Order. The court must make an order reciting the action taken
at a conference and any stipulations made. The order controls the subsequent
course of the action unless modified to prevent injustice.

COMMITTEE NOTES

1971 Amendment. The 3 paragraphs of the rule are lettered and given
subtitles. The present last paragraph is placed second as subdivision (b)
because the proceeding required under it is taken before that in the present
second paragraph. The time for implementation is changed from settling the
issues because the language is erroneous, the purpose of the conference being
to settle some and prepare for the trial of other issues. The last 2 sentences of
subdivision (b) are added to require uniformity by all judges of the court and
to require specification of the documentary requirements for the conference.



The last sentence of subdivision (c) is deleted since it is covered by the local
rule provisions of rule 1.020(d). The reference to the parties in substitution
for attorneys and counsel is one of style because the rules generally impose
obligations on the parties except when the attorneys are specifically intended.
It should be understood that those parties represented by attorneys will have
the attorneys perform for them in the usual manner.

1972 Amendment. Subdivision (a) is amended to require the motion for a
pretrial by a party to be timely. This is done to avoid motions for pretrial
conferences made a short time before trial and requests for a continuance of
the trial as a result of the pretrial conference order. The subdivision is also
amended to require the clerk to send to the judge a copy of the motion by a
party for the pretrial conference.

1988 Amendment. The purpose of adding subdivision (a)(5) is to spell out
clearly for the bench and bar that case management conferences may be used
for scheduling the disclosure of expert witnesses and the discovery of the
opinion and factual information held by those experts. Subdivision (5) is not
intended to expand discovery.

1992 Amendment. Subdivision (a) is amended to allow a party to set a
case management conference in the same manner as a party may set a hearing
on a motion. Subdivision (c) is amended to remove the mandatory language
and make the notice requirement for a case management conference the same
as that for a hearing on a motion; i.e., reasonable notice.

2012 Amendment. Subdivisions (a)(5) to (a)(7) are added to address
issues involving electronically stored information.

COURT COMMENTARY

1984 Amendment. This is a substantial rewording of rule 1.200.
Subdivision (a) is added to authorize case management conferences in an
effort to give the court more control over the progress of the action. All of the
matters that the court can do under the case management conference can be
done at the present time under other rules or because of the courts authority
otherwise. The new subdivision merely emphasizes the courts authority and
arranges an orderly method for the exercise of that authority. Subdivisions
(a), (b), and (c) of the existing rule are relettered accordingly. Subdivision (a)
of the existing rule is also amended to delete the reference to requiring the



attorneys to appear at a pretrial conference by referring to the parties for that
purpose. This is consistent with the language used throughout the rules and
does not contemplate a change in present procedure. Subdivisions (a)(5) and
(a)(6) of the existing rule are deleted since they are now covered adequately
under the new subdivision (a). Subdivisions (b) and (c) of the existing rule
are amended to accommodate the 2 types of conferences that are now
authorized by the rules.



 Rule 1.201. 
Fla. R. Civ. P. 1.201

RULE 1.201. COMPLEX LITIGATION.
(a) Complex Litigation Defined. At any time after all defendants have

been served, and an appearance has been entered in response to the complaint
by each party or a default entered, any party, or the court on its own motion,
may move to declare an action complex. However, any party may move to
designate an action complex before all defendants have been served subject
to a showing to the court why service has not been made on all defendants.
The court shall convene a hearing to determine whether the action requires
the use of complex litigation procedures and enter an order within 10 days of
the conclusion of the hearing.

(1) A complex action is one that is likely to involve complicated legal
or case management issues and that may require extensive judicial
management to expedite the action, keep costs reasonable, or promote
judicial efficiency.

(2) In deciding whether an action is complex, the court must consider
whether the action is likely to involve:

(A) numerous pretrial motions raising difficult or novel legal issues or
legal issues that are inextricably intertwined that will be time-consuming
to resolve;

(B) management of a large number of separately represented parties;
(C) coordination with related actions pending in one or more courts in

other counties, states, or countries, or in a federal court;
(D) pretrial management of a large number of witnesses or a

substantial amount of documentary evidence;
(E) substantial time required to complete the trial;
(F) management at trial of a large number of experts, witnesses,

attorneys, or exhibits;
(G) substantial post-judgment judicial supervision; and
(H) any other analytical factors identified by the court or a party that



tend to complicate comparable actions and which are likely to arise in
the context of the instant action.
(3) If all of the parties, pro se or through counsel, sign and file with the

clerk of the court a written stipulation to the fact that an action is complex
and identifying the factors in (2)(A) through (2)(H) above that apply, the
court shall enter an order designating the action as complex without a
hearing.
(b) Initial Case Management Report and Conference. The court shall

hold an initial case management conference within 60 days from the date of
the order declaring the action complex.

(1) At least 20 days prior to the date of the initial case management
conference, attorneys for the parties as well as any parties appearing pro se
shall confer and prepare a joint statement, which shall be filed with the
clerk of the court no later than 14 days before the conference, outlining a
discovery plan and stating:

(A) a brief factual statement of the action, which includes the claims
and defenses;

(B) a brief statement on the theory of damages by any party seeking
affirmative relief;

(C) the likelihood of settlement;
(D) the likelihood of appearance in the action of additional parties and

identification of any non-parties to whom any of the parties will seek to
allocate fault;

(E) the proposed limits on the time: (i) to join other parties and to
amend the pleadings, (ii) to file and hear motions, (iii) to identify any
non-parties whose identity is known, or otherwise describe as
specifically as practicable any non-parties whose identity is not known,
(iv) to disclose expert witnesses, and (v) to complete discovery;

(F) the names of the attorneys responsible for handling the action;
(G) the necessity for a protective order to facilitate discovery;
(H) proposals for the formulation and simplification of issues,

including the elimination of frivolous claims or defenses, and the



number and timing of motions for summary judgment or partial
summary judgment;

(I) the possibility of obtaining admissions of fact and voluntary
exchange of documents and electronically stored information,
stipulations regarding authenticity of documents, electronically stored
information, and the need for advance rulings from the court on
admissibility of evidence;

(J) the possibility of obtaining agreements among the parties
regarding the extent to which such electronically stored information
should be preserved, the form in which such information should be
produced, and whether discovery of such information should be
conducted in phases or limited to particular individuals, time periods, or
sources;

(K) suggestions on the advisability and timing of referring matters to
a magistrate, master, other neutral, or mediation;

(L) a preliminary estimate of the time required for trial;
(M) requested date or dates for conferences before trial, a final pretrial

conference, and trial;
(N) a description of pertinent documents and a list of fact witnesses

the parties believe to be relevant;
(O) number of experts and fields of expertise; and
(P) any other information that might be helpful to the court in setting

further conferences and the trial date.
(2) Lead trial counsel and a client representative shall attend the initial

case management conference.
(3) Notwithstanding rule 1.440, at the initial case management

conference, the court will set the trial date or dates no sooner than 6
months and no later than 24 months from the date of the conference unless
good cause is shown for an earlier or later setting. The trial date or dates
shall be on a docket having sufficient time within which to try the action
and, when feasible, for a date or dates certain. The trial date shall be set
after consultation with counsel and in the presence of all clients or
authorized client representatives. The court shall, no later than 2 months



prior to the date scheduled for jury selection, arrange for a sufficient
number of available jurors. Continuance of the trial of a complex action
should rarely be granted and then only upon good cause shown.
(c) The Case Management Order. The case management order shall

address each matter set forth under rule 1.200(a) and set the action for a
pretrial conference and trial. The case management order also shall specify
the following:

(1) Dates by which all parties shall name their expert witnesses and
provide the expert information required by rule 1.280(b)(5). If a party has
named an expert witness in a field in which any other parties have not
identified experts, the other parties may name experts in that field within
30 days thereafter. No additional experts may be named unless good cause
is shown.

(2) Not more than 10 days after the date set for naming experts, the
parties shall meet and schedule dates for deposition of experts and all other
witnesses not yet deposed. At the time of the meeting each party is
responsible for having secured three confirmed dates for its expert
witnesses. In the event the parties cannot agree on a discovery deposition
schedule, the court, upon motion, shall set the schedule. Any party may file
the completed discovery deposition schedule agreed upon or entered by the
court. Once filed, the deposition dates in the schedule shall not be altered
without consent of all parties or upon order of the court. Failure to comply
with the discovery schedule may result in sanctions in accordance with rule
1.380.

(3) Dates by which all parties are to complete all other discovery.
(4) The court shall schedule periodic case management conferences and

hearings on lengthy motions at reasonable intervals based on the particular
needs of the action. The attorneys for the parties as well as any parties
appearing pro se shall confer no later than 15 days prior to each case
management conference or hearing. They shall notify the court at least 10
days prior to any case management conference or hearing if the parties
stipulate that a case management conference or hearing time is
unnecessary. Failure to timely notify the court that a case management
conference or hearing time is unnecessary may result in sanctions.



(5) The case management order may include a briefing schedule setting
forth a time period within which to file briefs or memoranda, responses,
and reply briefs or memoranda, prior to the court considering such matters.

(6) A deadline for conducting alternative dispute resolution.
(d) Final Case Management Conference. The court shall schedule a final

case management conference not less than 90 days prior to the date the case
is set for trial. At least 10 days prior to the final case management conference
the parties shall confer to prepare a case status report, which shall be filed
with the clerk of the court either prior to or at the time of the final case
management conference. The status report shall contain in separately
numbered paragraphs:

(1) A list of all pending motions requiring action by the court and the
date those motions are set for hearing.

(2) Any change regarding the estimated trial time.
(3) The names of the attorneys who will try the case.
(4) A list of the names and addresses of all nonexpert witnesses

(including impeachment and rebuttal witnesses) intended to be called at
trial. However, impeachment or rebuttal witnesses not identified in the case
status report may be allowed to testify if the need for their testimony could
not have been reasonably foreseen at the time the case status report was
prepared.

(5) A list of all exhibits intended to be offered at trial.
(6) Certification that copies of witness and exhibit lists will be filed with

the clerk of the court at least 48 hours prior to the date and time of the final
case management conference.

(7) A deadline for the filing of amended lists of witnesses and exhibits,
which amendments shall be allowed only upon motion and for good cause
shown.

(8) Any other matters which could impact the timely and effective trial
of the action.

COMMITTEE NOTES



2012 Amendment. Subdivision (b)(1)(J) is added to address issues
involving electronically stored information.



 Rule 1.210. 
Fla. R. Civ. P. 1.210

RULE 1.210. PARTIES.
(a) Parties Generally. Every action may be prosecuted in the name of the

real party in interest, but a personal representative, administrator, guardian,
trustee of an express trust, a party with whom or in whose name a contract
has been made for the benefit of another, or a party expressly authorized by
statute may sue in that persons own name without joining the party for
whose benefit the action is brought. All persons having an interest in the
subject of the action and in obtaining the relief demanded may join as
plaintiffs and any person may be made a defendant who has or claims an
interest adverse to the plaintiff. Any person may at any time be made a party
if that persons presence is necessary or proper to a complete determination
of the cause. Persons having a united interest may be joined on the same side
as plaintiffs or defendants, and anyone who refuses to join may for such
reason be made a defendant.

(b) Minors or Incompetent Persons. When a minor or incompetent
person has a representative, such as a guardian or other like fiduciary, the
representative may sue or defend on behalf of the minor or incompetent
person. A minor or incompetent person who does not have a duly appointed
representative may sue by next friend or by a guardian ad litem. The court
shall appoint a guardian ad litem for a minor or incompetent person not
otherwise represented in an action or shall make such other order as it deems
proper for the protection of the minor or incompetent person.

COMMITTEE NOTES

1980 Amendment. Subdivisions (c) and (d) are deleted. Both are obsolete.
They were continued in effect earlier because the committee was uncertain
about the need for them at the time. Subdivision (c) has been supplanted by
section 737.402(2)(z), Florida Statutes (1979), that gives trustees the power
to prosecute and defend actions, regardless of the conditions specified in the
subdivision. The adoption of section 733.212, Florida Statutes (1979),
eliminates the need for subdivision (d) because it provides an easier and less
expensive method of eliminating the interests of an heir at law who is not a
beneficiary under the will. To the extent that an heir at law is an



indispensable party to a proceeding concerning a testamentary trust, due
process requires notice and an opportunity to defend, so the rule would be
unconstitutionally applied.

2003 Amendment. In subdivision (a), an executor is changed to a
personal representative to conform to statutory language. See  731.201(25),
Fla. Stat. (2002).



 Rule 1.220. 
Fla. R. Civ. P. 1.220

RULE 1.220. CLASS ACTIONS.
(a) Prerequisites to Class Representation. Before any claim or defense

may be maintained on behalf of a class by one party or more suing or being
sued as the representative of all the members of a class, the court shall first
conclude that (1) the members of the class are so numerous that separate
joinder of each member is impracticable, (2) the claim or defense of the
representative party raises questions of law or fact common to the questions
of law or fact raised by the claim or defense of each member of the class, (3)
the claim or defense of the representative party is typical of the claim or
defense of each member of the class, and (4) the representative party can
fairly and adequately protect and represent the interests of each member of
the class.

(b) Claims and Defenses Maintainable. A claim or defense may be
maintained on behalf of a class if the court concludes that the prerequisites of
subdivision (a) are satisfied, and that:

(1) the prosecution of separate claims or defenses by or against
individual members of the class would create a risk of either:

(A) inconsistent or varying adjudications concerning individual
members of the class which would establish incompatible standards of
conduct for the party opposing the class; or

(B) adjudications concerning individual members of the class which
would, as a practical matter, be dispositive of the interests of other
members of the class who are not parties to the adjudications, or
substantially impair or impede the ability of other members of the class
who are not parties to the adjudications to protect their interests; or
(2) the party opposing the class has acted or refused to act on grounds

generally applicable to all the members of the class, thereby making final
injunctive relief or declaratory relief concerning the class as a whole
appropriate; or

(3) the claim or defense is not maintainable under either subdivision (b)
(1) or (b)(2), but the questions of law or fact common to the claim or



defense of the representative party and the claim or defense of each
member of the class predominate over any question of law or fact affecting
only individual members of the class, and class representation is superior
to other available methods for the fair and efficient adjudication of the
controversy. The conclusions shall be derived from consideration of all
relevant facts and circumstances, including (A) the respective interests of
each member of the class in individually controlling the prosecution of
separate claims or defenses, (B) the nature and extent of any pending
litigation to which any member of the class is a party and in which any
question of law or fact controverted in the subject action is to be
adjudicated, (C) the desirability or undesirability of concentrating the
litigation in the forum where the subject action is instituted, and (D) the
difficulties likely to be encountered in the management of the claim or
defense on behalf of a class.
(c) Pleading Requirements. Any pleading, counterclaim, or crossclaim

alleging the existence of a class shall contain the following:
(1) Next to its caption the designation: Class Representation.
(2) Under a separate heading, designated as Class Representation

Allegations, specific recitation of:
(A) the particular provision of subdivision (b) under which it is

claimed that the claim or defense is maintainable on behalf of a class;
(B) the questions of law or fact that are common to the claim or

defense of the representative party and the claim or defense of each
member of the class;

(C) the particular facts and circumstances that show the claim or
defense advanced by the representative party is typical of the claim or
defense of each member of the class;

(D) (i) the approximate number of class members, (ii) a definition of
the alleged class, and (iii) the particular facts and circumstances that
show the representative party will fairly and adequately protect and
represent the interests of each member of the class; and

(E) the particular facts and circumstances that support the conclusions
required of the court in determining that the action may be maintained as
a class action pursuant to the particular provision of subdivision (b)



under which it is claimed that the claim or defense is maintainable on
behalf of a class.

(d) Determination of Class Representation; Notice; Judgment: Claim
or Defense Maintained Partly on Behalf of a Class.

(1) As soon as practicable after service of any pleading alleging the
existence of a class under this rule and before service of an order for
pretrial conference or a notice for trial, after hearing the court shall enter an
order determining whether the claim or defense is maintainable on behalf
of a class on the application of any party or on the courts initiative.
Irrespective of whether the court determines that the claim or defense is
maintainable on behalf of a class, the order shall separately state the
findings of fact and conclusions of law upon which the determination is
based. In making the determination the court (A) may allow the claim or
defense to be so maintained, and, if so, shall state under which subsection
of subdivision (b) the claim or defense is to be maintained, (B) may
disallow the class representation and strike the class representation
allegations, or (C) may order postponement of the determination pending
the completion of discovery concerning whether the claim or defense is
maintainable on behalf of a class. If the court rules that the claim or
defense shall be maintained on behalf of a class under subdivision (b)(3),
the order shall also provide for the notice required by subdivision (d)(2). If
the court rules that the claim or defense shall be maintained on behalf of a
class under subdivision (b)(1) or subdivision (b)(2), the order shall also
provide for the notice required by subdivision (d)(2), except when a
showing is made that the notice is not required, the court may provide for
another kind of notice to the class as is appropriate. When the court orders
postponement of its determination, the court shall also establish a date, if
possible, for further consideration and final disposition of the motion. An
order under this subsection may be conditional and may be altered or
amended before entry of a judgment on the merits of the action.

(2) As soon as is practicable after the court determines that a claim or
defense is maintainable on behalf of a class, notice of the pendency of the
claim or defense shall be given by the party asserting the existence of the
class to all the members of the class. The notice shall be given to each
member of the class who can be identified and located through reasonable
effort and shall be given to the other members of the class in the manner



determined by the court to be most practicable under the circumstances.
Unless otherwise ordered by the court, the party asserting the existence of
the class shall initially pay for the cost of giving notice. The notice shall
inform each member of the class that (A) any member of the class who
files a statement with the court by the date specified in the notice asking to
be excluded shall be excluded from the class, (B) the judgment, whether
favorable or not, will include all members who do not request exclusion,
and (C) any member who does not request exclusion may make a separate
appearance within the time specified in the notice.

(3) The judgment determining a claim or defense maintained on behalf
of a class under subdivision (b)(1) or (b)(2), whether or not favorable to
the class, shall include and describe those persons whom the court finds to
be members of the class. The judgment determining a claim or defense
maintained on behalf of a class under subdivision (b)(3), whether or not
favorable to the class, shall include and identify those to whom the notice
provided in subdivision (d)(2) was directed, who have not requested
exclusion and whom the court finds to be members of the class.

(4) When appropriate, (A) a claim or defense may be brought or
maintained on behalf of a class concerning particular issues, or (B) class
representation may be divided into subclasses, and each subclass may be
treated as a separate and distinct class and the provisions of this rule shall
be applied accordingly.
(e) Dismissal or Compromise. After a claim or defense is determined to

be maintainable on behalf of a class under subdivision (d), the claim or
defense shall not be voluntarily withdrawn, dismissed, or compromised
without approval of the court after notice and hearing. Notice of any
proposed voluntary withdrawal, dismissal, or compromise shall be given to
all members of the class as the court directs.

COMMITTEE NOTES

1980 Amendment. The class action rule has been completely revised to
bring it in line with modern practice. The rule is based on Federal Rule of
Civil Procedure 23, but a number of changes have been made to eliminate
problems in the federal rule through court decisions. Generally, the rule
provides for the prerequisites to class representation, an early determination



about whether the claim or defense is maintainable on behalf of a class,
notice to all members of the class, provisions for the members of the class to
exclude themselves, the form of judgment, and the procedure governing
dismissal or compromise of a claim or defense maintained on behalf of a
class. The prerequisites of subdivision (a) are changed from those in federal
rule 23 only to the extent necessary to incorporate the criteria enunciated in
Port Royal v. Conboy, 154 So. 2d 734 (Fla. 2d DCA 1963). The notice
requirements have been made more explicit and stringent than those in the
federal rule.



 Rule 1.221. 
Fla. R. Civ. P. 1.221

RULE 1.221. HOMEOWNERS ASSOCIATIONS AND
CONDOMINIUM ASSOCIATIONS.

A homeowners or condominium association, after control of such
association is obtained by homeowners or unit owners other than the
developer, may institute, maintain, settle, or appeal actions or hearings in its
name on behalf of all association members concerning matters of common
interest to the members, including, but not limited to: (1) the common
property, area, or elements; (2) the roof or structural components of a
building, or other improvements (in the case of homeowners associations,
being specifically limited to those improvements for which the association is
responsible); (3) mechanical, electrical, or plumbing elements serving a
property or an improvement or building (in the case of homeowners
associations, being specifically limited to those improvements for which the
association is responsible); (4) representations of the developer pertaining to
any existing or proposed commonly used facility; (5) protests of ad valorem
taxes on commonly used facilities; and, in the case of homeowners
associations, (6) defense of actions in eminent domain or prosecution of
inverse condemnation actions. If an association has the authority to maintain
a class action under this rule, the association may be joined in an action as
representative of that class with reference to litigation and disputes involving
the matters for which the association could bring a class action under this
rule. Nothing herein limits any statutory or common law right of any
individual homeowner or unit owner, or class of such owners, to bring any
action that may otherwise be available. An action under this rule shall not be
subject to the requirements of rule 1.220.

COMMITTEE NOTES

1980 Adoption. The present rule relating to condominium associations
[1.220(b)] is left intact but renumbered as rule 1.221.

2007 Amendment. Consistent with amendments to section 720.303(1),
Florida Statutes, homeowners associations have been added to the rule.



 Rule 1.222. 
Fla. R. Civ. P. 1.222

RULE 1.222. MOBILE HOMEOWNERS ASSOCIATIONS.
A mobile homeowners association may institute, maintain, settle, or

appeal actions or hearings in its name on behalf of all homeowners
concerning matters of common interest, including, but not limited to: the
common property; structural components of a building or other
improvements; mechanical, electrical, and plumbing elements serving the
park property; and protests of ad valorem taxes on commonly used facilities.
If the association has the authority to maintain a class action under this rule,
the association may be joined in an action as representative of that class with
reference to litigation and disputes involving the matters for which the
association could bring a class action under this rule. Nothing herein limits
any statutory or common law right of any individual homeowner or class of
homeowners to bring any action which may otherwise be available. An action
under this rule shall not be subject to the requirements of rule 1.220.



 Rule 1.230. 
Fla. R. Civ. P. 1.230

RULE 1.230. INTERVENTIONS.
Anyone claiming an interest in pending litigation may at any time be

permitted to assert a right by intervention, but the intervention shall be in
subordination to, and in recognition of, the propriety of the main proceeding,
unless otherwise ordered by the court in its discretion.



 Rule 1.240. 
Fla. R. Civ. P. 1.240

RULE 1.240. INTERPLEADER.
Persons having claims against the plaintiff may be joined as defendants

and required to interplead when their claims are such that the plaintiff is or
may be exposed to double or multiple liability. It is not ground for objection
to the joinder that the claim of the several claimants or the titles on which
their claims depend do not have a common origin or are not identical but are
adverse to and independent of one another, or that the plaintiff avers that the
plaintiff is not liable in whole or in part to any or all of the claimants. A
defendant exposed to similar liability may obtain such interpleader by way of
crossclaim or counterclaim. The provisions of this rule supplement and do
not in any way limit the joinder of parties otherwise permitted.



 Rule 1.250. 
Fla. R. Civ. P. 1.250

RULE 1.250. MISJOINDER AND NONJOINDER OF PARTIES.
(a) Misjoinder. Misjoinder of parties is not a ground for dismissal of an

action. Any claim against a party may be severed and proceeded with
separately.

(b) Dropping Parties. Parties may be dropped by an adverse party in the
manner provided for voluntary dismissal in rule 1.420(a)(1) subject to the
exception stated in that rule. If notice of lis pendens has been filed in the
action against a party so dropped, the notice of dismissal shall be recorded
and cancels the notice of lis pendens without the necessity of a court order.
Parties may be dropped by order of court on its own initiative or the motion
of any party at any stage of the action on such terms as are just.

(c) Adding Parties. Parties may be added once as a matter of course
within the same time that pleadings can be so amended under rule 1.190(a). If
amendment by leave of court or stipulation of the parties is permitted, parties
may be added in the amended pleading without further order of court. Parties
may be added by order of court on its own initiative or on motion of any
party at any stage of the action and on such terms as are just.

COMMITTEE NOTES

1972 Amendment. Subdivision (c) is amended to permit the addition of
parties when the pleadings are amended by stipulation. This conforms the
subdivision to all of the permissive types of amendment under rule 1.190(a).
It was an inadvertent omission by the committee when the rule in its present
form was adopted in 1968 as can be seen by reference to the 1968 committee
note.



 Rule 1.260. 
Fla. R. Civ. P. 1.260

RULE 1.260. SURVIVOR; SUBSTITUTION OF PARTIES.
(a) Death.

(1) If a party dies and the claim is not thereby extinguished, the court
may order substitution of the proper parties. The motion for substitution
may be made by any party or by the successors or representatives of the
deceased party and, together with the notice of hearing, shall be filed and
served on all parties as provided in Florida Rule of General Practice and
Judicial Administration 2.516 and upon persons not parties in the manner
provided for the service of a summons. Unless the motion for substitution
is made within 90 days after a statement noting the death is filed and
served on all parties as provided in Rule of General Practice and Judicial
Administration 2.516, the action shall be dismissed as to the deceased
party.

(2) In the event of the death of one or more of the plaintiffs or of one or
more of the defendants in an action in which the right sought to be
enforced survives only to the surviving plaintiffs or only against the
surviving defendants, the action shall not abate. A statement noting the
death shall be filed and served on all parties as provided in Rule of General
Practice and Judicial Administration 2.516 and the action shall proceed in
favor of or against the surviving parties.
(b) Incompetency. If a party becomes incompetent, the court, upon motion

filed and served as provided in subdivision (a) of this rule, may allow the
action to be continued by or against that persons representative.

(c) Transfer of Interest. In case of any transfer of interest, the action may
be continued by or against the original party, unless the court upon motion
directs the person to whom the interest is transferred to be substituted in the
action or joined with the original party. Service of the motion shall be made
as provided in subdivision (a) of this rule.

(d) Public Officers; Death or Separation from Office.
(1) When a public officer is a party to an action in an official capacity

and during its pendency dies, resigns, or otherwise ceases to hold office,



the action does not abate and the officers successor is automatically
substituted as a party. Proceedings following the substitution shall be in the
name of the substituted party, but any misnomer not affecting the
substantial rights of the parties shall be disregarded. An order of
substitution may be entered at any time, but the omission to enter such an
order shall not affect the substitution.

(2) When a public officer sues or is sued in an official capacity, the
officer may be described as a party by the official title rather than by name
but the court may require the officers name to be added.



 Rule 1.270. 
Fla. R. Civ. P. 1.270

RULE 1.270. CONSOLIDATION; SEPARATE TRIALS.
(a) Consolidation. When actions involving a common question of law or

fact are pending before the court, it may order a joint hearing or trial of any
or all the matters in issue in the actions; it may order all the actions
consolidated; and it may make such orders concerning proceedings therein as
may tend to avoid unnecessary costs or delay.

(b) Separate Trials. The court in furtherance of convenience or to avoid
prejudice may order a separate trial of any claim, crossclaim, counterclaim, or
third-party claim or of any separate issue or of any number of claims,
crossclaims, counterclaims, third-party claims, or issues.



 Rule 1.280. 
Fla. R. Civ. P. 1.280

RULE 1.280. GENERAL PROVISIONS GOVERNING DISCOVERY.
(a) Discovery Methods. Parties may obtain discovery by one or more of

the following methods: depositions upon oral examination or written
questions; written interrogatories; production of documents or things or
permission to enter upon land or other property for inspection and other
purposes; physical and mental examinations; and requests for admission.
Unless the court orders otherwise and under subdivision (c) of this rule, the
frequency of use of these methods is not limited, except as provided in rules
1.200, 1.340, and 1.370.

(b) Scope of Discovery. Unless otherwise limited by order of the court in
accordance with these rules, the scope of discovery is as follows:

(1) In General. Parties may obtain discovery regarding any matter, not
privileged, that is relevant to the subject matter of the pending action,
whether it relates to the claim or defense of the party seeking discovery or
the claim or defense of any other party, including the existence,
description, nature, custody, condition, and location of any books,
documents, or other tangible things and the identity and location of persons
having knowledge of any discoverable matter. It is not ground for
objection that the information sought will be inadmissible at the trial if the
information sought appears reasonably calculated to lead to the discovery
of admissible evidence.

(2) Indemnity Agreements. A party may obtain discovery of the
existence and contents of any agreement under which any person may be
liable to satisfy part or all of a judgment that may be entered in the action
or to indemnify or to reimburse a party for payments made to satisfy the
judgment. Information concerning the agreement is not admissible in
evidence at trial by reason of disclosure.

(3) Electronically Stored Information. A party may obtain discovery
of electronically stored information in accordance with these rules.

(4) Trial Preparation: Materials. Subject to the provisions of
subdivision (b)(5) of this rule, a party may obtain discovery of documents
and tangible things otherwise discoverable under subdivision (b)(1) of this



rule and prepared in anticipation of litigation or for trial by or for another
party or by or for that partys representative, including that partys
attorney, consultant, surety, indemnitor, insurer, or agent, only upon a
showing that the party seeking discovery has need of the materials in the
preparation of the case and is unable without undue hardship to obtain the
substantial equivalent of the materials by other means. In ordering
discovery of the materials when the required showing has been made, the
court shall protect against disclosure of the mental impressions,
conclusions, opinions, or legal theories of an attorney or other
representative of a party concerning the litigation. Without the required
showing a party may obtain a copy of a statement concerning the action or
its subject matter previously made by that party. Upon request without the
required showing a person not a party may obtain a copy of a statement
concerning the action or its subject matter previously made by that person.
If the request is refused, the person may move for an order to obtain a
copy. The provisions of rule 1.380(a)(4) apply to the award of expenses
incurred as a result of making the motion. For purposes of this paragraph, a
statement previously made is a written statement signed or otherwise
adopted or approved by the person making it, or a stenographic,
mechanical, electrical, or other recording or transcription of it that is a
substantially verbatim recital of an oral statement by the person making it
and contemporaneously recorded.

(5) Trial Preparation: Experts. Discovery of facts known and opinions
held by experts, otherwise discoverable under the provisions of subdivision
(b)(1) of this rule and acquired or developed in anticipation of litigation or
for trial, may be obtained only as follows:
(A)(i) By interrogatories a party may require any other party to identify
each person whom the other party expects to call as an expert witness at
trial and to state the subject matter on which the expert is expected to
testify, and to state the substance of the facts and opinions to which the
expert is expected to testify and a summary of the grounds for each
opinion.

(ii) Any person disclosed by interrogatories or otherwise as a
person expected to be called as an expert witness at trial may be
deposed in accordance with rule 1.390 without motion or order of
court.



(iii) A party may obtain the following discovery regarding any
person disclosed by interrogatories or otherwise as a person expected
to be called as an expert witness at trial:

1. The scope of employment in the pending case and the compensation for
such service.

2. The experts general litigation experience, including the percentage of
work performed for plaintiffs and defendants.

3. The identity of other cases, within a reasonable time period, in which the
expert has testified by deposition or at trial.

4. An approximation of the portion of the experts involvement as an
expert witness, which may be based on the number of hours, percentage of
hours, or percentage of earned income derived from serving as an expert
witness; however, the expert shall not be required to disclose his or her
earnings as an expert witness or income derived from other services.

An expert may be required to produce financial and business records only
under the most unusual or compelling circumstances and may not be
compelled to compile or produce nonexistent documents. Upon motion, the
court may order further discovery by other means, subject to such restrictions
as to scope and other provisions pursuant to subdivision (b)(5)(C) of this rule
concerning fees and expenses as the court may deem appropriate.

(B) A party may discover facts known or opinions held by an expert
who has been retained or specially employed by another party in
anticipation of litigation or preparation for trial and who is not expected
to be called as a witness at trial, only as provided in rule 1.360(b) or
upon a showing of exceptional circumstances under which it is
impracticable for the party seeking discovery to obtain facts or opinions
on the same subject by other means.

(C) Unless manifest injustice would result, the court shall require that
the party seeking discovery pay the expert a reasonable fee for time
spent in responding to discovery under subdivisions (b)(5)(A) and (b)(5)
(B) of this rule; and concerning discovery from an expert obtained under
subdivision (b)(5)(A) of this rule the court may require, and concerning
discovery obtained under subdivision (b)(5)(B) of this rule shall require,
the party seeking discovery to pay the other party a fair part of the fees



and expenses reasonably incurred by the latter party in obtaining facts
and opinions from the expert.

(D) As used in these rules an expert shall be an expert witness as
defined in rule 1.390(a).
(6) Claims of Privilege or Protection of Trial Preparation Materials.

When a party withholds information otherwise discoverable under these
rules by claiming that it is privileged or subject to protection as trial
preparation material, the party shall make the claim expressly and shall
describe the nature of the documents, communications, or things not
produced or disclosed in a manner that, without revealing information
itself privileged or protected, will enable other parties to assess the
applicability of the privilege or protection.
(c) Protective Orders. Upon motion by a party or by the person from

whom discovery is sought, and for good cause shown, the court in which the
action is pending may make any order to protect a party or person from
annoyance, embarrassment, oppression, or undue burden or expense that
justice requires, including one or more of the following:

(1) that the discovery not be had;
(2) that the discovery may be had only on specified terms and

conditions, including a designation of the time or place;
(3) that the discovery may be had only by a method of discovery other

than that selected by the party seeking discovery;
(4) that certain matters not be inquired into, or that the scope of the

discovery be limited to certain matters;
(5) that discovery be conducted with no one present except persons

designated by the court;
(6) that a deposition after being sealed be opened only by order of the

court;
(7) that a trade secret or other confidential research, development, or

commercial information not be disclosed or be disclosed only in a
designated way; and

(8) that the parties simultaneously file specified documents or



information enclosed in sealed envelopes to be opened as directed by the
court. If the motion for a protective order is denied in whole or in part, the
court may, on such terms and conditions as are just, order that any party or
person provide or permit discovery. The provisions of rule 1.380(a)(4)
apply to the award of expenses incurred in relation to the motion.
(d) Limitations on Discovery of Electronically Stored Information.

(1) A person may object to discovery of electronically stored
information from sources that the person identifies as not reasonably
accessible because of burden or cost. On motion to compel discovery or for
a protective order, the person from whom discovery is sought must show
that the information sought or the format requested is not reasonably
accessible because of undue burden or cost. If that showing is made, the
court may nonetheless order the discovery from such sources or in such
formats if the requesting party shows good cause. The court may specify
conditions of the discovery, including ordering that some or all of the
expenses incurred by the person from whom discovery is sought be paid by
the party seeking the discovery.

(2) In determining any motion involving discovery of electronically
stored information, the court must limit the frequency or extent of
discovery otherwise allowed by these rules if it determines that (i) the
discovery sought is unreasonably cumulative or duplicative, or can be
obtained from another source or in another manner that is more
convenient, less burdensome, or less expensive; or (ii) the burden or
expense of the discovery outweighs its likely benefit, considering the needs
of the case, the amount in controversy, the parties resources, the
importance of the issues at stake in the action, and the importance of the
discovery in resolving the issues.
(e) Sequence and Timing of Discovery. Except as provided in subdivision

(b)(5) or unless the court upon motion for the convenience of parties and
witnesses and in the interest of justice orders otherwise, methods of discovery
may be used in any sequence, and the fact that a party is conducting
discovery, whether by deposition or otherwise, shall not delay any other
partys discovery.

(f) Supplementing of Responses. A party who has responded to a request
for discovery with a response that was complete when made is under no duty



to supplement the response to include information thereafter acquired.
(g) Court Filing of Documents and Discovery. Information obtained

during discovery shall not be filed with the court until such time as it is filed
for good cause. The requirement of good cause is satisfied only where the
filing of the information is allowed or required by another applicable rule of
procedure or by court order. All filings of discovery documents shall comply
with Florida Rule of General Practice and Judicial Administration 2.425. The
court shall have authority to impose sanctions for violation of this rule.

(h) Apex Doctrine. A current or former high-level government or
corporate officer may seek an order preventing the officer from being subject
to a deposition. The motion, whether by a party or by the person of whom the
deposition is sought, must be accompanied by an affidavit or declaration of
the officer explaining that the officer lacks unique, personal knowledge of the
issues being litigated. If the officer meets this burden of production, the court
shall issue an order preventing the deposition, unless the party seeking the
deposition demonstrates that it has exhausted other discovery, that such
discovery is inadequate, and that the officer has unique, personal knowledge
of discoverable information. The court may vacate or modify the order if,
after additional discovery, the party seeking the deposition can meet its
burden of persuasion under this rule. The burden to persuade the court that
the officer is high-level for purposes of this rule lies with the person or party
opposing the deposition.

(i) Form of Responses to Written Discovery Requests. When responding
to requests for production served pursuant to rule 1.310(b)(5), written
deposition questions served pursuant to rule 1.320, interrogatories served
pursuant to rule 1.340, requests for production or inspection served pursuant
to rule 1.350, requests for production of documents or things without
deposition served pursuant to rule 1.351, requests for admissions served
pursuant to rule 1.370, or requests for the production of documentary
evidence served pursuant to rule 1.410(c), the responding party shall state
each deposition question, interrogatory, or discovery request in full as
numbered, followed by the answer, objection, or other response.

COMMITTEE NOTES

1972 Amendment. The rule is derived from Federal Rule of Civil



Procedure 26 as amended in 1970. Subdivisions (a), (b)(2), and (b)(3) are
new. Subdivision (c) contains material from former rule 1.310(b).
Subdivisions (d) and (e) are new, but the latter is similar to former rule
1.340(d). Significant changes are made in discovery from experts. The
general rearrangement of the discovery rule is more logical and is the result
of 35 years of experience under the federal rules.

1988 Amendment. Subdivision (b)(2) has been added to enable discovery
of the existence and contents of indemnity agreements and is the result of the
enactment of sections 627.7262 and 627.7264, Florida Statutes, proscribing
the joinder of insurers but providing for disclosure. This rule is derived from
Federal Rule of Civil Procedure 26(b)(2). Subdivisions (b)(2) and (b)(3) have
been redesignated as (b)(3) and (b)(4) respectively.

The purpose of the amendment to subdivision (b)(3)(A) (renumbered (b)
(4)(A)) is to allow, without leave of court, the depositions of experts who
have been disclosed as expected to be used at trial. The purpose of
subdivision (b)(4)(D) is to define the term expert as used in these rules.

1996 Amendment. The amendments to subdivision (b)(4)(A) are derived
from the Supreme Courts decision in Elkins v. Syken, 672 So. 2d 517 (Fla.
1996). They are intended to avoid annoyance, embarrassment, and undue
expense while still permitting the adverse party to obtain relevant information
regarding the potential bias or interest of the expert witness.

Subdivision (b)(5) is added and is derived from Federal Rule of Civil
Procedure 26(b)(5) (1993).

2011 Amendment. Subdivision (f) is added to ensure that information
obtained during discovery is not filed with the court unless there is good
cause for the documents to be filed, and that information obtained during
discovery that includes certain private information shall not be filed with the
court unless the private information is redacted as required by Florida Rule of
General Practice and Judicial Administration 2.425.

2012 Amendment. Subdivisions (b)(3) and (d) are added to address
discovery of electronically stored information.

The parties should consider conferring with one another at the earliest
practical opportunity to discuss the reasonable scope of preservation and
production of electronically stored information. These issues may also be



addressed by means of a rule 1.200 or rule 1.201 case management
conference.

Under the good cause test in subdivision (d)(1), the court should balance
the costs and burden of the requested discovery, including the potential for
disruption of operations or corruption of the electronic devices or systems
from which discovery is sought, against the relevance of the information and
the requesting partys need for that information. Under the proportionality
and reasonableness factors set out in subdivision (d)(2), the court must limit
the frequency or extent of discovery if it determines that the discovery sought
is excessive in relation to the factors listed.

In evaluating the good cause or proportionality tests, the court may find its
task complicated if the parties know little about what information the sources
at issue contain, whether the information sought is relevant, or how valuable
it may be to the litigation. If appropriate, the court may direct the parties to
develop the record further by engaging in focused discovery, including
sampling of the sources, to learn more about what electronically stored
information may be contained in those sources, what costs and burdens are
involved in retrieving, reviewing, and producing the information, and how
valuable the information sought may be to the litigation in light of the
availability of information from other sources or methods of discovery, and
in light of the parties resources and the issues at stake in the litigation.

COURT COMMENTARY

2000 Amendment. Allstate Insurance Co. v. Boecher, 733 So. 2d 993, 999
(Fla. 1999), clarifies that subdivision (b)(4)(A)(iii) is not intended to place a
blanket bar on discovery from parties about information they have in their
possession about an expert, including the partys financial relationship with
the expert.



 Rule 1.285. 
Fla. R. Civ. P. 1.285

RULE 1.285. INADVERTENT DISCLOSURE OF PRIVILEGED
MATERIALS.

(a) Assertion of Privilege as to Inadvertently Disclosed Materials. Any
party, person, or entity, after inadvertent disclosure of any materials pursuant
to these rules, may thereafter assert any privilege recognized by law as to
those materials. This right exists without regard to whether the disclosure was
made pursuant to formal demand or informal request. In order to assert the
privilege, the party, person, or entity, shall, within 10 days of actually
discovering the inadvertent disclosure, serve written notice of the assertion of
privilege on the party to whom the materials were disclosed. The notice shall
specify with particularity the materials as to which the privilege is asserted,
the nature of the privilege asserted, and the date on which the inadvertent
disclosure was actually discovered.

(b) Duty of the Party Receiving Notice of an Assertion of Privilege. A
party receiving notice of an assertion of privilege under subdivision (a) shall
promptly return, sequester, or destroy the materials specified in the notice, as
well as any copies of the material. The party receiving the notice shall also
promptly notify any other party, person, or entity to whom it has disclosed
the materials of the fact that the notice has been served and of the effect of
this rule. That party shall also take reasonable steps to retrieve the materials
disclosed. Nothing herein affects any obligation pursuant to R. Regulating
Fla. Bar 4-4.4(b).

(c) Right to Challenge Assertion of Privilege. Any party receiving a
notice made under subdivision (a) has the right to challenge the assertion of
privilege. The grounds for the challenge may include, but are not limited to,
the following:

(1) The materials in question are not privileged.
(2) The disclosing party, person, or entity lacks standing to assert the

privilege.
(3) The disclosing party, person, or entity has failed to serve timely

notice under this rule.



(4) The circumstances surrounding the production or disclosure of the
materials warrant a finding that the disclosing party, person, or entity has
waived its assertion that the material is protected by a privilege.
Any party seeking to challenge the assertion of privilege shall do so by
serving notice of its challenge on the party, person, or entity asserting the
privilege. Notice of the challenge shall be served within 20 days of service
of the original notice given by the disclosing party, person, or entity. The
notice of the recipients challenge shall specify the grounds for the
challenge. Failure to serve timely notice of challenge is a waiver of the
right to challenge.
(d) Effect of Determination that Privilege Applies. When an order is

entered determining that materials are privileged or that the right to challenge
the privilege has been waived, the court shall direct what shall be done with
the materials and any copies so as to preserve all rights of appellate review.
The recipient of the materials shall also give prompt notice of the courts
determination to any other party, person, or entity to whom it had disclosed
the materials.



 Rule 1.290. 
Fla. R. Civ. P. 1.290

RULE 1.290. DEPOSITIONS BEFORE ACTION OR PENDING
APPEAL.

(a) Before Action.
(1) Petition. A person who desires to perpetuate that persons own

testimony or that of another person regarding any matter that may be
cognizable in any court of this state may file a verified petition in the
circuit court in the county of the residence of any expected adverse party.
The petition shall be entitled in the name of the petitioner and shall show:
(1) that the petitioner expects to be a party to an action cognizable in a
court of Florida, but is presently unable to bring it or cause it to be brought,
(2) the subject matter of the expected action and the petitioners interest
therein, (3) the facts which the petitioner desires to establish by the
proposed testimony and the petitioners reasons for desiring to perpetuate
it, (4) the names or a description of the persons the petitioner expects will
be adverse parties and their addresses so far as known, and (5) the names
and addresses of the persons to be examined and the substance of the
testimony which the petitioner expects to elicit from each; and shall ask for
an order authorizing the petitioner to take the deposition of the persons to
be examined named in the petition for the purpose of perpetuating their
testimony.

(2) Notice and Service. The petitioner shall thereafter serve a notice
upon each person named in the petition as an expected adverse party,
together with a copy of the petition, stating that the petitioner will apply to
the court at a time and place named therein for an order described in the
petition. At least 20 days before the date of hearing the notice shall be
served either within or without the county in the manner provided by law
for service of summons, but if such service cannot with due diligence be
made upon any expected adverse party named in the petition, the court
may make an order for service by publication or otherwise, and shall
appoint an attorney for persons not served in the manner provided by law
for service of summons who shall represent them, and if they are not
otherwise represented, shall cross-examine the deponent.



(3) Order and Examination. If the court is satisfied that the
perpetuation of the testimony may prevent a failure or delay of justice, it
shall make an order designating or describing the persons whose
depositions may be taken and specifying the subject matter of the
examination and whether the deposition shall be taken upon oral
examination or written interrogatories. The deposition may then be taken
in accordance with these rules and the court may make orders in
accordance with the requirements of these rules. For the purpose of
applying these rules to depositions for perpetuating testimony, each
reference therein to the court in which the action is pending shall be
deemed to refer to the court in which the petition for such deposition was
filed.

(4) Use of Deposition. A deposition taken under this rule may be used
in any action involving the same subject matter subsequently brought in
any court in accordance with rule 1.330.
(b) Pending Appeal. If an appeal has been taken from a judgment of any

court or before the taking of an appeal if the time therefor has not expired, the
court in which the judgment was rendered may allow the taking of the
depositions of witnesses to perpetuate their testimony for use in the event of
further proceedings in the court. In such case the party who desires to
perpetuate the testimony may make a motion for leave to take the deposition
upon the same notice and service as if the action was pending in the court.
The motion shall show (1) the names and addresses of persons to be
examined and the substance of the testimony which the movant expects to
elicit from each, and (2) the reason for perpetuating their testimony. If the
court finds that the perpetuation of the testimony is proper to avoid a failure
or delay in justice, it may make an order allowing the deposition to be taken
and may make orders of the character provided for by these rules, and
thereupon the deposition may be taken and used in the same manner and
under the same conditions as are prescribed in these rules for depositions
taken in actions pending in the court.

(c) Perpetuation by Action. This rule does not limit the power of a court
to entertain an action to perpetuate testimony.

COMMITTEE NOTES



1980 Amendment. Subdivision (d) is repealed because depositions de
bene esse are obsolete. Rules 1.280 and 1.310 with the remainder of this rule
cover all needed deposition circumstances and do so better. Subdivision (d)
was taken from former chapter 63, Florida Statutes, and is not a complete
procedure without reference to the parts of the statute not carried forward in
the rule.



 Rule 1.300. 
Fla. R. Civ. P. 1.300

RULE 1.300. PERSONS BEFORE WHOM DEPOSITIONS MAY BE
TAKEN.

(a) Persons Authorized. Depositions may be taken before any notary
public or judicial officer or before any officer authorized by the statutes of
Florida to take acknowledgments or proof of executions of deeds or by any
person appointed by the court in which the action is pending.

(b) In Foreign Countries. In a foreign country depositions may be taken
(1) on notice before a person authorized to administer oaths in the place in
which the examination is held, either by the law thereof or by the law of
Florida or of the United States, (2) before a person commissioned by the
court, and a person so commissioned shall have the power by virtue of the
commission to administer any necessary oath and take testimony, or (3)
pursuant to a letter rogatory. A commission or a letter rogatory shall be
issued on application and notice and on terms that are just and appropriate. It
is not requisite to the issuance of a commission or a letter rogatory that the
taking of the deposition in any other manner is impracticable or inconvenient,
and both a commission and a letter rogatory may be issued in proper cases. A
notice or commission may designate the person before whom the deposition
is to be taken either by name or descriptive title. A letter rogatory may be
addressed To the Appropriate Authority in _________ (name of country)
_________. Evidence obtained in response to a letter rogatory need not be
excluded merely for the reason that it is not a verbatim transcript or that the
testimony was not taken under oath or any similar departure from the
requirements for depositions taken within Florida under these rules.

(c) Selection by Stipulation. If the parties so stipulate in writing,
depositions may be taken before any person at any time or place upon any
notice and in any manner and when so taken may be used like other
depositions.

(d) Persons Disqualified. Unless so stipulated by the parties, no
deposition shall be taken before a person who is a relative, employee,
attorney, or counsel of any of the parties, is a relative or employee of any of
the parties attorney or counsel, or is financially interested in the action.



 Rule 1.310. 
Fla. R. Civ. P. 1.310

RULE 1.310. DEPOSITIONS UPON ORAL EXAMINATION.
(a) When Depositions May Be Taken. After commencement of the action

any party may take the testimony of any person, including a party, by
deposition upon oral examination. Leave of court, granted with or without
notice, must be obtained only if the plaintiff seeks to take a deposition within
30 days after service of the process and initial pleading on any defendant,
except that leave is not required (1) if a defendant has served a notice of
taking deposition or otherwise sought discovery, or (2) if special notice is
given as provided in subdivision (b)(2) of this rule. The attendance of
witnesses may be compelled by subpoena as provided in rule 1.410. The
deposition of a person confined in prison may be taken only by leave of court
on such terms as the court prescribes.

(b) Notice; Method of Taking; Production at Deposition.
(1) A party desiring to take the deposition of any person on oral

examination must give reasonable notice in writing to every other party to
the action. The notice must state the time and place for taking the
deposition and the name and address of each person to be examined, if
known, and, if the name is not known, a general description sufficient to
identify the person or the particular class or group to which the person
belongs. If a subpoena duces tecum is to be served on the person to be
examined, the designation of the materials to be produced under the
subpoena must be attached to or included in the notice.

(2) Leave of court is not required for the taking of a deposition by
plaintiff if the notice states that the person to be examined is about to go
out of the state and will be unavailable for examination unless a deposition
is taken before expiration of the 30-day period under subdivision (a). If a
party shows that when served with notice under this subdivision that party
was unable through the exercise of diligence to obtain counsel to represent
the party at the taking of the deposition, the deposition may not be used
against that party.

(3) For cause shown the court may enlarge or shorten the time for taking
the deposition.



(4) Any deposition may be audiovisually recorded without leave of the
court or stipulation of the parties, provided the deposition is taken in
accordance with this subdivision.

(A) Notice. In addition to the requirements in subdivision (b)(1), a
party intending to audiovisually record a deposition must:

i. state that the deposition is to be audiovisually recorded in the title of the
notice; and

ii. identify the method for audiovisually recording the deposition and, if
applicable, provide the name and address of the operator of the audiovisual
recording equipment in the body of the notice.

(B) Stenographer. Audiovisually recorded depositions must also be
recorded stenographically, unless all parties agree otherwise.

(C) Procedure. At the beginning of the deposition, the officer before
whom it is taken must, on camera: (i) identify the style of the action, (ii)
state the date, and (iii) put the witness under oath as provided in
subdivision (c)(1).

(D) Responsibility for Recordings and Copies. The attorney for the
party or the pro se party requesting the audiovisual recording of the
deposition is responsible for safeguarding the recording, must permit the
viewing of it by the opposing party, and, if requested, must provide
access to a copy of the recording at the expense of the party requesting
the copy.

(E) Cost of Audiovisually Recorded Depositions. The party
requesting the audiovisual recording must bear the initial cost of the
recording.
(5) The notice to a party deponent may be accompanied by a request

made in compliance with rule 1.350 for the production of documents and
tangible things at the taking of the deposition. The procedure of rule 1.350
applies to the request. Rule 1.351 provides the exclusive procedure for
obtaining documents or things by subpoena from nonparties without
deposing the custodian or other person in possession of the documents.

(6) In the notice a party may name as the deponent a public or private
corporation, a partnership or association, or a governmental agency, and



designate with reasonable particularity the matters on which examination is
requested. The organization so named must designate one or more officers,
directors, or managing agents, or other persons who consent to do so, to
testify on its behalf and may state the matters on which each person
designated will testify. The persons so designated must testify about
matters known or reasonably available to the organization. This
subdivision does not preclude taking a deposition by any other procedure
authorized in these rules.

(7) A deposition may be taken by communication technology, as that
term is defined in Florida Rule of General Practice and Judicial
Administration 2.530, if stipulated by the parties or if ordered by the court
on its own motion or on motion of a party. The order may prescribe the
manner in which the deposition will be taken. In addition to the
requirements of subdivision (b)(1), a party intending to take a deposition
by communication technology must:

(A) state that the deposition is to be taken using communication
technology in the title of the notice; and

(B) identify the specific form of communication technology to be
used and provide instructions for access to the communication
technology in the body of the notice.
(8) Any minor subpoenaed for testimony has the right to be

accompanied by a parent or guardian at all times during the taking of
testimony notwithstanding the invocation of the rule of sequestration of
section 90.616, Florida Statutes, except on a showing that the presence of a
parent or guardian is likely to have a material, negative impact on the
credibility or accuracy of the minors testimony, or that the interests of the
parent or guardian are in actual or potential conflict with the interests of
the minor.
(c) Examination and Cross-Examination; Record of Examination; Oath;

Objections; Transcription. (1) Examination and cross-examination of
witnesses may proceed as permitted at the trial. The officer before whom the
deposition is to be taken must put the witness under oath and must
personally, or by someone acting under the officers direction and in the
officers presence, record the testimony of the witness, except that when a
deposition is being taken by communication technology under subdivision (b)



(7), the witness must be put under oath as provided in Florida Rule of
General Practice and Judicial Administration 2.530(b)(2)(B). The testimony
must be taken stenographically or audiovisually recorded under subdivision
(b)(4). All objections made at the time of the examination to the
qualifications of the officer taking the deposition, the manner of taking it, the
evidence presented, or the conduct of any party, and any other objection to
the proceedings must be noted by the officer on the deposition. Any objection
during a deposition must be stated concisely and in a nonargumentative and
nonsuggestive manner. A party may instruct a deponent not to answer only
when necessary to preserve a privilege, to enforce a limitation on evidence
directed by the court, or to present a motion under subdivision (d). Otherwise,
evidence objected to must be taken subject to the objections. Instead of
participating in the oral examination, parties may serve written questions in a
sealed envelope on the party taking the deposition and that party must
transmit them to the officer, who must propound them to the witness and
record the answers verbatim.

(2) If requested by a party, the testimony must be transcribed at the
initial cost of the requesting party and prompt notice of the request must be
given to all other parties. A party who intends to use an audio or
audiovisual recording of testimony at a hearing or trial must have the
testimony transcribed and must file a copy of the transcript with the court.
(d) Motion to Terminate or Limit Examination. At any time during the

taking of the deposition, on motion of a party or of the deponent and on a
showing that the examination is being conducted in bad faith or in such
manner as unreasonably to annoy, embarrass, or oppress the deponent or
party, or that objection and instruction to a deponent not to answer are being
made in violation of rule 1.310(c), the court in which the action is pending or
the circuit court where the deposition is being taken may order the officer
conducting the examination to cease immediately from taking the deposition
or may limit the scope and manner of the taking of the deposition under rule
1.280(c). If the order terminates the examination, it shall be resumed
thereafter only on the order of the court in which the action is pending. Upon
demand of any party or the deponent, the taking of the deposition must be
suspended for the time necessary to make a motion for an order. The
provisions of rule 1.380(a) apply to the award of expenses incurred in relation
to the motion.



(e) Witness Review. If the testimony is transcribed, the transcript must be
furnished to the witness for examination and must be read to or by the
witness unless the examination and reading are waived by the witness and by
the parties. Any changes in form or substance that the witness wants to make
must be listed in writing by the officer with a statement of the reasons given
by the witness for making the changes. The changes must be attached to the
transcript. It must then be signed by the witness unless the parties waived the
signing or the witness is ill, cannot be found, or refuses to sign. If the
transcript is not signed by the witness within a reasonable time after it is
furnished to the witness, the officer must sign the transcript and state on the
transcript the waiver, illness, absence of the witness, or refusal to sign with
any reasons given therefor. The deposition may then be used as fully as
though signed unless the court holds that the reasons given for the refusal to
sign require rejection of the deposition wholly or partly, on motion under rule
1.330(d)(4).

(f) Filing; Exhibits.
(1) If the deposition is transcribed, the officer must certify on each copy

of the deposition that the witness was duly sworn by the officer and that
the deposition is a true record of the testimony given by the witness.
Documents and things produced for inspection during the examination of
the witness must be marked for identification and annexed to and returned
with the deposition on the request of a party, and may be inspected and
copied by any party, except that the person producing the materials may
substitute copies to be marked for identification if that person affords to all
parties fair opportunity to verify the copies by comparison with the
originals. If the person producing the materials requests their return, the
officer must mark them, give each party an opportunity to inspect and copy
them, and return them to the person producing them and the materials may
then be used in the same manner as if annexed to and returned with the
deposition.

(2) Upon payment of reasonable charges therefor the officer must
furnish a copy of the deposition to any party or to the deponent.

(3) A copy of a deposition may be filed only under the following
circumstances:

(A) It may be filed in compliance with Florida Rule of General



Practice and Judicial Administration 2.425 and rule 1.280(g) by a party
or the witness when the contents of the deposition must be considered
by the court on any matter pending before the court. Prompt notice of
the filing of the deposition must be given to all parties unless notice is
waived. A party filing the deposition must furnish a copy of the
deposition or the part being filed to other parties unless the party already
has a copy.

(B) If the court determines that a deposition previously taken is
necessary for the decision of a matter pending before the court, the court
may order that a copy be filed by any party at the initial cost of the
party, and the filing party must comply with rules 2.425 and 1.280(g).

(g) Obtaining Copies. A party or witness who does not have a copy of the
deposition may obtain it from the officer taking the deposition unless the
court orders otherwise. If the deposition is obtained from a person other than
the officer, the reasonable cost of reproducing the copies must be paid to the
person by the requesting party or witness.

(h) Failure to Attend or to Serve Subpoena; Expenses.
(1) If the party giving the notice of the taking of a deposition fails to

attend and proceed therewith and another party attends in person or by
attorney pursuant to the notice, the court may order the party giving the
notice to pay to the other party the reasonable expenses incurred by the
other party and the other partys attorney in attending, including reasonable
attorneys fees.

(2) If the party giving the notice of the taking of a deposition of a
witness fails to serve a subpoena on the witness and the witness because of
the failure does not attend and if another party attends in person or by
attorney because that other party expects the deposition of that witness to
be taken, the court may order the party giving the notice to pay to the other
party the reasonable expenses incurred by that other party and that other
partys attorney in attending, including reasonable attorneys fees.

COMMITTEE NOTES

1972 Amendment. Derived from Federal Rule of Civil Procedure 30 as
amended in 1970. Subdivision (a) is derived from rule 1.280(a); subdivision



(b) from rule 1.310(a) with additional matter added; the first sentence of
subdivision (c) has been added and clarifying language added throughout the
remainder of the rule.

1976 Amendment. Subdivision (b)(4) has been amended to allow the
taking of a videotaped deposition as a matter of right. Provisions for the
taxation of costs and the entry of a standard order are included as well. This
new amendment allows the contemporaneous stenographic transcription of a
videotaped deposition.

1988 Amendment. The amendments to subdivision (b)(4) are to provide
for depositions by videotape as a matter of right.

The notice provision is to ensure that specific notice is given that the
deposition will be videotaped and to disclose the identity of the operator. It
was decided not to make special provision for a number of days notice.

The requirement that a stenographer be present (who is also the person
likely to be swearing the deponent) is to ensure the availability of a transcript
(although not required). The transcript would be a tool to ensure the accuracy
of the videotape and thus eliminate the need to establish other procedures
aimed at the same objective (like time clocks in the picture and the like). This
does not mean that a transcript must be made. As at ordinary depositions, this
would be up to the litigants.

Technical videotaping procedures were not included. It is anticipated that
technical problems may be addressed by the court on motions to quash or
motions for protective orders.

Subdivision (c) has been amended to accommodate the taking of
depositions by telephone. The amendment requires the deponent to be sworn
by a person authorized to administer oaths in the deponents location and
who is present with the deponent.

1992 Amendment. Subdivision (b)(4)(D) is amended to clarify an
ambiguity in whether the cost of the videotape copy is to be borne by the
party requesting the videotaping or by the party requesting the copy. The
amendment requires the party requesting the copy to bear the cost of the
copy.

1996 Amendment. Subdivision (c) is amended to state the existing law,
which authorizes attorneys to instruct deponents not to answer questions only



in specific situations. This amendment is derived from Federal Rule of Civil
Procedure 30(d) as amended in 1993.

2010 Amendment. Subdivision (b)(5) is amended to clarify that the
procedure set forth in rule 1.351 must be followed when requesting or
receiving documents or things without testimony, from nonparties pursuant to
a subpoena. The amendment is intended to prevent the use of rules 1.310 and
1.410 to request documents from nonparties pursuant to a subpoena without
giving the opposing party the opportunity to object to the subpoena before it
is served on the nonparty as required by rule 1.351.

2011 Amendment. A reference to Florida Rule of General Practice and
Judicial Administration 2.425 and rule 1.280(f) is added to require persons
filing discovery materials with the court to make sure that good cause exists
prior to filing discovery materials and that certain specific personal
information is redacted.

COURT COMMENTARY

1984 Amendment. Subdivision (b)(7) is added to authorize deposition by
telephone, with provision for any party to have a stenographic transcription at
that partys own initial expense.

Subdivision (d) is changed to permit any party to terminate the deposition,
not just the objecting party.

Subdivision (e) is changed to eliminate the confusing requirement that a
transcript be submitted to the witness. The term has been construed as
requiring the court reporter to travel, if necessary, to the witness, and creates
a problem when a witness is deposed in Florida and thereafter leaves the state
before signing. The change is intended to permit the parties and the court
reporter to handle such situations on an ad hoc basis as is most appropriate.

Subdivision (f) is the committees action in response to the petition seeking
amendment to rule 1.310(f) filed in the Supreme Court Case No. 62,699.
Subdivision (f) is changed to clarify the need for furnishing copies when a
deposition, or part of it, is properly filed, to authorize the court to require a
deposition to be both transcribed and filed, and to specify that a party who
does not obtain a copy of the deposition may get it from the court reporter
unless ordered otherwise by the court. This eliminates the present



requirement of furnishing a copy of the deposition, or material part of it, to a
person who already has a copy in subdivision (f)(3)(A).

Subdivision (f)(3)(B) broadens the authority of the court to require the
filing of a deposition that has been taken, but not transcribed.

Subdivision (g) requires a party to obtain a copy of the deposition from the
court reporter unless the court orders otherwise. Generally, the court should
not order a party who has a copy of the deposition to furnish it to someone
who has neglected to obtain it when the deposition was transcribed. The
person should obtain it from the court reporter unless there is a good reason
why it cannot be obtained from the reporter.



 Rule 1.320. 
Fla. R. Civ. P. 1.320

RULE 1.320. DEPOSITIONS UPON WRITTEN QUESTIONS.
(a) Serving Questions; Notice. After commencement of the action any

party may take the testimony of any person, including a party, by deposition
upon written questions. The attendance of witnesses may be compelled by the
use of subpoena as provided in rule 1.410. The deposition of a person
confined in prison may be taken only by leave of court on such terms as the
court prescribes. A party desiring to take a deposition upon written questions
must serve them with a notice stating (1) the name and address of the person
who is to answer them, if known, and, if the name is not known, a general
description sufficient to identify the person or the particular class or group to
which that person belongs, and (2) the name or descriptive title and address
of the officer before whom the deposition is to be taken. A deposition upon
written questions may be taken of a public or private corporation, a
partnership or association, or a governmental agency in accordance with rule
1.310(b)(6). Within 30 days after the notice and written questions are served,
a party may serve cross questions on all other parties. Within 10 days after
being served with cross questions, a party may serve redirect questions on all
other parties. Within 10 days after being served with redirect questions, a
party may serve recross questions on all other parties. Notwithstanding any
contrary provision of rule 1.310(c), objections to the form of written
questions are waived unless served in writing on the party propounding them
within the time allowed for serving the succeeding cross or other questions
and within 10 days after service of the last questions authorized. The court
may for cause shown enlarge or shorten the time.

(b) Officer to Take Responses and Prepare Record. A copy of the
notice and copies of all questions served must be delivered by the party
taking the depositions to the officer designated in the notice, who must
proceed promptly to take the testimony of the witness in the manner provided
by rules 1.310(c), (e), and (f) in response to the questions and to prepare the
deposition, attaching the copy of the notice and the questions received by the
officer. The questions must not be filed separately from the deposition unless
a party seeks to have the court consider the questions before the questions are
submitted to the witness. Any deposition may be audiovisually recorded



without leave of the court or stipulation of the parties, provided the
deposition is taken in accordance with rule 1.310(b)(4).

COMMITTEE NOTES

1972 Amendment. Derived from Federal Rule of Civil Procedure 31 as
amended in 1970. The name of interrogatories has been changed to questions
to avoid confusion with interrogatories to parties under rule 1.340. Language
changes resulting from the rearrangement of the discovery rules have been
inserted and subdivision (d) deleted.



 Rule 1.330. 
Fla. R. Civ. P. 1.330

RULE 1.330. USE OF DEPOSITIONS IN COURT PROCEEDINGS.
(a) Use of Depositions. At the trial or upon the hearing of a motion or an

interlocutory proceeding, any part or all of a deposition may be used against
any party who was present or represented at the taking of the deposition or
who had reasonable notice of it so far as admissible under the rules of
evidence applied as though the witness were then present and testifying in
accordance with any of the following provisions:

(1) Any deposition may be used by any party for the purpose of
contradicting or impeaching the testimony of the deponent as a witness or
for any purpose permitted by the Florida Evidence Code.

(2) The deposition of a party or of anyone who at the time of taking the
deposition was an officer, director, or managing agent or a person
designated under rule 1.310(b)(6) or 1.320(a) to testify on behalf of a
public or private corporation, a partnership or association, or a
governmental agency that is a party may be used by an adverse party for
any purpose.

(3) The deposition of a witness, whether or not a party, may be used by
any party for any purpose if the court finds: (A) that the witness is dead;
(B) that the witness is at a greater distance than 100 miles from the place of
trial or hearing, or is out of the state, unless it appears that the absence of
the witness was procured by the party offering the deposition; (C) that the
witness is unable to attend or testify because of age, illness, infirmity, or
imprisonment; (D) that the party offering the deposition has been unable to
procure the attendance of the witness by subpoena; (E) upon application
and notice, that such exceptional circumstances exist as to make it
desirable, in the interest of justice and with due regard to the importance of
presenting the testimony of witnesses orally in open court, to allow the
deposition to be used; or (F) the witness is an expert or skilled witness.

(4) If only part of a deposition is offered in evidence by a party, an
adverse party may require the party to introduce any other part that in
fairness ought to be considered with the part introduced, and any party may
introduce any other parts.



(5) Substitution of parties pursuant to rule 1.260 does not affect the right
to use depositions previously taken and, when an action in any court of the
United States or of any state has been dismissed and another action
involving the same subject matter is afterward brought between the same
parties or their representatives or successors in interest, all depositions
lawfully taken and duly filed in the former action may be used in the latter
as if originally taken for it.

(6) If a civil action is afterward brought, all depositions lawfully taken in
a medical liability mediation proceeding may be used in the civil action as
if originally taken for it.
(b) Objections to Admissibility. Subject to the provisions of rule 1.300(b)

and subdivision (d)(3) of this rule, objection may be made at the trial or
hearing to receiving in evidence any deposition or part of it for any reason
that would require the exclusion of the evidence if the witness were then
present and testifying.

(c) Effect of Taking or Using Depositions. A party does not make a
person the partys own witness for any purpose by taking the persons
deposition. The introduction in evidence of the deposition or any part of it for
any purpose other than that of contradicting or impeaching the deponent
makes the deponent the witness of the party introducing the deposition, but
this shall not apply to the use by an adverse party of a deposition under
subdivision (a)(2) of this rule. At the trial or hearing any party may rebut any
relevant evidence contained in a deposition whether introduced by that party
or by any other party.

(d) Effect of Errors and Irregularities.
(1) As to Notice. All errors and irregularities in the notice for taking a

deposition are waived unless written objection is promptly served upon the
party giving the notice.

(2) As to Disqualification of Officer. Objection to taking a deposition
because of disqualification of the officer before whom it is to be taken is
waived unless made before the taking of the deposition begins or as soon
thereafter as the disqualification becomes known or could be discovered
with reasonable diligence.

(3) As to Taking of Deposition.



(A) Objections to the competency of a witness or to the competency,
relevancy, or materiality of testimony are not waived by failure to make
them before or during the taking of the deposition unless the ground of
the objection is one that might have been obviated or removed if
presented at that time.

(B) Errors and irregularities occurring at the oral examination in the
manner of taking the deposition, in the form of the questions or answers,
in the oath or affirmation, or in the conduct of parties and errors of any
kind that might be obviated, removed, or cured if promptly presented are
waived unless timely objection to them is made at the taking of the
deposition.

(C) Objections to the form of written questions submitted under rule
1.320 are waived unless served in writing upon the party propounding
them within the time allowed for serving the succeeding cross or other
questions and within 10 days after service of the last questions
authorized.
(4) As to Completion and Return. Errors and irregularities in the

manner in which the testimony is transcribed or the deposition is prepared,
signed, certified, or otherwise dealt with by the officer under rules 1.310
and 1.320 are waived unless a motion to suppress the deposition or some
part of it is made with reasonable promptness after the defect is, or with
due diligence might have been, discovered.

COMMITTEE NOTES

1972 Amendment. Derived from Federal Rule of Civil Procedure 32 as
amended in 1970. Subdivisions (a), (b), and (c) are former rules 1.280(d), (f),
and (g) respectively. Subdivision (d) is derived from the entire former rule
1.330.

1998 Amendment. Subdivision (a)(1) was amended to clarify that, in
addition to the uses of depositions prescribed by these rules, depositions may
be used for any purpose permitted by the Florida Evidence Code (chapter 90,
Fla. Stat.). This amendment is consistent with the 1980 amendment to Rule
32 of the Federal Rules of Civil Procedure.



 Rule 1.340. 
Fla. R. Civ. P. 1.340

RULE 1.340. INTERROGATORIES TO PARTIES.
(a) Procedure for Use. Without leave of court, any party may serve on

any other party written interrogatories to be answered (1) by the party to
whom the interrogatories are directed, or (2) if that party is a public or private
corporation or partnership or association or governmental agency, by any
officer or agent, who must furnish the information available to that party.
Interrogatories may be served on the plaintiff after commencement of the
action and on any other party with or after service of the process and initial
pleading on that party. The interrogatories must not exceed 30, including all
subparts, unless the court permits a larger number on motion and notice and
for good cause. If the supreme court has approved a form of interrogatories
for the type of action, the initial interrogatories on a subject included within
must be from the form approved by the court. A party may serve fewer than
all of the approved interrogatories within a form. Other interrogatories may
be added to the approved forms without leave of court, so long as the total of
approved and additional interrogatories does not exceed 30. Each
interrogatory must be answered separately and fully in writing under oath
unless it is objected to, in which event the grounds for objection must be
stated and signed by the attorney making it. The party to whom the
interrogatories are directed must serve the answers and any objections within
30 days after the service of the interrogatories, except that a defendant may
serve answers or objections within 45 days after service of the process and
initial pleading on that defendant. The court may allow a shorter or longer
time. The party submitting the interrogatories may move for an order under
rule 1.380(a) on any objection to or other failure to answer an interrogatory.

(b) Scope; Use at Trial. Interrogatories may relate to any matters that can
be inquired into under rule 1.280(b), and the answers may be used to the
extent permitted by the rules of evidence except as otherwise provided in this
subdivision. An interrogatory otherwise proper is not objectionable merely
because an answer to the interrogatory involves an opinion or contention that
relates to fact or calls for a conclusion or asks for information not within the
personal knowledge of the party. A party must respond to such an
interrogatory by giving the information the party has and the source on which



the information is based. Such a qualified answer may not be used as direct
evidence for or impeachment against the party giving the answer unless the
court finds it otherwise admissible under the rules of evidence. If a party
introduces an answer to an interrogatory, any other party may require that
party to introduce any other interrogatory and answer that in fairness ought to
be considered with it.

(c) Option to Produce Records. When the answer to an interrogatory may
be derived or ascertained from the records (including electronically stored
information) of the party to whom the interrogatory is directed or from an
examination, audit, or inspection of the records or from a compilation,
abstract, or summary based on the records and the burden of deriving or
ascertaining the answer is substantially the same for the party serving the
interrogatory as for the party to whom it is directed, an answer to the
interrogatory specifying the records from which the answer may be derived
or ascertained and offering to give the party serving the interrogatory a
reasonable opportunity to examine, audit, or inspect the records and to make
copies, compilations, abstracts, or summaries is a sufficient answer. An
answer must be in sufficient detail to permit the interrogating party to locate
and to identify, as readily as can the party interrogated, the records from
which the answer may be derived or ascertained, or must identify a person or
persons representing the interrogated party who will be available to assist the
interrogating party in locating and identifying the records at the time they are
produced. If the records to be produced consist of electronically stored
information, the records must be produced in a form or forms in which they
are ordinarily maintained or in a reasonably usable form or forms.

(d) Effect on Co-Party. Answers made by a party shall not be binding on
a co-party.

(e) Service and Filing. Interrogatories must be served on the party to
whom the interrogatories are directed and copies must be served on all other
parties. A certificate of service of the interrogatories must be filed, giving the
date of service and the name of the party to whom they were directed. The
answers to the interrogatories must be served on the party originally
propounding the interrogatories and a copy must be served on all other
parties by the answering party. The original or any copy of the answers to
interrogatories may be filed in compliance with Florida Rule of General
Practice and Judicial Administration 2.425 and rule 1.280(g) by any party



when the court should consider the answers to interrogatories in determining
any matter pending before the court. The court may order a copy of the
answers to interrogatories filed at any time when the court determines that
examination of the answers to interrogatories is necessary to determine any
matter pending before the court.

COMMITTEE NOTES

1972 Amendment. Subdivisions (a), (b), and (c) are derived from Federal
Rule of Civil Procedure 33 as amended in 1970. Changes from the existing
rule expand the time for answering, permit interrogatories to be served with
the initial pleading or at any time thereafter, and eliminate the requirement of
a hearing on objections. If objections are made, the interrogating party has
the responsibility of setting a hearing if that party wants an answer. If the
interrogatories are not sufficiently important, the interrogating party may let
the matter drop. Subdivision (b) covers the same matter as the present rule
1.340(b) except those parts that have been transferred to rule 1.280. It also
eliminates the confusion between facts and opinions or contentions by
requiring that all be given. Subdivision (c) gives the interrogated party an
option to produce business records from which the interrogating party can
derive the answers to questions. Subdivision (d) is former subdivision (c)
without change. Former subdivision (d) is repealed because it is covered in
rule 1.280(e). Subdivision (e) is derived from the New Jersey rules and is
intended to place both the interrogatories and the answers to them in a
convenient place in the court file so that they can be referred to with less
confusion.

The requirement for filing a copy before the answers are received is
necessary in the event of a dispute concerning what was done or the
appropriate times involved.

1988 Amendment. The word initial in the 1984 amendment to
subdivision (a) resulted in some confusion, so it has been deleted. Also the
total number of interrogatories which may be propounded without leave of
court is enlarged to 30 from 25. Form interrogatories which have been
approved by the supreme court must be used; and those so used, with their
subparts, are included in the total number permitted. The amendments are not
intended to change any other requirement of the rule.



2011 Amendment. A reference to Florida Rule of General Practice and
Judicial Administration 2.425 and rule 1.280(f) is added to require persons
filing discovery materials with the court to make sure that good cause exists
prior to filing discovery materials and that certain specific personal
information is redacted.

2012 Amendment. Subdivision (c) is amended to provide for the
production of electronically stored information in answer to interrogatories
and to set out a procedure for determining the form in which to produce
electronically stored information.

COURT COMMENTARY

1984 Amendment. Subdivision (a) is amended by adding the reference to
approved forms of interrogatories. The intent is to eliminate the burden of
unnecessary interrogatories.

Subdivision (c) is amended to add the requirement of detail in identifying
records when they are produced as an alternative to answering the
interrogatory or to designate the persons who will locate the records.

Subdivision (e) is changed to eliminate the requirement of serving an
original and a copy of the interrogatories and of the answers in light of the
1981 amendment that no longer permits filing except in special
circumstances.

Subdivision (f) is deleted since the Medical Liability Mediation
Proceedings have been eliminated.

1988 Amendment. A reference to Florida Rule of Judicial Administration
2.425 and rule 1.280(f) is added to require persons filing discovery materials
with the cour t to make sure that good cause exists prior to filing discovery
materials and that certain specific personal information is redacted.



 Rule 1.350. 
Fla. R. Civ. P. 1.350

RULE 1.350. PRODUCTION OF DOCUMENTS AND THINGS AND
ENTRY UPON LAND FOR INSPECTION AND OTHER
PURPOSES.

(a) Request; Scope. Any party may request any other party (1) to produce
and permit the party making the request, or someone acting in the requesting
partys behalf, to inspect and copy any designated documents, including
electronically stored information, writings, drawings, graphs, charts,
photographs, audio, visual, and audiovisual recordings, and other data
compilations from which information can be obtained, translated, if
necessary, by the party to whom the request is directed through detection
devices into reasonably usable form, that constitute or contain matters within
the scope of rule 1.280(b) and that are in the possession, custody, or control
of the party to whom the request is directed; (2) to inspect and copy, test, or
sample any tangible things that constitute or contain matters within the scope
of rule 1.280(b) and that are in the possession, custody, or control of the party
to whom the request is directed; or (3) to permit entry upon designated land
or other property in the possession or control of the party upon whom the
request is served for the purpose of inspection and measuring, surveying,
photographing, testing, or sampling the property or any designated object or
operation on it within the scope of rule 1.280(b).

(b) Procedure. Without leave of court the request may be served on the
plaintiff after commencement of the action and on any other party with or
after service of the process and initial pleading on that party. The request
shall set forth the items to be inspected, either by individual item or category,
and describe each item and category with reasonable particularity. The
request shall specify a reasonable time, place, and manner of making the
inspection or performing the related acts. The party to whom the request is
directed shall serve a written response within 30 days after service of the
request, except that a defendant may serve a response within 45 days after
service of the process and initial pleading on that defendant. The court may
allow a shorter or longer time. For each item or category the response shall
state that inspection and related activities will be permitted as requested
unless the request is objected to, in which event the reasons for the objection



shall be stated. If an objection is made to part of an item or category, the part
shall be specified. When producing documents, the producing party shall
either produce them as they are kept in the usual course of business or shall
identify them to correspond with the categories in the request. A request for
electronically stored information may specify the form or forms in which
electronically stored information is to be produced. If the responding party
objects to a requested form, or if no form is specified in the request, the
responding party must state the form or forms it intends to use. If a request
for electronically stored information does not specify the form of production,
the producing party must produce the information in a form or forms in
which it is ordinarily maintained or in a reasonably usable form or forms. The
party submitting the request may move for an order under rule 1.380
concerning any objection, failure to respond to the request, or any part of it,
or failure to permit inspection as requested.

(c) Persons Not Parties. This rule does not preclude an independent action
against a person not a party for production of documents and things and
permission to enter upon land.

(d) Filing of Documents. Unless required by the court, a party shall not
file any of the documents or things produced with the response. Documents
or things may be filed in compliance with Florida Rule of General Practice
and Judicial Administration 2.425 and rule 1.280(g) when they should be
considered by the court in determining a matter pending before the court.

COMMITTEE NOTES

1972 Amendment. Derived from Federal Rule of Civil Procedure 34 as
amended in 1970. The new rule eliminates the good cause requirement of the
former rule, changes the time for making the request and responding to it, and
changes the procedure for the response. If no objection to the discovery is
made, inspection is had without a court order. While the good cause
requirement has been eliminated, the change is not intended to overrule cases
limiting discovery under this rule to the scope of ordinary discovery, nor is it
intended to overrule cases limiting unreasonable requests such as those
reviewed in Van Devere v. Holmes, 156 So. 2d 899 (Fla. 3d DCA 1963); IBM
v. Elder, 187 So. 2d 82 (Fla. 3d DCA 1966); and Miami v. Florida Public
Service Commission, 226 So. 2d 217 (Fla. 1969). It is intended that the court



review each objection and weigh the need for discovery and the likely results
of it against the right of privacy of the party or witness or custodian.

1980 Amendment. Subdivision (b) is amended to require production of
documents as they are kept in the usual course of business or in accordance
with the categories in the request.

2011 Amendment. A reference to Florida Rule of General Practice and
Judicial Administration 2.425 and rule 1.280(f) is added to require persons
filing discovery materials with the court to make sure that good cause exists
prior to filing discovery materials and that certain specific personal
information is redacted.

2012 Amendment. Subdivision (a) is amended to address the production
of electronically stored information. Subdivision (b) is amended to set out a
procedure for determining the form to be used in producing electronically
stored information.



 Rule 1.351. 
Fla. R. Civ. P. 1.351

RULE 1.351. PRODUCTION OF DOCUMENTS AND THINGS
WITHOUT DEPOSITION.

(a) Request; Scope. A party may seek inspection and copying of any
documents or things within the scope of rule 1.350(a) from a person who is
not a party by issuance of a subpoena directing the production of the
documents or things when the requesting party does not seek to depose the
custodian or other person in possession of the documents or things. This rule
provides the exclusive procedure for obtaining documents or things by
subpoena from nonparties without deposing the custodian or other person in
possession of the documents or things pursuant to rule 1.310.

(b) Procedure. A party desiring production under this rule shall serve
notice as provided in Florida Rule of General Practice and Judicial
Administration 2.516 on every other party of the intent to serve a subpoena
under this rule at least 10 days before the subpoena is issued if service is by
delivery or e-mail and 15 days before the subpoena is issued if the service is
by mail. The proposed subpoena shall be attached to the notice and shall state
the time, place, and method for production of the documents or things, and
the name and address of the person who is to produce the documents or
things, if known, and if not known, a general description sufficient to identify
the person or the particular class or group to which the person belongs; shall
include a designation of the items to be produced; and shall state that the
person who will be asked to produce the documents or things has the right to
object to the production under this rule and that the person will not be
required to surrender the documents or things. A copy of the notice and
proposed subpoena shall not be furnished to the person upon whom the
subpoena is to be served. If any party serves an objection to production under
this rule within 10 days of service of the notice, the documents or things shall
not be produced pending resolution of the objection in accordance with
subdivision (d).

(c) Subpoena. If no objection is made by a party under subdivision (b), an
attorney of record in the action may issue a subpoena or the party desiring
production shall deliver to the clerk for issuance a subpoena together with a
certificate of counsel or pro se party that no timely objection has been



received from any party, and the clerk shall issue the subpoena and deliver it
to the party desiring production. Service within the state of Florida of a
nonparty subpoena shall be deemed sufficient if it complies with rule
1.410(d) or if (1) service is accomplished by mail or hand delivery by a
commercial delivery service, and (2) written confirmation of delivery, with
the date of service and the name and signature of the person accepting the
subpoena, is obtained and filed by the party seeking production. The
subpoena shall be identical to the copy attached to the notice and shall
specify that no testimony may be taken and shall require only pro-duction of
the documents or things specified in it. The subpoena may give the recipient
an option to deliver or mail legible copies of the documents or things to the
party serving the subpoena. The person upon whom the subpoena is served
may condition the preparation of copies on the payment in advance of the
reasonable costs of preparing the copies. The subpoena shall require
production only in the county of the residence of the custodian or other
person in possession of the documents or things or in the county where the
documents or things are located or where the custodian or person in
possession usually conducts business. If the person upon whom the subpoena
is served objects at any time before the production of the documents or
things, the documents or things shall not be produced under this rule, and
relief may be obtained pursuant to rule 1.310.

(d) Ruling on Objection. If an objection is made by a party under
subdivision (b), the party desiring production may file a motion with the
court seeking a ruling on the objection or may proceed pursuant to rule 1.310.

(e) Copies Furnished. If the subpoena is complied with by delivery or
mailing of copies as provided in subdivision (c), the party receiving the
copies shall furnish a legible copy of each item furnished to any other party
who requests it upon the payment of the reasonable cost of preparing the
copies.

(f) Independent Action. This rule does not affect the right of any party to
bring an independent action for production of documents and things or
permission to enter upon land.

COMMITTEE NOTES

1980 Adoption. This rule is designed to eliminate the need of taking a



deposition of a records custodian when the person seeking discovery wants
copies of the records only. It authorizes objections by any other party as well
as the custodian of the records. If any person objects, recourse must be had to
rule 1.310.

1996 Amendment. This rule was amended to avoid premature production
of documents by nonparties, to clarify the clerks role in the process, and to
further clarify that any objection to the use of this rule does not contemplate a
hearing before the court but directs the party to rule 1.310 to obtain the
desired production. This amendment is not intended to preclude all
communication between parties and nonparties. It is intended only to prohibit
a party from prematurely sending to a nonparty a copy of the required notice
or the proposed subpoena. This rule was also amended along with rule 1.410
to allow attorneys to issue subpoenas. See Committee Note for rule 1.410.

2007 Amendment. Subdivisions (b) and (d) were amended to permit a
party seeking nonparty discovery to have other parties objections resolved
by the court.

2010 Amendment. Subdivision (a) is amended to clarify that the
procedure set forth in rule 1.351, not rule 1.310, shall be followed when
requesting or receiving documents or things, without testimony, from
nonparties pursuant to a subpoena.

2012 Amendment. Subdivision (b) is amended to include e-mail service as
provided in Fla. R. Jud. Admin. 2.516.



 Rule 1.360. 
Fla. R. Civ. P. 1.360

RULE 1.360. EXAMINATION OF PERSONS.
(a) Request; Scope.

(1) Any party may request any other party to submit to, or to produce a
person in that other partys custody or legal control for, examination by a
qualified expert when the condition which is the subject of the requested
examination is in controversy.

(A) When the physical condition of a party or other person under
subdivision (a)(1) is in controversy, the request may be served on the
plaintiff without leave of court after commencement of the action, and
on any other person with or after service of the process and initial
pleading on that party. The request shall specify a reasonable time,
place, manner, conditions, and scope of the examination and the person
or persons by whom the examination is to be made. The party to whom
the request is directed shall serve a response within 30 days after service
of the request, except that a defendant need not serve a response until 45
days after service of the process and initial pleading on that defendant.
The court may allow a shorter or longer time. The response shall state
that the examination will be permitted as requested unless the request is
objected to, in which event the reasons for the objection shall be stated.
If the examination is to be recorded or observed by others, the request or
response shall also include the number of people attending, their role,
and the method or methods of recording.

(B) In cases where the condition in controversy is not physical, a
party may move for an examination by a qualified expert as in
subdivision (a)(1). The order for examination shall be made only after
notice to the person to be examined and to all parties, and shall specify
the time, place, manner, conditions, and scope of the examination and
the person or persons by whom it is to be made.

(C) Any minor required to submit to examination pursuant to this rule
shall have the right to be accompanied by a parent or guardian at all
times during the examination, except upon a showing that the presence
of a parent or guardian is likely to have a material, negative impact on



the minors examination.
(2) An examination under this rule is authorized only when the party

submitting the request has good cause for the examination. At any hearing
the party submitting the request shall have the burden of showing good
cause.

(3) Upon request of either the party requesting the examination, or the
party or person to be examined, the court may establish protective rules
governing such examination.
(b) Report of Examiner.

(1) If requested by the party to whom a request for examination or
against whom an order is made under subdivision (a)(1)(A) or (a)(1)(B) or
by the person examined, the party requesting the examination to be made
shall deliver to the other party a copy of a detailed written report of the
examiner setting out the examiners findings, including results of all tests
made, diagnosis, and conclusions, with similar reports of all earlier
examinations of the same condition. After delivery of the detailed written
report, the party requesting the examination to be made shall be entitled
upon request to receive from the party to whom the request for
examination or against whom the order is made a similar report of any
examination of the same condition previously or thereafter made, unless in
the case of a report of examination of a person not a party the party shows
the inability to obtain it. On motion, the court may order delivery of a
report on such terms as are just; and if an examiner fails or refuses to make
a report, the court may exclude the examiners testimony if offered at the
trial.

(2) By requesting and obtaining a report of the examination so ordered
or requested or by taking the deposition of the examiner, the party
examined waives any privilege that party may have in that action or any
other involving the same controversy regarding the testimony of every
other person who has examined or may thereafter examine that party
concerning the same condition.

(3) This subdivision applies to examinations made by agreement of the
parties unless the agreement provides otherwise. This subdivision does not
preclude discovery of a report of an examiner or taking the deposition of



the examiner in accordance with any other rule.
(c) Examiner as Witness. The examiner may be called as a witness by any

party to the action, but shall not be identified as appointed by the court.

COMMITTEE NOTES

1972 Amendment. Derived from Federal Rule of Civil Procedure 35 as
amended in 1970. The good cause requirement under this rule has been
retained so that the requirements of Schlagenhauf v. Holder, 379 U.S. 104, 85
S. Ct. 234, 13 L. Ed. 2d 152 (1964), have not been affected. Subdivision (b)
is changed to make it clear that reports can be obtained whether an order for
the examination has been entered or not and that all earlier reports of the
same condition can also be obtained.

1988 Amendment. This amendment to subdivision (a) is intended to
broaden the scope of rule 1.360 to accommodate the examination of a person
by experts other than physicians.



 Rule 1.370. 
Fla. R. Civ. P. 1.370

RULE 1.370. REQUESTS FOR ADMISSION.
(a) Request for Admission. A party may serve upon any other party a

written request for the admission of the truth of any matters within the scope
of rule 1.280(b) set forth in the request that relate to statements or opinions of
fact or of the application of law to fact, including the genuineness of any
documents described in the request. Copies of documents shall be served
with the request unless they have been or are otherwise furnished or made
available for inspection and copying. Without leave of court the request may
be served upon the plaintiff after commencement of the action and upon any
other party with or after service of the process and initial pleading upon that
party. The request for admission shall not exceed 30 requests, including all
subparts, unless the court permits a larger number on motion and notice and
for good cause, or the parties propounding and responding to the requests
stipulate to a larger number. Each matter of which an admission is requested
shall be separately set forth. The matter is admitted unless the party to whom
the request is directed serves upon the party requesting the admission a
written answer or objection addressed to the matter within 30 days after
service of the request or such shorter or longer time as the court may allow
but, unless the court shortens the time, a defendant shall not be required to
serve answers or objections before the expiration of 45 days after service of
the process and initial pleading upon the defendant. If objection is made, the
reasons shall be stated. The answer shall specifically deny the matter or set
forth in detail the reasons why the answering party cannot truthfully admit or
deny the matter. A denial shall fairly meet the substance of the requested
admission, and when good faith requires that a party qualify an answer or
deny only a part of the matter of which an admission is requested, the party
shall specify so much of it as is true and qualify or deny the remainder. An
answering party may not give lack of information or knowledge as a reason
for failure to admit or deny unless that party states that that party has made
reasonable inquiry and that the information known or readily obtainable by
that party is insufficient to enable that party to admit or deny. A party who
considers that a matter of which an admission has been requested presents a
genuine issue for trial may not object to the request on that ground alone; the
party may deny the matter or set forth reasons why the party cannot admit or



deny it, subject to rule 1.380(c). The party who has requested the admissions
may move to determine the sufficiency of the answers or objections. Unless
the court determines that an objection is justified, it shall order that an answer
be served. If the court determines that an answer does not comply with the
requirements of this rule, it may order either that the matter is admitted or
that an amended answer be served. Instead of these orders the court may
determine that final disposition of the request be made at a pretrial conference
or at a designated time before trial. The provisions of Rule 1.380(a)(4) apply
to the award of expenses incurred in relation to the motion.

(b) Effect of Admission. Any matter admitted under this rule is
conclusively established unless the court on motion permits withdrawal or
amendment of the admission. Subject to rule 1.200 governing amendment of
a pretrial order, the court may permit withdrawal or amendment when the
presentation of the merits of the action will be subserved by it and the party
who obtained the admission fails to satisfy the court that withdrawal or
amendment will prejudice that party in maintaining an action or defense on
the merits. Any admission made by a party under this rule is for the purpose
of the pending action only and is not an admission for any other purpose nor
may it be used against that party in any other proceeding.

COMMITTEE NOTES

1972 Amendment. Derived from Federal Rule of Civil Procedure 36 as
amended in 1970. The rule is changed to eliminate distinctions between
questions of opinion, fact, and mixed questions. The time sequences are
changed in accordance with the other discovery rules, and case law is
incorporated by providing for amendment and withdrawal of the answers and
for judicial scrutiny to determine the sufficiency of the answers.

2003 Amendment. The total number of requests for admission that may be
served without leave of court is limited to 30, including all subparts.



 Rule 1.380. 
Fla. R. Civ. P. 1.380

RULE 1.380. FAILURE TO MAKE DISCOVERY; SANCTIONS.
(a) Motion for Order Compelling Discovery. Upon reasonable notice to

other parties and all persons affected, a party may apply for an order
compelling discovery as follows:

(1) Appropriate Court. An application for an order to a party may be
made to the court in which the action is pending or in accordance with rule
1.310(d). An application for an order to a deponent who is not a party shall
be made to the circuit court where the deposition is being taken.

(2) Motion. If a deponent fails to answer a question propounded or
submitted under rule 1.310 or 1.320, or a corporation or other entity fails to
make a designation under rule 1.310(b)(6) or 1.320(a), or a party fails to
answer an interrogatory submitted under rule 1.340, or if a party in
response to a request for inspection submitted under rule 1.350 fails to
respond that inspection will be permitted as requested or fails to permit
inspection as requested, or if a party in response to a request for
examination of a person submitted under rule 1.360(a) objects to the
examination, fails to respond that the examination will be permitted as
requested, or fails to submit to or to produce a person in that partys
custody or legal control for examination, the discovering party may move
for an order compelling an answer, or a designation or an order compelling
inspection, or an order compelling an examination in accordance with the
request. The motion must include a certification that the movant, in good
faith, has conferred or attempted to confer with the person or party failing
to make the discovery in an effort to secure the information or material
without court action. When taking a deposition on oral examination, the
proponent of the question may complete or adjourn the examination before
applying for an order. If the court denies the motion in whole or in part, it
may make such protective order as it would have been empowered to make
on a motion made pursuant to rule 1.280(c).

(3) Evasive or Incomplete Answer. For purposes of this subdivision an
evasive or incomplete answer shall be treated as a failure to answer.

(4) Award of Expenses of Motion. If the motion is granted and after



opportunity for hearing, the court shall require the party or deponent whose
conduct necessitated the motion or the party or counsel advising the
conduct to pay to the moving party the reasonable expenses incurred in
obtaining the order that may include attorneys fees, unless the court finds
that the movant failed to certify in the motion that a good faith effort was
made to obtain the discovery without court action, that the opposition to
the motion was substantially justified, or that other circumstances make an
award of expenses unjust. If the motion is denied and after opportunity for
hearing, the court shall require the moving party to pay to the party or
deponent who opposed the motion the reasonable expenses incurred in
opposing the motion that may include attorneys fees, unless the court
finds that the making of the motion was substantially justified or that other
circumstances make an award of expenses unjust. If the motion is granted
in part and denied in part, the court may apportion the reasonable expenses
incurred as a result of making the motion among the parties and persons.
(b) Failure to Comply with Order.

(1) If, after being ordered to do so by the court, a deponent fails to be
sworn or to answer a question or produce documents, the failure may be
considered a contempt of the court.

(2) If a party or an officer, director, or managing agent of a party or a
person designated under rule 1.310(b)(6) or 1.320(a) to testify on behalf of
a party fails to obey an order to provide or permit discovery, including an
order made under subdivision (a) of this rule or rule 1.360, the court in
which the action is pending may make any of the following orders:

(A) An order that the matters regarding which the questions were
asked or any other designated facts shall be taken to be established for
the purposes of the action in accordance with the claim of the party
obtaining the order.

(B) An order refusing to allow the disobedient party to support or
oppose designated claims or defenses, or prohibiting that party from
introducing designated matters in evidence.

(C) An order striking out pleadings or parts of them or staying further
proceedings until the order is obeyed, or dismissing the action or
proceeding or any part of it, or rendering a judgment by default against



the disobedient party.
(D) Instead of any of the foregoing orders or in addition to them, an

order treating as a contempt of court the failure to obey any orders
except an order to submit to an examination made pursuant to rule
1.360(a)(1)(B) or subdivision (a)(2) of this rule.

(E) When a party has failed to comply with an order under rule
1.360(a)(1)(B) requiring that party to produce another for examination,
the orders listed in paragraphs (A), (B), and (C) of this subdivision,
unless the party failing to comply shows the inability to produce the
person for examination.

Instead of any of the foregoing orders or in addition to them, the court shall
require the party failing to obey the order to pay the reasonable expenses
caused by the failure, which may include attorneys fees, unless the court
finds that the failure was substantially justified or that other circumstances
make an award of expenses unjust.
(c) Expenses on Failure to Admit. If a party fails to admit the

genuineness of any document or the truth of any matter as requested under
rule 1.370 and if the party requesting the admissions thereafter proves the
genuineness of the document or the truth of the matter, the requesting party
may file a motion for an order requiring the other party to pay the requesting
party the reasonable expenses incurred in making that proof, which may
include attorneys fees. The court shall issue such an order at the time a party
requesting the admissions proves the genuineness of the document or the
truth of the matter, upon motion by the requesting party, unless it finds that
(1) the request was held objectionable pursuant to rule 1.370(a), (2) the
admission sought was of no substantial importance, or (3) there was other
good reason for the failure to admit.

(d) Failure of Party to Attend at Own Deposition or Serve Answers to
Interrogatories or Respond to Request for Inspection. If a party or an
officer, director, or managing agent of a party or a person designated under
rule 1.310(b)(6) or 1.320(a) to testify on behalf of a party fails (1) to appear
before the officer who is to take the deposition after being served with a
proper notice, (2) to serve answers or objections to interrogatories submitted
under rule 1.340 after proper service of the interrogatories, or (3) to serve a
written response to a request for inspection submitted under rule 1.350 after



proper service of the request, the court in which the action is pending may
take any action authorized under paragraphs (A), (B), and (C) of subdivision
(b)(2) of this rule. Any motion specifying a failure under clause (2) or (3) of
this subdivision shall include a certification that the movant, in good faith,
has conferred or attempted to confer with the party failing to answer or
respond in an effort to obtain such answer or response without court action.
Instead of any order or in addition to it, the court shall require the party
failing to act to pay the reasonable expenses caused by the failure, which may
include attorneys fees, unless the court finds that the failure was
substantially justified or that other circumstances make an award of expenses
unjust. The failure to act described in this subdivision may not be excused on
the ground that the discovery sought is objectionable unless the party failing
to act has applied for a protective order as provided by rule 1.280(c).

(e) Failure to Preserve Electronically Stored Information. If
electronically stored information that should have been preserved in the
anticipation or conduct of litigation is lost because a party failed to take
reasonable steps to preserve it, and it cannot be restored or replaced through
additional discovery, the court:

(1) upon finding prejudice to another party from loss of the information,
may order measures no greater than necessary to cure the prejudice; or

(2) only upon finding that the party acted with the intent to deprive
another party of the informations use in the litigation may:

(A) presume that the lost information was unfavorable to the party;
(B) instruct the jury that it may or must presume the information was

unfavorable to the party; or
(C) dismiss the action or enter a default judgment.

COMMITTEE NOTES

1972 Amendment. Derived from Federal Rule of Civil Procedure 37 as
amended in 1970. Subdivision (a)(3) is new and makes it clear that an
evasive or incomplete answer is a failure to answer under the rule. Other
clarifying changes have been made within the general scope of the rule to
ensure that complete coverage of all discovery failures is afforded.



2003 Amendment. Subdivision (c) is amended to require a court to make a
ruling on a request for reimbursement at the time of the hearing on the
requesting partys motion for entitlement to such relief. The court may, in its
discretion, defer ruling on the amount of the costs or fees in order to hold an
evidentiary hearing whenever convenient to the court and counsel.

2005 Amendment. Following the example of Federal Rule of Civil
Procedure 37 as amended in 1993, language is included in subdivision (a)(2)
that requires litigants to seek to resolve discovery disputes by informal means
before filing a motion with the court. This requirement is based on successful
experience with the federal rule as well as similar local rules of state trial
courts. Subdivision (a)(4) is revised to provide that a party should not be
awarded its expenses for filing a motion that might have been avoided by
conferring with opposing counsel. Subdivision (d) is revised to require that,
where a party failed to file any response to a rule 1.340 interrogatory or a rule
1.350 request, the discovering party should attempt to obtain such responses
before filing a motion for sanctions.

2012 Amendment. Subdivision (e) is added to make clear that a party
should not be sanctioned for the loss of electronic evidence due to the good-
faith operation of an electronic information system; the language mirrors that
of Federal Rule of Civil Procedure 37(e). Nevertheless, the good-faith
requirement contained in subdivision (e) should prevent a party from
exploiting the routine operation of an information system to thwart discovery
obligations by allowing that operation to destroy information that party is
required to preserve or produce. In determining good faith, the court may
consider any steps taken by the party to comply with court orders, party
agreements, or requests to preserve such information.

2013 Amendment. This rule was amended to add substantially before
justified in subdivisions (a)(4), (b)(2), and (d), to make the rule internally
consistent and to make it more consistent with Federal Rule of Civil
Procedure 37, from which it was derived.

2019 Amendment. Subdivision (e) of this rule was amended to make it
consistent with Federal Rule of Civil Procedure 37(e).



 Rule 1.390. 
Fla. R. Civ. P. 1.390

RULE 1.390. DEPOSITIONS OF EXPERT WITNESSES.
(a) Definition. The term expert witness as used herein applies

exclusively to a person duly and regularly engaged in the practice of a
profession who holds a professional degree from a university or college and
has had special professional training and experience, or one possessed of
special knowledge or skill about the subject upon which called to testify.

(b) Procedure. The testimony of an expert or skilled witness may be taken
at any time before the trial in accordance with the rules for taking depositions
and may be used at trial, regardless of the place of residence of the witness or
whether the witness is within the distance prescribed by rule 1.330(a)(3). No
special form of notice need be given that the deposition will be used for trial.

(c) Fee. An expert or skilled witness whose deposition is taken shall be
allowed a witness fee in such reasonable amount as the court may determine.
The court shall also determine a reasonable time within which payment must
be made, if the deponent and party can not agree. All parties and the
deponent shall be served with notice of any hearing to determine the fee. Any
reasonable fee paid to an expert or skilled witness may be taxed as costs.

(d) Applicability. Nothing in this rule shall prevent the taking of any
deposition as otherwise provided by law.

COMMITTEE NOTES

1972 Amendment. This rule has caused more difficulty in recent years
than any other discovery rule. It was enacted as a statute originally to make
the presentation of expert testimony less expensive and less onerous to the
expert and to admit the experts deposition at trial regardless of the experts
residence. In spite of its intent, courts seem determined to misconstrue the
plain language of the rule and cause complications that the committee and the
legislature did not envisage. See Owca v. Zemzicki, 137 So. 2d 876 (Fla. 2d
DCA 1962); Cook v. Lichtblau, 176 So. 2d 523 (Fla. 2d DCA 1965); and
Bondy v. West, 219 So. 2d 117 (Fla. 2d DCA 1969). The committee hopes the
amendment to subdivision (b) will show that the intent of the rule is to permit
a deposition taken of an expert in conformity with any rule for the taking of a



deposition to be admitted, if otherwise admissible under the rules of
evidence, regardless of the residence of the expert. In short, the rule
eliminates the necessity of any of the requirements of rule 1.330(a)(3) when
the deposition offered is that of an expert.

1988 Amendment. Subdivision (c) has been amended to clarify the
procedure to be used in paying an expert witness for his or her appearance at
a deposition.



 Rule 1.410. 
Fla. R. Civ. P. 1.410

RULE 1.410. SUBPOENA.
(a) Subpoena Generally. Subpoenas for testimony before the court,

subpoenas for production of tangible evidence, and subpoenas for taking
depositions may be issued by the clerk of court or by any attorney of record
in an action.

(b) Subpoena for Testimony Before the Court.
(1) Every subpoena for testimony before the court must be issued by an

attorney of record in an action or by the clerk under the seal of the court
and must state the name of the court and the title of the action and must
command each person to whom it is directed to attend and give testimony
at a time and place specified in it.

(2) On oral request of an attorney or party and without praecipe, the
clerk must issue a subpoena for testimony before the court or a subpoena
for the production of documentary evidence before the court signed and
sealed but otherwise in blank, both as to the title of the action and the name
of the person to whom it is directed, and the subpoena must be filled in
before service by the attorney or party.
(c) For Production of Documentary Evidence. A subpoena may also

command the person to whom it is directed to produce the books, documents
(including electronically stored information), or tangible things designated
therein, but the court, on motion made promptly and in any event at or before
the time specified in the subpoena for compliance therewith, may (1) quash
or modify the subpoena if it is unreasonable and oppressive, or (2) condition
denial of the motion on the advancement by the person in whose behalf the
subpoena is issued of the reasonable cost of producing the books, documents,
or tangible things. If a subpoena does not specify a form for producing
electronically stored information, the person responding must produce it in a
form or forms in which it is ordinarily maintained or in a reasonably usable
form or forms. A person responding to a subpoena may object to discovery of
electronically stored information from sources that the person identifies as
not reasonably accessible because of undue costs or burden. On motion to
compel discovery or to quash, the person from whom discovery is sought



must show that the information sought or the form requested is not
reasonably accessible because of undue costs or burden. If that showing is
made, the court may nonetheless order discovery from such sources or in
such forms if the requesting party shows good cause, considering the
limitations set out in rule 1.280(d)(2). The court may specify conditions of
the discovery, including ordering that some or all of the expenses of the
discovery be paid by the party seeking the discovery. A party seeking
production of evidence at trial which would be subject to a subpoena may
compel such production by serving a notice to produce such evidence on an
adverse party as provided in rule 1.080. Such notice shall have the same
effect and be subject to the same limitations as a subpoena served on the
party.

(d) Service. A subpoena may be served by any person authorized by law to
serve process or by any other person who is not a party and who is not less
than 18 years of age. Service of a subpoena on a person named within must
be made as provided by law. Proof of such service must be made by affidavit
of the person making service except as applicable under rule 1.351(c) for the
production of documents and things by a nonparty without deposition, if not
served by an officer authorized by law to do so.

(e) Subpoena for Taking Depositions.
(1) Filing a notice to take a deposition as provided in rule 1.310(b) or

1.320(a) with a certificate of service on it showing service on all parties to
the action constitutes an authorization for the issuance of subpoenas for the
persons named or described in the notice by the clerk of the court in which
the action is pending or by an attorney of record in the action. The
subpoena must state the method for recording the testimony. A party
intending to audiovisually record a deposition must state in the subpoena
that the deposition is to be audiovisually recorded and identify the method
for audiovisually recording the deposition, including, if applicable, the
name and address of the operator of the audiovisual recording equipment.
If a party intends to take a deposition by communication technology, the
subpoena must state the deposition is to be taken using communication
technology, identify the specific form of communication technology to be
used, and provide instructions for access to the communication technology.
The subpoena may command the person to whom it is directed to produce
designated books, documents, or tangible things that constitute or contain



evidence relating to any of the matters within the scope of the examination
permitted by rule 1.280(b), but in that event the subpoena will be subject to
the provisions of rule 1.280(c) and subdivision (c) of this rule. Within 10
days after its service, or on or before the time specified in the subpoena for
compliance if the time is less than 10 days after service, the person to
whom the subpoena is directed may serve written objection to inspection
or copying of any of the designated materials. If objection is made, the
party serving the subpoena shall not be entitled to inspect and copy the
materials except pursuant to an order of the court from which the subpoena
was issued. If objection has been made, the party serving the subpoena
may move for an order at any time before or during the taking of the
deposition on notice to the deponent.

(2) A person may be required to attend an examination only in the
county wherein the person resides or is employed or transacts business in
person or at such other convenient place as may be fixed by an order of
court.
(f) Contempt. Failure by any person without adequate excuse to obey a

subpoena served on that person may be deemed a contempt of the court from
which the subpoena issued.

(g) Depositions Before Commissioners Appointed in This State by
Courts of Other States; Subpoena Powers; etc. When any person
authorized by the laws of Florida to administer oaths is appointed by a court
of record of any other state, jurisdiction, or government as commissioner to
take the testimony of any named witness within this state, that witness may
be compelled to attend and testify before that commissioner by witness
subpoena issued by the clerk of any circuit court at the instance of that
commissioner or by other process or proceedings in the same manner as if
that commissioner had been appointed by a court of this state; provided that
no document shall be compulsorily annexed as an exhibit to such deposition
or otherwise permanently removed from the possession of the witness
producing it, but in lieu thereof a photostatic copy may be annexed to and
transmitted with such executed commission to the court of issuance.

(h) Subpoena of Minor. Any minor subpoenaed for testimony has the
right to be accompanied by a parent or guardian at all times during the taking
of testimony notwithstanding the invocation of the rule of sequestration of



section 90.616, Florida Statutes, except on a showing that the presence of a
parent or guardian is likely to have a material, negative impact on the
credibility or accuracy of the minors testimony, or that the interests of the
parent or guardian are in actual or potential conflict with the interests of the
minor.

COMMITTEE NOTES

1972 Amendment. Subdivisions (a) and (d) are amended to show the
intent of the rule that subpoenas for deposition may not be issued in blank by
the clerk, but only for trial. The reason for the distinction is valid. A
subpoena for appearance before the court is not subject to abuse because the
court can correct any attempt to abuse the use of blank subpoenas. Since a
judge is not present at a deposition, additional protection for the parties and
the deponent is required and subpoenas should not be issued in blank.
Subdivision (d) is also modified to conform with the revised federal rule on
subpoenas for depositions to permit an objection by the deponent to the
production of material required by a subpoena to be produced.

1980 Amendment. Subdivision (c) is revised to conform with section
48.031, Florida Statutes (1979).

1996 Amendment. This rule is amended to allow an attorney (as referred
to in Fla. R. Jud. Admin. 2.060(a)B(b)), as an officer of the court, and the
clerk to issue subpoenas in the name of the court. This amendment is not
intended to change any other requirement or precedent for the issuance or use
of subpoenas. For example, a notice of taking the deposition must be filed
and served before a subpoena for deposition may be issued.

2012 Amendment. Subdivision (c) is amended to reflect the relocation of
the service rule from rule 1.080 to Fla. R. Jud. Admin. 2.516.

Subdivision (c) is amended to address the production of electronically
stored information pursuant to a subpoena. The procedures for dealing with
disputes concerning the accessibility of the information sought or the form
for its production are intended to correspond to those set out in Rule 1.280(d).



 Rule 1.420. 
Fla. R. Civ. P. 1.420

RULE 1.420. DISMISSAL OF ACTIONS.
(a) Voluntary Dismissal.

(1) By Parties. Except in actions in which property has been seized or is
in the custody of the court, an action, a claim, or any part of an action or
claim may be dismissed by plaintiff without order of court (A) before trial
by serving, or during trial by stating on the record, a notice of dismissal at
any time before a hearing on motion for summary judgment, or if none is
served or if the motion is denied, before retirement of the jury in a case
tried before a jury or before submission of a nonjury case to the court for
decision, or (B) by filing a stipulation of dismissal signed by all current
parties to the action. Unless otherwise stated in the notice or stipulation,
the dismissal is without prejudice, except that a notice of dismissal
operates as an adjudication on the merits when served by a plaintiff who
has once dismissed in any court an action based on or including the same
claim.

(2) By Order of Court; If Counterclaim. Except as provided in
subdivision (a)(1) of this rule, an action shall not be dismissed at a partys
instance except on order of the court and upon such terms and conditions
as the court deems proper. If a counterclaim has been served by a
defendant prior to the service upon the defendant of the plaintiffs notice of
dismissal, the action shall not be dismissed against defendants objections
unless the counterclaim can remain pending for independent adjudication
by the court. Unless otherwise specified in the order, a dismissal under this
paragraph is without prejudice.
(b) Involuntary Dismissal. Any party may move for dismissal of an

action or of any claim against that party for failure of an adverse party to
comply with these rules or any order of court. Notice of hearing on the
motion shall be served as required under rule 1.090(d). After a party seeking
affirmative relief in an action tried by the court without a jury has completed
the presentation of evidence, any other party may move for a dismissal on the
ground that on the facts and the law the party seeking affirmative relief has
shown no right to relief, without waiving the right to offer evidence if the



motion is not granted. The court as trier of the facts may then determine them
and render judgment against the party seeking affirmative relief or may
decline to render judgment until the close of all the evidence. Unless the court
in its order for dismissal otherwise specifies, a dismissal under this
subdivision and any dismissal not provided for in this rule, other than a
dismissal for lack of jurisdiction or for improper venue or for lack of an
indispensable party, operates as an adjudication on the merits.

(c) Dismissal of Counterclaim, Crossclaim, or Third-Party Claim. The
provisions of this rule apply to the dismissal of any counterclaim, crossclaim,
or third-party claim.

(d) Costs. Costs in any action dismissed under this rule shall be assessed
and judgment for costs entered in that action, once the action is concluded as
to the party seeking taxation of costs. When one or more other claims remain
pending following dismissal of any claim under this rule, taxable costs
attributable solely to the dismissed claim may be assessed and judgment for
costs in that claim entered in the action, but only when all claims are resolved
at the trial court level as to the party seeking taxation of costs. If a party who
has once dismissed a claim in any court of this state commences an action
based upon or including the same claim against the same adverse party, the
court shall make such order for the payment of costs of the claim previously
dismissed as it may deem proper and shall stay the proceedings in the action
until the party seeking affirmative relief has complied with the order.

(e) Failure to Prosecute. In all actions in which it appears on the face of
the record that no activity by filing of pleadings, order of court, or otherwise
has occurred for a period of 10 months, and no order staying the action has
been issued nor stipulation for stay approved by the court, any interested
person, whether a party to the action or not, the court, or the clerk of the court
may serve notice to all parties that no such activity has occurred. If no such
record activity has occurred within the 10 months immediately preceding the
service of such notice, and no record activity occurs within the 60 days
immediately following the service of such notice, and if no stay was issued or
approved prior to the expiration of such 60-day period, the action shall be
dismissed by the court on its own motion or on the motion of any interested
person, whether a party to the action or not, after reasonable notice to the
parties, unless a party shows good cause in writing at least 5 days before the
hearing on the motion why the action should remain pending. Mere inaction



for a period of less than 1 year shall not be sufficient cause for dismissal for
failure to prosecute.

(f) Effect on Lis Pendens. If a notice of lis pendens has been filed in
connection with a claim for affirmative relief that is dismissed under this rule,
the notice of lis pendens connected with the dismissed claim is automatically
dissolved at the same time. The notice, stipulation, or order shall be recorded.

COMMITTEE NOTES

1976 Amendment. Subdivision (e) has been amended to prevent the
dismissal of an action for inactivity alone unless 1 year has elapsed since the
occurrence of activity of record. Nonrecord activity will not toll the 1-year
time period.

1980 Amendment. Subdivision (e) has been amended to except from the
requirement of record activity a stay that is ordered or approved by the court.

1992 Amendment. Subdivision (f) is amended to provide for automatic
dissolution of lis pendens on claims that are settled even though the entire
action may not have been dismissed.

2005 Amendment. Subdivision (e) has been amended to provide that an
action may not be dismissed for lack of prosecution without prior notice to
the claimant and adequate opportunity for the claimant to re-commence
prosecution of the action to avert dismissal.

COURT COMMENTARY

1984 Amendment. A perennial real property title problem occurs because
of the failure to properly dispose of notices of lis pendens in the order of
dismissal. Accordingly, the reference in subdivision (a)(1) to disposition of
notices of lis pendens has been deleted and a separate subdivision created to
automatically dissolve notices of lis pendens whenever an action is dismissed
under this rule.



 Rule 1.430. 
Fla. R. Civ. P. 1.430

RULE 1.430. DEMAND FOR JURY TRIAL; WAIVER.
(a) Right Preserved. The right of trial by jury as declared by the

Constitution or by statute shall be preserved to the parties inviolate.
(b) Demand. Any party may demand a trial by jury of any issue triable of

right by a jury by serving upon the other party a demand therefor in writing at
any time after commencement of the action and not later than 10 days after
the service of the last pleading directed to such issue. The demand may be
indorsed upon a pleading of the party.

(c) Specification of Issues. In the demand a party may specify the issues
that the party wishes so tried; otherwise, the party is deemed to demand trial
by jury for all issues so triable. If a party has demanded trial by jury for only
some of the issues, any other party may serve a demand for trial by jury of
any other or all of the issues triable by jury 10 days after service of the
demand or such lesser time as the court may order.

(d) Juror Participation Through Audio-Video Communication
Technology. Prospective jurors may participate in voir dire or empaneled
jurors may participate in the jury trial through audio-video communication
technology, as described in Florida Rule of General Practice and Judicial
Administration 2.530(c), if stipulated by the parties in writing and authorized
by the court. The written stipulation and a written motion requesting
authorization must be filed with the court within 60 days after service of a
demand under subdivision (b) or within such other period as may be directed
by the court.

(e) Waiver. A party who fails to serve a demand as required by this rule
waives trial by jury. If waived, a jury trial may not be granted without the
consent of the parties, but the court may allow an amendment in the
proceedings to demand a trial by jury or order a trial by jury on its own
motion. A demand for trial by jury may not be withdrawn without the consent
of the parties.

COMMITTEE NOTES



1972 Amendment. Subdivision (d) is amended to conform to the decisions
construing it. See Wood v. Warriner, 62 So. 2d 728 (Fla. 1953); Bittner v.
Walsh, 132 So. 2d 799 (Fla. 1st DCA 1961); and Shores v. Murphy, 88 So. 2d
294 (Fla. 1956). It is not intended to overrule Wertman v. Tipping, 166 So. 2d
666 (Fla. 1st DCA 1964), that requires a moving party to show justice
requires a jury.



 Rule 1.431. 
Fla. R. Civ. P. 1.431

RULE 1.431. TRIAL JURY.
(a) Questionnaire.

(1) The circuit court may direct the authority charged by law with the
selection of prospective jurors to furnish each prospective juror with a
questionnaire in the form approved by the supreme court from time to time
to assist the authority in selecting prospective jurors. The questionnaire
must be used after the names of jurors have been selected as provided by
law but before certification and the placing of the names of prospective
jurors in the jury box. The questionnaire must be used to determine those
who are not qualified to serve as jurors under any statutory ground of
disqualification.

(2) To assist in voir dire examination at trial, any court may direct the
clerk to furnish prospective jurors selected for service with a questionnaire
in the form approved by the supreme court from time to time. The
prospective jurors must be asked to complete and return the forms.
Completed forms may be inspected in the clerks office and copies must be
available in court during the voir dire examination for use by parties and
the court.
(b) Examination by Parties. The parties have the right to examine jurors

orally on their voir dire. The order in which the parties may examine each
juror must be determined by the court. The court may ask such questions of
the jurors as it deems necessary, but the right of the parties to conduct a
reasonable examination of each juror orally must be preserved.

(c) Challenge for Cause.
(1) On motion of any party, the court must examine any prospective

juror on oath to determine whether that person is related, within the third
degree, to (i) any party, (ii) the attorney of any party, or (iii) any other
person or entity against whom liability or blame is alleged in the pleadings,
or is related to any person alleged to have been wronged or injured by the
commission of the wrong for the trial of which the juror is called, or has
any interest in the action, or has formed or expressed any opinion, or is
sensible of any bias or prejudice concerning it, or is an employee or has



been an employee of any party or any other person or entity against whom
liability or blame is alleged in the pleadings, within 30 days before the
trial. A party objecting to the juror may introduce any other competent
evidence to support the objection. If it appears that the juror does not stand
indifferent to the action or any of the foregoing grounds of objection exists
or that the juror is otherwise incompetent, another must be called in that
jurors place.

(2) The fact that any person selected for jury duty from bystanders or the
body of the county and not from a jury list lawfully selected has served as
a juror in the court in which that person is called at any other time within 1
year is a ground of challenge for cause.

(3) When the nature of any civil action requires a knowledge of reading,
writing, and arithmetic, or any of them, to enable a juror to understand the
evidence to be offered, the fact that any prospective juror does not possess
the qualifications is a ground of challenge for cause.
(d) Peremptory Challenges. Each party is entitled to 3 peremptory

challenges of jurors, but when the number of parties on opposite sides is
unequal, the opposing parties are entitled to the same aggregate number of
peremptory challenges to be determined on the basis of 3 peremptory
challenges to each party on the side with the greater number of parties. The
additional peremptory challenges accruing to multiple parties on the opposing
side must be divided equally among them. Any additional peremptory
challenges not capable of equal division must be exercised separately or
jointly as determined by the court.

(e) Exercise of Challenges. All challenges must be addressed to the court
outside the hearing of the jury in a manner selected by the court so that the
jury panel is not aware of the nature of the challenge, the party making the
challenge, or the basis of the courts ruling on the challenge, if for cause.

(f) Swearing of Jurors. No one shall be sworn as a juror until the jury has
been accepted by the parties or until all challenges have been exhausted.

(g) Alternate Jurors.
(1) The court may direct that 1 or more jurors be impaneled to sit as

alternate jurors in addition to the regular panel. Alternate jurors in the
order in which they are called must replace jurors who have become



unable or disqualified to perform their duties before the jury retires to
consider its verdict. Alternate jurors must be drawn in the same manner,
have the same qualifications, be subject to the same examination, take the
same oath, and have the same functions, powers, facilities, and privileges
as principal jurors. An alternate juror who does not replace a principal
juror must be discharged when the jury retires to consider the verdict.

(2) If alternate jurors are called, each party is entitled to one peremptory
challenge in the selection of the alternate juror or jurors, but when the
number of parties on opposite sides is unequal, the opposing parties are
entitled to the same aggregate number of peremptory challenges to be
determined on the basis of 1 peremptory challenge to each party on the
side with the greater number of parties. The additional peremptory
challenges allowed pursuant to this subdivision may be used only against
the alternate jurors. The peremptory challenges allowed pursuant to
subdivision (d) of this rule must not be used against the alternate jurors.
(h) Interview of a Juror. A party who believes that grounds for legal

challenge to a verdict exist may move for an order permitting an interview of
a juror or jurors to determine whether the verdict is subject to the challenge.
The motion must be served within 15 days after rendition of the verdict
unless good cause is shown for the failure to make the motion within that
time. The motion must state the name and address of each juror to be
interviewed and the grounds for challenge that the party believes may exist.
After notice and hearing, the trial judge must enter an order denying the
motion or permitting the interview. If the interview is permitted, the court
may prescribe the place, manner, conditions, and scope of the interview.

(i) Communication with the Jury. This rule governs all communication
between the judge or courtroom personnel and jurors.

(1) Communication to be on the Record. The court must notify the
parties of any communication from the jury pertaining to the action as
promptly as practicable and in any event before responding to the
communication. Except as set forth below, all communications between
the court or courtroom personnel and the jury must be on the record in
open court or must be in writing and filed in the action. The court or
courtroom personnel must note on any written communication to or from
the jury the date and time it was delivered.



(2) Exception for Certain Routine Communication. The court must,
by pretrial order or by statement on the record with opportunity for
objection, set forth the scope of routine ex parte communication to be
permitted and the limits imposed by the court with regard to such
communication.

(A) Routine ex parte communication between the bailiff or other
courtroom personnel and the jurors, limited to juror comfort and safety,
may occur off the record.

(B) In no event shall ex parte communication between courtroom
personnel and jurors extend to matters that may affect the outcome of
the trial, including statements containing any fact or opinion concerning
a party, attorney, or procedural matter or relating to any legal issue or
lawsuit.
(3) Instructions to Jury. During voir dire, the court must instruct the

jurors and courtroom personnel regarding the limitations on
communication between the court or courtroom personnel and jurors. On
empanelling the jury, the court must instruct the jurors that their questions
are to be submitted in writing to the court, which will review them with the
parties and counsel before responding.

(4) Notification of Jury Communication. Courtroom personnel must
immediately notify the court of any communication to or from a juror or
among jurors in contravention of the courts orders or instructions,
including all communication contrary to the requirements of this rule.

COMMITTEE NOTES

1971 Adoption. Subdivision (a) is new. It is intended to replace section
40.101, Florida Statutes, declared unconstitutional in Smith v. Portante, 212
So. 2d 298 (Fla. 1968), after supplying the deficiencies in the statute. It is
intended to simplify the task of selecting prospective jurors, both for the
venire and for the panel for trial in a particular action. The forms referred to
in subdivision (a) are forms 1.983 and 1.984. Subdivisions (b)-(e) are
sections 53.031, 53.021, 53.011, and 53.051, Florida Statutes, without
substantial change.

1976 Amendment. Subdivision (e) has been added to establish a



procedure for challenging jurors without members of the panel knowing the
source of the challenge, to avoid prejudice. Subdivision (f) is a renumbering
of the previously enacted rule regarding alternate jurors.

Subdivision (g) has been added to establish a procedure for interviewing
jurors. See also Canons of Professional Responsibility DR 7-108.

1988 Amendment. Subdivision (f) has been added to ensure the right to
back-strike prospective jurors until the entire panel has been accepted in
civil cases. This right to back-strike until the jurors have been sworn has been
long recognized in Florida. Florida Rock Industries, Inc. v. United Building
Systems, Inc., 408 So. 2d 630 (Fla. 5th DCA 1982). However, in the recent
case of Valdes v. State, 443 So. 2d 223 (Fla. 1st DCA 1984), the court held
that it was not error for a court to swear jurors one at a time as they were
accepted and thereby prevent retrospective peremptory challenges. The
purpose of this subdivision is to prevent the use of individual swearing of
jurors in civil cases. Former subdivisions (f) and (g) have been redesignated
as (g) and (h) respectively.

1992 Amendment. Subdivision (g)(2) is amended to minimize the
inequity in numbers of peremptory challenges allowed in selecting alternate
jurors in actions with multiple parties.

2005 Amendment. Subdivision (c)(1) is amended to ensure that
prospective jurors may be challenged for cause based on bias in favor of or
against nonparties against whom liability or blame may be alleged in
accordance with the decisions in Fabre v. Marin, 623 So. 2d 1182 (Fla.
1993), or Nash v. Wells Fargo Guard Services, Inc., 678 So. 2d 1262 (Fla.
1996).

2013 Amendment. Subdivision (i) governs the responsibility of the court
for ensuring that parties and their counsel are aware of all contact with the
jury that could affect the outcome of the case. Trial judges may have differing
views on what constitutes harmless or routine ex parte communication with
jurors. Reasonable variations are therefore permitted, provided the judge
adequately advises counsel, before the trial begins, of the specific
circumstances under which the court has determined that jury
communications will not be reported to the parties. The rule does not prevent
the bailiff or other courtroom personnel from discussing such routine matters
as juror parking, location of break areas, how and when to assemble for duty,



dress, and which items of a jurors personal property may be brought into the
courthouse or jury room. However, for example, questions or remarks from a
juror about such matters as the length of a witnesss testimony, when court
will adjourn on a given day, or how long the trial may take to complete
should be reported to the judge, as these matters may be of interest to the
parties. Any doubt as to whether a communication may or may not be of
interest to the parties should be resolved in favor of promptly informing the
court, the parties, and counsel, even if it is after the fact. This will best ensure
that the parties have the opportunity to object to any improper
communication and give the court an opportunity to cure any prejudice, if an
objection is made.



 Rule 1.440. 
Fla. R. Civ. P. 1.440

RULE 1.440. SETTING ACTION FOR TRIAL.
(a) When at Issue. An action is at issue after any motions directed to the

last pleading served have been disposed of or, if no such motions are served,
20 days after service of the last pleading. The party entitled to serve motions
directed to the last pleading may waive the right to do so by filing a notice for
trial at any time after the last pleading is served. The existence of crossclaims
among the parties shall not prevent the court from setting the action for trial
on the issues raised by the complaint, answer, and any answer to a
counterclaim.

(b) Notice for Trial. Thereafter any party may file and serve a notice that
the action is at issue and ready to be set for trial. The notice must include an
estimate of the time required, indicate whether the trial is to be by a jury or
not and whether the trial is on the original action or a subsequent proceeding,
and, if applicable, indicate that the court has authorized the participation of
prospective jurors or empaneled jurors through audio-video communication
technology under rule 1.430(d). The clerk must then submit the notice and
the case file to the court.

(c) Setting for Trial. If the court finds the action ready to be set for trial, it
shall enter an order fixing a date for trial. Trial shall be set not less than 30
days from the service of the notice for trial. By giving the same notice the
court may set an action for trial. In actions in which the damages are not
liquidated, the order setting an action for trial shall be served on parties who
are in default in accordance with Florida Rule of General Practice and
Judicial Administration 2.516.

(d) Applicability. This rule does not apply to actions to which chapter 51,
Florida Statutes (1967), applies or to cases designated as complex pursuant to
rule 1.201.

COMMITTEE NOTES

1972 Amendment. All references to the pretrial conference are deleted
because these are covered in rule 1.200.



1980 Amendment. Subdivision (b) is amended to specify whether the trial
will be on the original pleadings or subsequent pleadings under rule 1.110(h).

1988 Amendment. Subdivision (c) was amended to clarify a confusion
regarding the notice for trial which resulted from a 1968 amendment.

2012 Amendment. Subdivision (c) is amended to reflect the relocation of
the service rule from rule 1.080 to Fla. R. Jud. Admin. 2.516.

COURT COMMENTARY

1984 Amendment. Subdivision (a) is amended by adding a sentence to
emphasize the authority given in rule 1.270(b) for the severing of issues for
trial.

Subdivision (c) is amended to delete the reference to law actions so that the
rule will apply to all actions in which unliquidated damages are sought.



 Rule 1.442. 
Fla. R. Civ. P. 1.442

RULE 1.442. PROPOSALS FOR SETTLEMENT.
(a) Applicability. This rule applies to all proposals for settlement

authorized by Florida law, regardless of the terms used to refer to such offers,
demands, or proposals, and supersedes all other provisions of the rules and
statutes that may be inconsistent with this rule.

(b) Service of Proposal. A proposal to a defendant shall be served no
earlier than 90 days after service of process on that defendant; a proposal to a
plaintiff shall be served no earlier than 90 days after the action has been
commenced. No proposal shall be served later than 45 days before the date
set for trial or the first day of the docket on which the case is set for trial,
whichever is earlier.

(c) Form and Content of Proposal for Settlement.
(1) A proposal shall be in writing and shall identify the applicable

Florida law under which it is being made.
(2) A proposal shall:

(A) name the party or parties making the proposal and the party or
parties to whom the proposal is being made;

(B) state that the proposal resolves all damages that would otherwise
be awarded in a final judgment in the action in which the proposal is
served, subject to subdivision (F);

(C) exclude nonmonetary terms, with the exceptions of a voluntary
dismissal of all claims with prejudice and any other nonmonetary terms
permitted by statute;

(D) state the total amount of the proposal;
(E) state with particularity the amount proposed to settle a claim for

punitive damages, if any;
(F) state whether the proposal includes attorneys fees and whether

attorneys fee are part of the legal claim; and
(G) include a certificate of service in the form required by Florida



Rule of General Practice and Judicial Administration 2.516.
(3) A proposal may be made by or to any party or parties and by or to

any combination of parties properly identified in the proposal. A joint
proposal shall state the amount and terms attributable to each party.

(4) Notwithstanding subdivision (c)(3), when a party is alleged to be
solely vicariously, constructively, derivatively, or technically liable,
whether by operation of law or by contract, a joint proposal made by or
served on such a party need not state the apportionment or contribution as
to that party. Acceptance by any party shall be without prejudice to rights
of contribution or indemnity.
(d) Service and Filing. A proposal shall be served on the party or parties

to whom it is made but shall not be filed unless necessary to enforce the
provisions of this rule.

(e) Withdrawal. A proposal may be withdrawn in writing provided the
written withdrawal is delivered before a written acceptance is delivered. Once
withdrawn, a proposal is void.

(f) Acceptance and Rejection.
(1) A proposal shall be deemed rejected unless accepted by delivery of a

written notice of acceptance within 30 days after service of the proposal.
The provisions of Florida Rule of General Practice and Judicial
Administration 2.514(b) do not apply to this subdivision. No oral
communications shall constitute an acceptance, rejection, or counteroffer
under the provisions of this rule.

(2) In any case in which the existence of a class is alleged, the time for
acceptance of a proposal for settlement is extended to 30 days after the
date the order granting or denying certification is filed.
(g) Sanctions. Any party seeking sanctions pursuant to applicable Florida

law, based on the failure of the proposals recipient to accept a proposal, shall
do so by serving a motion in accordance with rule 1.525.

(h) Costs and Fees.
(1) If a party is entitled to costs and fees pursuant to applicable Florida

law, the court may, in its discretion, determine that a proposal was not
made in good faith. In such case, the court may disallow an award of costs



and attorneys fees.
(2) When determining the reasonableness of the amount of an award of

attorneys fees pursuant to this section, the court shall consider, along with
all other relevant criteria, the following factors:

(A) The then-apparent merit or lack of merit in the claim.
(B) The number and nature of proposals made by the parties.
(C) The closeness of questions of fact and law at issue.
(D) Whether the party making the proposal had unreasonably refused

to furnish information necessary to evaluate the reasonableness of the
proposal.

(E) Whether the suit was in the nature of a test case presenting
questions of far-reaching importance affecting nonparties.

(F) The amount of the additional delay cost and expense that the party
making the proposal reasonably would be expected to incur if the
litigation were to be prolonged.

(i) Evidence of Proposal. Evidence of a proposal or acceptance thereof is
admissible only in proceedings to enforce an accepted proposal or to
determine the imposition of sanctions.

(j) Effect of Mediation. Mediation shall have no effect on the dates during
which parties are permitted to make or accept a proposal for settlement under
the terms of the rule.

COMMITTEE NOTES

1996 Amendment. This rule was amended to reconcile, where possible,
sections 44.102(6) (formerly 44.102(5)(b)), 45.061, 73.032, and 768.79,
Florida Statutes, and the decisions of the Florida Supreme Court in Knealing
v. Puleo, 675 So. 2d 593 (Fla. 1996), TGI Fridays, Inc. v. Dvorak, 663 So.
2d 606 (Fla. 1995), and Timmons v. Combs, 608 So. 2d 1 (Fla. 1992). This
rule replaces former rule 1.442, which was repealed by the Timmons
decision, and supersedes those sections of the Florida Statutes and the prior
decisions of the court, where reconciliation is impossible, in order to provide
a workable structure for proposing settlements in civil actions. The provision



which requires that a joint proposal state the amount and terms attributable to
each party is in order to conform with Fabre v. Marin, 623 So. 2d 1182 (Fla.
1993).

2000 Amendment. Subdivision (f)(2) was added to establish the time for
acceptance of proposals for settlement in class actions. Filing is defined in
rule 1.080(e). Subdivision (g) is amended to conform with new rule 1.525.

2012 Amendment. Subdivision (c)(2)(G) is amended to reflect the
relocation of the service rule from rule 1.080 to Fla. R. Jud. Admin. 2.516.

2013 Amendment. Subdivision (f)(1) was amended to reflect the
relocation of the rule regarding additional time after service by mail or e-mail
from rule 1.090(e) to Fla. R. Jud. Admin. 2.514(b).

2013 Amendment. Subdivision (c)(2)(B) is amended to clarify that a
proposal for settlement must resolve all claims between the proponent and the
party to whom the proposal is made except claims for attorneys fees, which
may or may not be resolved in the proposal.



 Rule 1.450. 
Fla. R. Civ. P. 1.450

RULE 1.450. EVIDENCE.
(a) Record of Excluded Evidence. In an action tried by a jury if an

objection to a question propounded to a witness is sustained by the court, the
examining attorney may make a specific offer of what the attorney expects to
prove by the answer of the witness. The court may require the offer to be
made out of the hearing of the jury. The court may add such other or further
statement as clearly shows the character of the evidence, the form in which it
was offered, the objection made, and the ruling thereon. In actions tried
without a jury the same procedure may be followed except that the court
upon request shall take and report the evidence in full unless it clearly
appears that the evidence is not admissible on any ground or that the witness
is privileged.

(b) Filing. When documentary evidence is introduced in an action, the
clerk or the judge shall endorse an identifying number or symbol on it and
when proffered or admitted in evidence, it shall be filed by the clerk or judge
and considered in the custody of the court and not withdrawn except with
written leave of court.

COMMITTEE NOTES

1971 Amendment. Subdivision (d) is amended to eliminate the necessity
of a court order for disposal of exhibits. The clerk must retain the exhibits for
1 year unless the court permits removal earlier. If removal is not effected
within the year, the clerk may destroy or dispose of the exhibits after giving
the specified notice.

1996 Amendment. Former subdivision (a) entitled Adverse Witness is
deleted because it is no longer needed or appropriate because the matters with
which it deals are treated in the Florida Evidence Code.

COURT COMMENTARY

1984 Amendment. Subdivision (d) was repealed by the supreme court; see
403 So. 2d 926.



Subdivision (e): This rule was originally promulgated by the supreme
court in Carter v. Sparkman, 335 So. 2d 802, 806 (Fla. 1976).

In The Florida Bar, in re Rules of Civil Procedure, 391 So. 2d 165 (Fla.
1980), the court requested the committee to consider the continued
appropriateness of rule 1.450(e). In response, the committee recommended its
deletion. After oral argument in The Florida Bar: In re Rules of Civil
Procedure, 429 So. 2d 311, the court specifically declined to abolish the rule
or to adopt a similar rule for other types of actions.

The committee again considered rule 1.450(e) in depth and at length and
again recommends its deletion for the reason that no exception should be
made in the rule to a particular type of action.

Subdivision (f): The Wests Desk Copy Florida Rules of Court, at page 62,
points out:

The per curiam opinion of the Florida Supreme Court of June 21, 1979
(403 So.2d 926) provides: On March 8, 1979, the Court proposed new Rule
1.450 of the Florida Rules of Civil Procedure which would provide for the
disposal of exhibits and depositions in civil matters. Absent further action by
the Court, the proposed rule was to become effective July 2, 1979. The Court
has carefully considered the responses received regarding proposed Rule
1.450(f) and now feels that the July 2, 1979, effective date does not allow
sufficient time for full reflection on matters raised in these responses.
Therefore, the effective date for Rule 1.450(f) is, by this order, delayed until
further order of the Court.

The retention of court records is the subject of Florida Rule of Judicial
Administration 2.075.



 Rule 1.452. 
Fla. R. Civ. P. 1.452

RULE 1.452. QUESTIONS BY JURORS.
(a) Questions Permitted. The court shall permit jurors to submit to the

court written questions directed to witnesses or to the court. Such questions
will be submitted after all counsel have concluded their questioning of a
witness.

(b) Procedure. Any juror who has a question directed to the witness or the
court shall prepare an unsigned, written question and give the question to the
bailiff, who will give the question to the judge.

(c) Objections. Out of the presence of the jury, the judge will read the
question to all counsel, allow counsel to see the written question, and give
counsel an opportunity to object to the question.



 Rule 1.455. 
Fla. R. Civ. P. 1.455

RULE 1.455. JUROR NOTEBOOKS.
In its discretion, the court may authorize documents and exhibits to be

included in notebooks for use by the jurors during trial to aid them in
performing their duties.



 Rule 1.460. 
Fla. R. Civ. P. 1.460

RULE 1.460. CONTINUANCES.
A motion for continuance shall be in writing unless made at a trial and,

except for good cause shown, shall be signed by the party requesting the
continuance. The motion shall state all of the facts that the movant contends
entitle the movant to a continuance. If a continuance is sought on the ground
of nonavailability of a witness, the motion must show when it is believed the
witness will be available.

COMMITTEE NOTES

1980 Amendment. Subdivision (a), deleted by amendment, was initially
adopted when trials were set at a docket sounding prescribed by statute. Even
then, the rule was honored more in the breach than the observance. Trials are
no longer uniformly set in that manner, and continuances are granted
generally without reference to the rule. Under the revised rule, motions for
continuance can be filed at any time that the need arises and need not be in
writing if the parties are before the court.

1988 Amendment. The supreme court, by adopting Florida Rule of
Judicial Administration 2.085(c), effective July 1, 1986, required all motions
for continuance to be signed by the litigant requesting the continuance. The
amendment conforms rule 1.460 to rule 2.085(c); but, by including an
exception for good cause, it recognizes that circumstances justifying a
continuance may excuse the signature of the party.



 Rule 1.470. 
Fla. R. Civ. P. 1.470

RULE 1.470. EXCEPTIONS UNNECESSARY; JURY
INSTRUCTIONS.

(a) Adverse Ruling. For appellate purposes no exception shall be
necessary to any adverse ruling, order, instruction, or thing whatsoever said
or done at the trial or prior thereto or after verdict, which was said or done
after objection made and considered by the trial court and which affected the
substantial rights of the party complaining and which is assigned as error.

(b) Instructions to Jury. The Florida Standard Jury Instructions appearing
on The Florida Bars website may be used, as provided in Florida Rule of
General Practice and Judicial Administration 2.570, by the trial judges in
instructing the jury in civil actions. Not later than at the close of the evidence,
the parties shall file written requests that the court instruct the jury on the law
set forth in such requests. The court shall then require counsel to appear
before it to settle the instructions to be given. At such conference, all
objections shall be made and ruled upon and the court shall inform counsel of
such instructions as it will give. No party may assign as error the giving of
any instruction unless that party objects thereto at such time, or the failure to
give any instruction unless that party requested the same. The court shall
orally instruct the jury before or after the arguments of counsel and may
provide appropriate instructions during the trial. If the instructions are given
prior to final argument, the presiding judge shall give the jury final
procedural instructions after final arguments are concluded and prior to
deliberations. The court shall provide each juror with a written set of the
instructions for his or her use in deliberations. The court shall file a copy of
such instructions.

(c) Orders on New Trial, Directed Verdicts, etc. It shall not be necessary
to object or except to any order granting or denying motions for new trials,
directed verdicts, or judgments non obstante veredicto or in arrest of
judgment to entitle the party against whom such ruling is made to have the
same reviewed by an appellate court.

COMMITTEE NOTES



1988 Amendment. The word general in the third sentence of
subdivision (b) was deleted to require the court to specifically inform counsel
of the charges it intends to give. The last sentence of that subdivision was
amended to encourage judges to furnish written copies of their charges to
juries.

2010 Amendment. Portions of form 1.985 were modified and moved to
subdivision (b) of rule 1.470 to require the court to use published standard
instructions where applicable and necessary, to permit the judge to vary from
the published standard jury instructions and notes only when necessary to
accurately and sufficiently instruct the jury, and to require the parties to
object to preserve error in variance from published standard jury instructions
and notes.

2014 Amendment. Florida Standard Jury Instructions include the Florida
Standard Jury InstructionsContract and Business Cases.



 Rule 1.480. 
Fla. R. Civ. P. 1.480

RULE 1.480. MOTION FOR A DIRECTED VERDICT.
(a) Effect. A party who moves for a directed verdict at the close of the

evidence offered by the adverse party may offer evidence in the event the
motion is denied without having reserved the right to do so and to the same
extent as if the motion had not been made. The denial of a motion for a
directed verdict shall not operate to discharge the jury. A motion for a
directed verdict shall state the specific grounds therefor. The order directing a
verdict is effective without any assent of the jury.

(b) Reservation of Decision on Motion. When a motion for a directed
verdict is denied or for any reason is not granted, the court is deemed to have
submitted the action to the jury subject to a later determination of the legal
questions raised by the motion. Within 15 days after the return of a verdict, a
party who has timely moved for a directed verdict may serve a motion to set
aside the verdict and any judgment entered thereon and to enter judgment in
accordance with the motion for a directed verdict. If a verdict was not
returned, a party who has timely moved for a directed verdict may serve a
motion for judgment in accordance with the motion for a directed verdict
within 15 days after discharge of the jury.

(c) Joined with Motion for New Trial. A motion for a new trial may be
joined with this motion or a new trial may be requested in the alternative. If a
verdict was returned, the court may allow the judgment to stand or may
reopen the judgment and either order a new trial or direct the entry of
judgment as if the requested verdict had been directed. If no verdict was
returned, the court may direct the entry of judgment as if the requested
verdict had been directed or may order a new trial.

COMMITTEE NOTES

1996 Amendment. Subdivision (b) is amended to clarify that the time
limitations in this rule are based on service.

2010 Amendment. Subdivision (b) is amended to conform to 2006
changes to Federal Rule of Civil Procedure 50(b) eliminating the requirement
for renewing at the close of all the evidence a motion for directed verdict



already made at the close of an adverse partys evidence.
2013 Amendment. Subdivision (b) is amended to change the time for

service of a motion from 10 to 15 days after the specified event.



 Rule 1.481. 
Fla. R. Civ. P. 1.481

RULE 1.481. VERDICTS.
In all actions when punitive damages are sought, the verdict shall state the

amount of punitive damages separately from the amounts of other damages
awarded.



 Rule 1.490. 
Fla. R. Civ. P. 1.490

RULE 1.490. MAGISTRATES.
(a) General Magistrates. Judges of the circuit court may appoint as many

general magistrates from among the members of the Bar in the circuit as the
judges find necessary, and the general magistrates shall continue in office
until removed by the court. The order making an appointment shall be
recorded. Every person appointed as a general magistrate shall take the oath
required of officers by the Constitution and the oath shall be recorded before
the magistrate discharges any duties of that office.

(b) Special Magistrates. The court may appoint members of The Florida
Bar as special magistrates for any particular service required by the court, and
they shall be governed by all the provisions of law and rules relating to
magistrates except they shall not be required to make oath or give bond
unless specifically required by the order appointing them. Upon a showing
that the appointment is advisable, a person other than a member of the Bar
may be appointed.

(c) Reference. No reference shall be to a magistrate, either general or
special, without the consent of the parties. When a reference is made to a
magistrate, either party may set the action for hearing before the magistrate.

(d) General Powers and Duties. Every magistrate shall perform all of the
duties that pertain to the office according to the practice in chancery and
under the direction of the court. Process issued by a magistrate shall be
directed as provided by law. Hearings before any magistrate, examiner, or
commissioner shall be held in the county where the action is pending, but
hearings may be held at any place by order of court within or without the
state to meet the convenience of the witnesses or the parties. All grounds of
disqualification of a judge shall apply to magistrates. Magistrates shall not
practice law of the same case type in the court in any county or circuit the
magistrate is appointed to served.

(e) Bond. When not otherwise provided by law, the court may require
magistrates who are appointed to dispose of real or personal property to give
bond and surety conditioned for the proper payment of all moneys that may
come into their hands and for the due performance of their duties as the court



may direct. The bond shall be made payable to the State of Florida and shall
be for the benefit of all persons aggrieved by any act of the magistrate.

(f) Notice of Hearings. The magistrate shall assign a time and place for
proceedings as soon as reasonably possible after the reference is made and
give notice to each of the parties. The notice or order setting a matter for
hearing before the magistrate must state if electronic recording or a court
reporter will be used to create a record of the proceedings. If electronic
recording is to be used, the notice must state that any party may have a court
reporter transcribe the record of the proceedings at that partys expense. If
any party fails to appear, the magistrate may proceed ex parte or may adjourn
the proceeding to a future day, giving notice to the absent party of the
adjournment.

(g) Hearings. The magistrate shall proceed with reasonable diligence in
every reference and with the least practicable delay. Any party may apply to
the court for an order to the magistrate to speed the proceedings and to make
the report and to certify to the court the reason for any delay. The evidence
shall be taken by the magistrate or by some other person under the
magistrates authority in the magistrates presence and shall be filed with the
magistrates report. The magistrate shall have authority to examine on oath
the parties and all witnesses produced by the parties on all matters contained
in the reference and to require production of all books, papers, writings,
vouchers, and other documents applicable to the referenced matters. The
magistrate shall admit evidence by deposition or that is otherwise admissible
in court. The magistrate may take all actions concerning evidence that can be
taken by the court and in the same manner. All parties accounting before a
magistrate shall bring in their accounts in the form of accounts payable and
receivable, and any other parties who are not satisfied with the account may
examine the accounting party orally or by interrogatories or deposition as the
magistrate directs. All depositions and documents that have been taken or
used previously in the action may be used before the magistrate.

(h) Magistrates Report. The magistrate must file the report on the
referenced matters and served copies on all parties, and include the name and
address of any court reporter who transcribed the proceedings. The
magistrates report must contain the following language in bold type:

IF YOU WISH TO SEEK REVIEW OF THE REPORT AND



RECOMMENDATIONS MADE BY THE MAGISTRATE, YOU MUST
FILE EXCEPTIONS IN ACCORDANCE WITH FLORIDA RULE OF
CIVIL PROCEDURE 1.490(i). YOU WILL BE REQUIRED TO PROVIDE
THE COURT WITH A RECORD SUFFICIENT TO SUPPORT YOUR
EXCEPTIONS OR YOUR EXCEPTIONS WILL BE DENIED. A RECORD
ORDINARILY INCLUDES A WRITTEN TRANSCRIPT OF ALL
RELEVANT PROCEEDINGS. THE PERSON SEEKING REVIEW MUST
HAVE THE TRANSCRIPT PREPARED IF NECESSARY FOR THE
COURTS REVIEW.

(i) Filing Report; Notice; Exceptions. The parties may file exceptions to
the report within 10 days after it is served. Any party may file cross-
exceptions within 5 days from the service of the exceptions. If no exceptions
are timely filed, the court shall take appropriate action on the report. If
exceptions are timely filed, the court shall resolve the exceptions at a hearing
on reasonable notice. The filing of cross-exceptions shall not delay a hearing
on the exceptions and cross-exceptions unless good cause is shown.

(j) Record. A party filing exceptions to the magistrates report must
provide the court in advance of the hearing a record sufficient to support that
partys exceptions.

(1) The record shall include the court file, designated portions of the
transcript of proceedings before the magistrate, and all depositions and
evidence presented to the magistrate. The designated transcript portions
must be delivered to the court and all other parties at least 48 hours before
the hearing.

(2) If the party filing exceptions has the court reporter prepare less than
a full transcript of proceedings before the magistrate, that party must
promptly file a notice designating the portions of the transcript that have
been ordered. The other parties must be given reasonable time after service
of the notice to arrange for the preparation and designation of other
portions of the transcript for the court to consider at the hearing.

COMMITTEE NOTES

1971 Amendment. The entire rule has been revised. Obsolete language
has been omitted and changes made to meet objections shown by the use of
local rules in many circuits. Subdivisions (a) and (b) are not substantially



changed. Subdivision (c) is shortened and eliminates the useless priority for
setting the matter for hearing to permit either party to go forward.
Subdivision (d) eliminates the right of the parties to stipulate to the place of
hearing. Subdivision (e) is not substantially changed. Subdivisions (f), (g),
(h), and (i) are combined. The right to use affidavits is eliminated because of
the unavailability of cross-examination and possible constitutional questions.
The vague general authority of the magistrate under subdivision (g) is made
specific by limiting it to actions that the court could take. Subdivision (j) is
repealed because it is covered in the new subdivision (f). Subdivision (g) is
the same as former subdivision (k) after eliminating the reference to
affidavits. Subdivision (h) is the same as former subdivision (l).

1980 Amendment. Subdivision (d) is amended to delete the specific
reference to the direction of process so that process issued by the master will
be governed by the law applicable to process generally.

COURT COMMENTARY

1984 Amendment. The consent of all parties is required for any reference
to a special master. Special masters may be used as provided by statute even
with the rule change. See Slatcoff v. Dezen, 74 So. 2d 59 (Fla. 1954).



 Rule 1.491. 
Fla. R. Civ. P. 1.491

RULE 1.491. GENERAL MAGISTRATES FOR RESIDENTIAL
MORTGAGE FORECLOSURE MATTERS.

(a) General Magistrates for Residential Mortgage Foreclosure. The
chief judge of each judicial circuit shall appoint such number of general
magistrates to handle only residential mortgage foreclosures from among the
members of the Bar in the circuit as are necessary to expeditiously preside
over all actions and suits for the foreclosure of a mortgage on residential real
property; and any other matter concerning the foreclosure of a mortgage on
residential real property as allowed by the administrative order of the chief
judge. Such general magistrates shall continue in office until removed by the
court. The order making an appointment shall be recorded. Every person
appointed as a general magistrate shall take the oath required of officers by
the Constitution and the oath shall be recorded before the magistrate
discharges any duties of that office. General magistrates appointed to handle
residential mortgage foreclosure matters only shall not be required to give
bond or surety.

(b) Reference.
(1) Consent to a magistrate for residential mortgage foreclosure actions

and suits may be express or may be implied in accordance with the
requirements of this rule.

(A) A written objection to the referral to a magistrate handling
residential mortgage foreclosures must be filed within 10 days of the
service of the order of referral or within the time to respond to the initial
pleading, whichever is later.

(B) If the time set for the hearing is less than 10 days after service of
the order of referral, the objection must be filed before commencement
of the hearing.

(C) Failure to file a written objection to a referral to the magistrate
handling residential mortgage foreclosures within the applicable time
period is deemed to be consent to the order of referral.
(2) The order of referral to a magistrate handling residential mortgage



foreclosures shall be in substantial conformity with this rule and shall
contain the following language in bold type:
A REFERRAL TO A MAGISTRATE FOR A RESIDENTIAL

MORTGAGE FORECLOSURE MATTER REQUIRES THE CONSENT OF
ALL PARTIES. YOU ARE ENTITLED TO HAVE THIS MATTER
HEARD BEFORE A JUDGE. IF YOU DO NOT WANT TO HAVE THIS
MATTER HEARD BEFORE A MAGISTRATE, YOU MUST FILE A
WRITTEN OBJECTION TO THE REFERRAL WITHIN 10 DAYS OF THE
TIME OF SERVICE OF THIS ORDER OR WITHIN THE TIME TO
RESPOND TO THE INITIAL PLEADING, WHICHEVER IS LATER. IF
THE TIME SET FOR THE HEARING IS LESS THAN 10 DAYS AFTER
THE SERVICE OF THIS ORDER, THE OBJECTION MUST BE MADE
BEFORE THE HEARING. FAILURE TO FILE A WRITTEN OBJECTION
WITHIN THE APPLICABLE TIME PERIOD IS DEEMED TO BE
CONSENT TO THE REFERRAL. REVIEW OF THE REPORT AND
RECOMMENDATIONS MADE BY THE MAGISTRATE SHALL BE BY
EXCEPTIONS AS PROVIDED IN THIS RULE. A RECORD, WHICH
INCLUDES A TRANSCRIPT OF PROCEEDINGS, MAY BE REQUIRED
TO SUPPORT THE EXCEPTIONS.

When a reference is made to a magistrate, either party may set the action
for hearing before the magistrate.
(c) General Powers and Duties. The provisions for the general powers

and duties of a magistrate in rule 1.490(d) shall apply to proceedings under
this rule.

(d) Notice of Hearings; Hearings. The provisions for notice of hearings
and hearings in rules 1.490(f)-(g) shall apply to proceedings under this rule.

(e) Magistrates Report. The provisions for the requirement of the
magistrates report in rule 1.490(h) shall apply to proceedings under this rule.

(f) Filing Report; Notice; Exceptions; Record. The provisions for filing
the report, notice, exceptions to the report, and requirements for a record in
rule 1.490(i)(j) shall apply to proceedings under this rule.

COMMITTEE NOTES

2014 Adoption. This rule is the result of an emergency petition by the



Trial Court Budget Commission and is intended to alleviate the backlog of
residential mortgage foreclosure cases that Florida courts are currently facing.

2015 Amendment. The changes are intended to adopt certain procedural
changes made to rule 1.490 by In re Amendments to Florida Rules of Civil
Procedure, 131 So. 3d 643 (Fla. 2013).



 Rule 1.500. 
Fla. R. Civ. P. 1.500

RULE 1.500. DEFAULTS AND FINAL JUDGMENTS THEREON.
(a) By the Clerk. When a party against whom affirmative relief is sought

has failed to file or serve any document in the action, the party seeking relief
may have the clerk enter a default against the party failing to serve or file
such document.

(b) By the Court. When a party against whom affirmative relief is sought
has failed to plead or otherwise defend as provided by these rules or any
applicable statute or any order of court, the court may enter a default against
such party; provided that if such party has filed or served any document in
the action, that party must be served with notice of the application for default.

(c) Right to Plead. A party may plead or otherwise defend at any time
before default is entered. If a party in default files any document after the
default is entered, the clerk must notify the party of the entry of the default.
The clerk must make an entry on the progress docket showing the
notification.

(d) Setting aside Default. The court may set aside a default, and if a final
judgment consequent thereon has been entered, the court may set it aside in
accordance with rule 1.540(b).

(e) Final Judgment. Final judgments after default may be entered by the
court at any time, but no judgment may be entered against an infant or
incompetent person unless represented in the action by a general guardian,
committee, conservator, or other representative who has appeared in it or
unless the court has made an order under rule 1.210(b) providing that no
representative is necessary for the infant or incompetent. If it is necessary to
take an account or to determine the amount of damages or to establish the
truth of any averment by evidence or to make an investigation of any other
matter to enable the court to enter judgment or to effectuate it, the court may
receive affidavits, make references, or conduct hearings as it deems necessary
and must accord a right of trial by jury to the parties when required by the
Constitution or any statute.

COURT COMMENTARY



1984 Amendment. Subdivision (c) is amended to change the method by
which the clerk handles papers filed after a default is entered. Instead of
returning the papers to the party in default, the clerk will now be required to
file them and merely notify the party that a default has been entered. The
party can then take whatever action the party believes is appropriate.

This is to enable the court to judge the effect, if any, of the filing of any
paper upon the default and the propriety of entering final judgment without
notice to the party against whom the default was entered.



 Rule 1.510. 
Fla. R. Civ. P. 1.510

RULE 1.510. SUMMARY JUDGMENT.
(a) Motion for Summary Judgment or Partial Summary Judgment. A

party may move for summary judgment, identifying each claim or defense
or the part of each claim or defenseon which summary judgment is sought.
The court shall grant summary judgment if the movant shows that there is no
genuine dispute as to any material fact and the movant is entitled to judgment
as a matter of law. The court shall state on the record the reasons for granting
or denying the motion. The summary judgment standard provided for in this
rule shall be construed and applied in accordance with the federal summary
judgment standard.

(b) Time to File a Motion. A party may move for summary judgment at
any time after the expiration of 20 days from the commencement of the
action or after service of a motion for summary judgment by the adverse
party. The movant must serve the motion for summary judgment at least 40
days before the time fixed for the hearing.

(c) Procedures. (1) Supporting Factual Positions. A party asserting that a
fact cannot be or is genuinely disputed must support the assertion by:

(A) citing to particular parts of materials in the record, including
depositions, documents, electronically stored information, affidavits or
declarations, stipulations (including those made for purposes of the
motion only), admissions, interrogatory answers, or other materials; or

(B) showing that the materials cited do not establish the absence or
presence of a genuine dispute, or that an adverse party cannot produce
admissible evidence to support the fact.
(2) Objection That a Fact Is Not Supported by Admissible Evidence. A

party may object that the material cited to support or dispute a fact cannot
be presented in a form that would be admissible in evidence.

(3) Materials Not Cited. The court need consider only the cited
materials, but it may consider other materials in the record.

(4) Affidavits or Declarations. An affidavit or declaration used to
support or oppose a motion must be made on personal knowledge, set out



facts that would be admissible in evidence, and show that the affiant or
declarant is competent to testify on the matters stated.

(5) Timing for Supporting Factual Positions. At the time of filing a
motion for summary judgment, the movant must also serve the movants
supporting factual position as provided in subdivision (1) above. At least
20 days before the time fixed for the hearing, the nonmovant must serve a
response that includes the nonmovants supporting factual position as
provided in subdivision (1) above.
(d) When Facts Are Unavailable to the Nonmovant. If a nonmovant

shows by affidavit or declaration that, for specified reasons, it cannot present
facts essential to justify its opposition, the court may:

(1) defer considering the motion or deny it;
(2) allow time to obtain affidavits or declarations or to take discovery; or
(3) issue any other appropriate order.

(e) Failing to Properly Support or Address a Fact. If a party fails to
properly support an assertion of fact or fails to properly address another
partys assertion of fact as required by rule 1.510(c), the court may:

(1) give an opportunity to properly support or address the fact;
(2) consider the fact undisputed for purposes of the motion;
(3) grant summary judgment if the motion and supporting materials

including the facts considered undisputedshow that the movant is
entitled to it; or

(4) issue any other appropriate order.
(f) Judgment Independent of the Motion. After giving notice and a

reasonable time to respond, the court may:
(1) grant summary judgment for a nonmovant;
(2) grant the motion on grounds not raised by a party; or
(3) consider summary judgment on its own after identifying for the

parties material facts that may not be genuinely in dispute.
(g) Failing to Grant All the Requested Relief. If the court does not grant

all the relief requested by the motion, it may enter an order stating any



material factincluding an item of damages or other reliefthat is not
genuinely in dispute and treating the fact as established in the case.

(h) Affidavit or Declaration Submitted in Bad Faith. If satisfied that an
affidavit or declaration under this rule is submitted in bad faith or solely for
delay, the courtafter notice and a reasonable time to respondmay order
the submitting party to pay the other party the reasonable expenses, including
attorneys fees, it incurred as a result. An offending party or attorney may
also be held in contempt or subjected to other appropriate sanctions.

COMMITTEE NOTES

1976 Amendment. Subdivision (c) has been amended to require a movant
to state with particularity the grounds and legal authority which the movant
will rely upon in seeking summary judgment. This amendment will eliminate
surprise and bring the summary judgment rule into conformity with the
identical provision in rule 1.140(b) with respect to motions to dismiss.

1992 Amendment. The amendment to subdivision (c) will require timely
service of opposing affidavits, whether by mail or by delivery, prior to the
day of the hearing on a motion for summary judgment.

2005 Amendment. Subdivision (c) has been amended to ensure that the
moving party and the adverse party are each given advance notice of and,
where appropriate, copies of the evidentiary material on which the other party
relies in connection with a summary judgment motion.

2012 Amendment. Subdivision (c) is amended to reflect the relocation of
the service rule from rule 1.080 to Fla. R. Jud. Admin. 2.516.

2021 Amendment. The rule is amended to adopt almost all the text of
Federal Rule of Civil Procedure 56. The federal summary judgment
standard refers to the principles announced in Celotex Corp. v. Catrett, 477
U.S. 317 (1986), Anderson v. Liberty Lobby, Inc., 477 U.S. 242 (1986), and
Matsushita Electric Industrial Co. v. Zenith Radio Corp., 475 U.S. 574
(1986), and more generally to case law interpreting Federal Rule of Civil
Procedure 56.



 Rule 1.520. 
Fla. R. Civ. P. 1.520

RULE 1.520. VIEW.
Upon motion of either party the jury may be taken to view the premises or

place in question or any property, matter, or thing relating to the controversy
between the parties when it appears that view is necessary to a just decision;
but the party making the motion shall advance a sum sufficient to defray the
expenses of the jury and the officer who attends them in taking the view,
which expense shall be taxed as costs if the party who advanced it prevails.



 Rule 1.525. 
Fla. R. Civ. P. 1.525

RULE 1.525. MOTIONS FOR COSTS AND ATTORNEYS FEES.
Any party seeking a judgment taxing costs, attorneys fees, or both shall

serve a motion no later than 30 days after filing of the judgment, including a
judgment of dismissal, or the service of a notice of voluntary dismissal,
which judgment or notice concludes the action as to that party.

COMMITTEE NOTES

2000 Adoption. This rule is intended to establish a time requirement to
serve motions for costs and attorneys fees.

COURT COMMENTARY

2000 Adoption. This rule only establishes time requirements for serving
motions for costs, attorneys fees, or both, and in no way affects or overrules
the pleading requirements outlined by this Court in Stockman v. Downs, 573
So. 2d 835 (Fla. 1991).



 Rule 1.530. 
Fla. R. Civ. P. 1.530

RULE 1.530. MOTIONS FOR NEW TRIAL AND REHEARING;
AMENDMENTS OF JUDGMENTS; REMITTITUR OR ADDITUR.

(a) Jury and Non-Jury Actions. A new trial may be granted to all or any
of the parties and on all or a part of the issues. To preserve for appeal a
challenge to the sufficiency of a trial courts findings in the final judgment, a
party must raise that issue in a motion for rehearing under this rule. On a
motion for a rehearing of matters heard without a jury, including summary
judgments, the court may open the judgment if one has been entered, take
additional testimony, and enter a new judgment.

(b) Time for Motion. A motion for new trial or for rehearing must be
served not later than 15 days after the return of the verdict in a jury action or
the date of filing of the judgment in a non-jury action. A timely motion may
be amended to state new grounds in the discretion of the court at any time
before the motion is determined.

(c) Time for Serving Affidavits. When a motion for a new trial is based
on affidavits, the affidavits must be served with the motion. The opposing
party has 10 days after such service within which to serve opposing
affidavits, which period may be extended for an additional period not
exceeding 20 days either by the court for good cause shown or by the parties
by written stipulation. The court may permit reply affidavits.

(d) On Initiative of Court. Not later than 15 days after the date of filing
of the judgment or within the time of ruling on a timely motion for a
rehearing or a new trial made by a party, the court of its own initiative may
order a rehearing or a new trial for any reason for which it might have
granted a rehearing or a new trial on motion of a party.

(e) When Motion Is Unnecessary; Non-Jury Action. In a non-jury
action, the sufficiency of the evidence to support the judgment may be raised
on appeal whether or not the party raising the question has made any
objection thereto in the trial court or made a motion for rehearing, for new
trial, or to alter or amend the judgment.

(f) Order Granting to Specify Grounds. All orders granting a new trial
must state the specific grounds therefor. If such an order is appealed and does



not state the specific grounds, the appellate court shall relinquish its
jurisdiction to the trial court for entry of an order specifying the grounds for
granting the new trial.

(g) Motion to Alter or Amend a Judgment. A motion to alter or amend
the judgment shall be served not later than 15 days after the date of filing of
the judgment, except that this rule does not affect the remedies in rule
1.540(b).

(h) Motion for Remittitur or Additur. (1) Not later than 15 days after the
return of the verdict in a jury action or the date of filing of the judgment in a
non-jury action, any party may serve a motion for remittitur or additur. The
motion must state the applicable Florida law under which it is being made,
the amount the movant contends the verdict should be, and the specific
evidence that supports the amount stated or a statement of the improper
elements of damages included in the damages award.

(2) If a remittitur or additur is granted, the court must state the specific
statutory criteria relied on.

(3) Any party adversely affected by the order granting remittitur or
additur may reject the award and elect a new trial on the issue of damages
only by filing a written election within 15 days after the order granting
remittitur or additur is filed.

COMMITTEE NOTES

1992 Amendment. In subdivision (e), the reference to assignments of
error is eliminated to conform to amendments to the Florida Rules of
Appellate Procedure.

2013 Amendment. Subdivisions (b) and (g) are amended to change the
deadlines for service of certain motions from 10 to 15 days after the specified
event. Subdivision (d) is amended to change the deadline for a court to act of
its own initiative.

COURT COMMENTARY

1984 Amendment. Subdivision (b): This clarifies the time in which a
motion for rehearing may be served. It specifies that the date of filing as



shown on the face of the judgment in a non-jury action is the date from which
the time for serving a motion for rehearing is calculated.

There is no change in the time for serving a motion for new trial in a jury
action, except the motion may be served before the rendition of the judgment.

2022 Amendments. The amendment to subdivision (a) does not address or
affect, by negative implication, any other instance in which a motion for
rehearing is or might be necessary to preserve an issue for appellate review.



 Rule 1.540. 
Fla. R. Civ. P. 1.540

RULE 1.540. RELIEF FROM JUDGMENT, DECREES, OR ORDERS.
(a) Clerical Mistakes. Clerical mistakes in judgments, decrees, or other

parts of the record and errors therein arising from oversight or omission may
be corrected by the court at any time on its own initiative or on the motion of
any party and after such notice, if any, as the court orders. During the
pendency of an appeal such mistakes may be so corrected before the record
on appeal is docketed in the appellate court, and thereafter while the appeal is
pending may be so corrected with leave of the appellate court.

(b) Mistakes; Inadvertence; Excusable Neglect; Newly Discovered
Evidence; Fraud; etc. On motion and upon such terms as are just, the court
may relieve a party or a partys legal representative from a final judgment,
decree, order, or proceeding for the following reasons:

(1) mistake, inadvertence, surprise, or excusable neglect;
(2) newly discovered evidence which by due diligence could not have

been discovered in time to move for a new trial or rehearing;
(3) fraud (whether heretofore denominated intrinsic or extrinsic),

misrepresentation, or other misconduct of an adverse party;
(4) that the judgment, decree, or order is void; or
(5) that the judgment, decree, or order has been satisfied, released, or

discharged, or a prior judgment, decree, or order upon which it is based has
been reversed or otherwise vacated, or it is no longer equitable that the
judgment, decree, or order should have prospective application.
The motion shall be filed within a reasonable time, and for reasons (1), (2),

and (3) not more than 1 year after the judgment, decree, order, or proceeding
was entered or taken. A motion under this subdivision does not affect the
finality of a judgment, decree, or order or suspend its operation. This rule
does not limit the power of a court to entertain an independent action to
relieve a party from a judgment, decree, order, or proceeding or to set aside a
judgment or decree for fraud upon the court.

Writs of coram nobis, coram vobis, audita querela, and bills of review and



bills in the nature of a bill of review are abolished, and the procedure for
obtaining any relief from a judgment or decree shall be by motion as
prescribed in these rules or by an independent action.

COMMITTEE NOTES

1992 Amendment. Subdivision (b) is amended to remove the 1-year
limitation for a motion under this rule based on fraudulent financial affidavits
in marital cases.

2003 Amendment. Subdivision (b) is amended to clarify that motions
must be filed.



 Rule 1.545. 
Fla. R. Civ. P. 1.545

RULE 1.545. FINAL DISPOSITION FORM.
A final disposition form (form 1.998) must be filed with the clerk by the

prevailing party at the time of the filing of the order or judgment which
disposes of the action. If the action is settled without a court order or
judgment being entered, or dismissed by the parties, the plaintiff or petitioner
immediately must file a final disposition form (form 1.998) with the clerk.
The clerk must complete the final disposition form for a party appearing pro
se, or when the action is dismissed by court order for lack of prosecution
pursuant to rule 1.420(e).

COMMITTEE NOTES

2016 Amendment. This rule is identical to former rule 1.100(c)(3).



 Rule 1.550. 
Fla. R. Civ. P. 1.550

RULE 1.550. EXECUTIONS AND FINAL PROCESS.
(a) Issuance. Executions on judgments shall issue during the life of the

judgment on the oral request of the party entitled to it or that partys attorney
without praecipe. No execution or other final process shall issue until the
judgment on which it is based has been recorded nor within the time for
serving a motion for new trial or rehearing, and if a motion for new trial or
rehearing is timely served, until it is determined; provided execution or other
final process may be issued on special order of the court at any time after
judgment.

(b) Stay. The court before which an execution or other process based on a
final judgment is returnable may stay such execution or other process and
suspend proceedings thereon for good cause on motion and notice to all
adverse parties.



 Rule 1.560. 
Fla. R. Civ. P. 1.560

RULE 1.560. DISCOVERY IN AID OF EXECUTION.
(a) In General. In aid of a judgment, decree, or execution the judgment

creditor or the successor in interest, when that interest appears of record, may
obtain discovery from any person, including the judgment debtor, in the
manner provided in these rules.

(b) Fact Information Sheet. In addition to any other discovery available
to a judgment creditor under this rule, the court, at the request of the
judgment creditor, shall order the judgment debtor or debtors to complete
form 1.977, including all required attachments, within 45 days of the order or
such other reasonable time as determined by the court. Failure to obey the
order may be considered contempt of court.

(c) Final Judgment Enforcement Paragraph. In any final judgment, the
judge shall include the following enforcement paragraph if requested by the
prevailing party or attorney:

It is further ordered and adjudged that the judgment debtor(s) shall
complete under oath Florida Rule of Civil Procedure Form 1.977 (Fact
Information Sheet), including all required attachments, and serve it on the
judgment creditors attorney, or the judgment creditor if the judgment
creditor is not represented by an attorney, within 45 days from the date of this
final judgment, unless the final judgment is satisfied or post-judgment
discovery is stayed.

Jurisdiction of this case is retained to enter further orders that are proper to
compel the judgment debtor(s) to complete form 1.977, including all required
attachments, and serve it on the judgment creditors attorney, or the judgment
creditor if the judgment creditor is not represented by an attorney.

(d) Information Regarding Assets of Judgment Debtors Spouse. In
any final judgment, if requested by the judgment creditor, the court shall
include the additional Spouse Related Portion of the fact information sheet
upon a showing that a proper predicate exists for discovery of separate
income and assets of the judgment debtors spouse.

COMMITTEE NOTES



1972 Amendment. The rule is expanded to permit discovery in any
manner permitted by the rules and conforms to the 1970 change in Federal
Rule of Civil Procedure 69(a).

2000 Amendment. Subdivisions (b)-(e) were added and patterned after
Florida Small Claims Rule 7.221(a) and Form 7.343. Although the judgment
creditor is entitled to broad discovery into the judgment debtors finances,
Fla. R. Civ. P. 1.280(b); Jim Appleys Tru-Arc, Inc. v. Liquid Extraction
Systems, 526 So. 2d 177, 179 (Fla. 2d DCA 1988), inquiry into the individual
assets of the judgment debtors spouse may be limited until a proper
predicate has been shown. Tru-Arc, Inc. 526 So. 2d at 179; Rose Printing Co.
v. DAmato, 338 So. 2d 212 (Fla. 3d DCA 1976).

Failure to complete form 1.977 as ordered may be considered contempt of
court.

2013 Amendment. Subdivision (e) was deleted because the filing of a
notice of compliance is unnecessary for the judgment creditor to seek relief
from the court for noncompliance with this rule, and because the Fact
Information Sheet itself should not be filed with the clerk of the court.



 Rule 1.570. 
Fla. R. Civ. P. 1.570

RULE 1.570. ENFORCEMENT OF FINAL JUDGMENTS.
(a) Money Judgments. Final process to enforce a judgment solely for the

payment of money shall be by execution, writ of garnishment, or other
appropriate process or proceedings.

(b) Property Recovery. Final process to enforce a judgment for the
recovery of property shall be by a writ of possession for real property and by
a writ of replevin, distress writ, writ of garnishment, or other appropriate
process or proceedings for other property.

(c) Performance of an Act. If judgment is for the performance of a
specific act or contract:

(1) the judgment shall specify the time within which the act shall be
performed. If the act is not performed within the time specified, the party
seeking enforcement of the judgment shall make an affidavit that the
judgment has not been complied with within the prescribed time and the
clerk shall issue a writ of attachment against the delinquent party. The
delinquent party shall not be released from the writ of attachment until that
party has complied with the judgment and paid all costs accruing because
of the failure to perform the act. If the delinquent party cannot be found,
the party seeking enforcement of the judgment shall file an affidavit to this
effect and the court shall issue a writ of sequestration against the
delinquent partys property. The writ of sequestration shall not be
dissolved until the delinquent party complies with the judgment;

(2) the court may hold the disobedient party in contempt; or
(3) the court may appoint some person, not a party to the action, to

perform the act insofar as practicable. The performance of the act by the
person appointed shall have the same effect as if performed by the party
against whom the judgment was entered.
(d) Vesting Title. If the judgment is for a conveyance, transfer, release, or

acquittance of real or personal property, the judgment shall have the effect of
a duly executed conveyance, transfer, release, or acquittance that is recorded
in the county where the judgment is recorded. A judgment under this



subdivision shall be effective notwithstanding any disability of a party.
(e) Proceedings Supplementary. Proceedings supplementary to execution

and related discovery shall proceed as provided by chapter 56, Florida
Statutes. Notices to Appear, as defined by law, and supplemental complaints
in proceedings supplementary must be served as provided by the law and
rules of procedure for service of process.

COMMITTEE NOTES

1980 Amendment. This rule has been subdivided and amended to make it
more easily understood. No change in the substance of the rule is intended.
Subdivision (d) is partly derived from Federal Rule of Civil Procedure 70.

2018 Amendment. Subdivision (e) has been added to address legislative
amendments to chapter 56, Florida Statutes (2016).



 Rule 1.580. 
Fla. R. Civ. P. 1.580

RULE 1.580. WRIT OF POSSESSION.
(a) Issuance. When a judgment or order is for the delivery of possession of

real property, the judgment or order shall direct the clerk to issue a writ of
possession. The clerk shall issue the writ forthwith and deliver it to the sheriff
for execution.

(b) Third-Party Claims. If a person other than the party against whom the
writ of possession is issued is in possession of the property, that person may
retain possession of the property by filing with the sheriff an affidavit that the
person is entitled to possession of the property, specifying the nature of the
claim. Thereupon the sheriff shall desist from enforcing the writ and shall
serve a copy of the affidavit on the party causing issuance of the writ of
possession. The party causing issuance of the writ may apply to the court for
an order directing the sheriff to complete execution of the writ. The court
shall determine the right of possession in the property and shall order the
sheriff to continue to execute the writ or shall stay execution of the writ, if
appropriate.

COMMITTEE NOTES

1980 Amendment. There was inadvertently continued the difference
between writs of assistance and writs of possession when law and chancery
procedure was consolidated. The amendment eliminates the distinction. Writs
of assistance are combined with writs of possession. The amendment
provides for issuance and the determination of third-party claims. The only
change is to shift the burden of the affidavit from the person causing the writ
to be executed to the third person who contends that its execution is
inappropriate.



 Rule 1.590. 
Fla. R. Civ. P. 1.590

RULE 1.590. PROCESS IN BEHALF OF AND AGAINST PERSONS
NOT PARTIES.

Every person who is not a party to the action who has obtained an order, or
in whose favor an order has been made, may enforce obedience to such order
by the same process as if that person were a party, and every person, not a
party, against whom obedience to any order may be enforced shall be liable
to the same process for enforcing obedience to such orders as if that person
were a party.



 Rule 1.600. 
Fla. R. Civ. P. 1.600

RULE 1.600. DEPOSITS IN COURT.
In an action in which any part of the relief sought is a judgment for a sum

of money or the disposition of a sum of money or the disposition of any other
thing capable of delivery, a party may deposit all or any part of such sum or
thing with the court upon notice to every other party and by leave of court.
Money paid into court under this rule shall be deposited and withdrawn by
order of court.



 Rule 1.610. 
Fla. R. Civ. P. 1.610

RULE 1.610. INJUNCTIONS.
(a) Temporary Injunction.

(1) A temporary injunction may be granted without written or oral notice
to the adverse party only if:

(A) it appears from the specific facts shown by affidavit or verified
pleading that immediate and irreparable injury, loss, or damage will
result to the movant before the adverse party can be heard in opposition;
and

(B) the movants attorney certifies in writing any efforts that have
been made to give notice and the reasons why notice should not be
required.
(2) No evidence other than the affidavit or verified pleading shall be

used to support the application for a temporary injunction unless the
adverse party appears at the hearing or has received reasonable notice of
the hearing. Every temporary injunction granted without notice shall be
endorsed with the date and hour of entry and shall be filed forthwith in the
clerks office and shall define the injury, state findings by the court why
the injury may be irreparable, and give the reasons why the order was
granted without notice if notice was not given. The temporary injunction
shall remain in effect until the further order of the court.
(b) Bond. No temporary injunction shall be entered unless a bond is given

by the movant in an amount the court deems proper, conditioned for the
payment of costs and damages sustained by the adverse party if the adverse
party is wrongfully enjoined. Unless otherwise specified by the court, the
bond shall be posted within 5 days of entry of the order setting the bond.
When any injunction is issued on the pleading of a municipality or the state
or any officer, agency, or political subdivision thereof, the court may require
or dispense with a bond, with or without surety, and conditioned in the same
manner, having due regard for the public interest. No bond shall be required
for issuance of a temporary injunction issued solely to prevent physical injury
or abuse of a natural person.



(c) Form and Scope. Every injunction shall specify the reasons for entry,
shall describe in reasonable detail the act or acts restrained without reference
to a pleading or another document, and shall be binding on the parties to the
action, their officers, agents, servants, employees, and attorneys and on those
persons in active concert or participation with them who receive actual notice
of the injunction.

(d) Motion to Dissolve. A party against whom a temporary injunction has
been granted may move to dissolve or modify it at any time. If a party moves
to dissolve or modify, the motion shall be heard within 5 days after the
movant applies for a hearing on the motion.

COMMITTEE NOTES

1980 Amendment. This rule has been extensively amended so that it is
similar to Federal Rule of Civil Procedure 65. The requirement that an
injunction not be issued until a complaint was filed has been deleted as
unnecessary. A pleading seeking an injunction or temporary restraining order
must still be filed before either can be entered. The rule now provides for a
temporary restraining order without notice that will expire automatically
unless a hearing on a preliminary injunction is held and a preliminary
injunction granted. The contents of an injunctive order are specified. The
binding effect of an injunctive order is specified, but does not change existing
law. Motions to dissolve may be made and heard at any time. The trial on the
merits can be consolidated with a hearing on issuance of a preliminary
injunction, and the trial can be advanced to accommodate this.

COURT COMMENTARY

1984 Amendment. Considerable dissatisfaction arose on the adoption of
the 1980 rule, particularly because of the creation of the temporary
restraining order with its inflexible time limits. See Sun Tech Inc. of South
Florida v. Fortune Personnel Agency of Fort Lauderdale, 412 So. 2d 962
(Fla. 4th DCA 1982). The attempt to balance the rights of the parties in 1980
failed because of court congestion and the inability in the existing
circumstances to accommodate the inflexible time limits. These changes will
restore injunction procedure to substantially the same as that existing before
the 1980 change. The temporary restraining order terminology and procedure



is abolished. The former procedure of temporary and permanent injunctions
is restored. The requirement of findings and reasons and other details in an
injunctive order are retained.

Subdivision (b) eliminates the need for a bond on a temporary injunction
issued to prevent physical injury or abuse of a natural person.

Subdivision (e) institutes a requirement that a motion to dissolve an
injunction shall be heard within 5 days after the movant applies for it. This
provision emphasizes the importance of a prompt determination of the
propriety of injunctive relief granted without notice or, if the circumstances
have changed since the issuance of the injunctive order, the need for speedy
relief as a result of the changes. Former subdivisions (a), (b)(3), and (b)(4)
have been repealed because the new procedure makes them superfluous. The
right of the court to consolidate the hearing on a temporary injunction with
the trial of the action is not affected because that can still be accomplished
under rule 1.270(a).



 Rule 1.620. 
Fla. R. Civ. P. 1.620

RULE 1.620. RECEIVERS.
(a) Notice. The provisions of rule 1.610 as to notice shall apply to

applications for the appointment of receivers.
(b) Report. Every receiver shall file in the clerks office a true and

complete inventory under oath of the property coming under the receivers
control or possession under the receivers appointment within 20 days after
appointment. Every 3 months unless the court otherwise orders, the receiver
shall file in the same office an inventory and account under oath of any
additional property or effects which the receiver has discovered or which
shall have come to the receivers hands since appointment, and of the amount
remaining in the hands of or invested by the receiver, and of the manner in
which the same is secured or invested, stating the balance due from or to the
receiver at the time of rendering the last account and the receipts and
expenditures since that time. When a receiver neglects to file the inventory
and account, the court shall enter an order requiring the receiver to file such
inventory and account and to pay out of the receivers own funds the
expenses of the order and the proceedings thereon within not more than 20
days after being served with a copy of such order.

(c) Bond. The court may grant leave to put the bond of the receiver in suit
against the sureties without notice to the sureties of the application for such
leave.



 Rule 1.625. 
Fla. R. Civ. P. 1.625

RULE 1.625. PROCEEDINGS AGAINST SURETY ON JUDICIAL
BONDS.

When any rule or statute requires or permits giving of bond by a party in a
judicial proceeding, the surety on the bond submits to the jurisdiction of the
court when the bond is approved. The surety must furnish the address for the
service of documents affecting the suretys liability on the bond to the officer
to whom the bond is given at that time. The liability of the surety may be
enforced on motion without the necessity of an independent action. The
motion must be served on the surety at the address furnished to the officer.
The surety must serve a response to the motion within 20 days after service
of the motion, asserting any defenses in law or in fact. If the surety fails to
serve a response within the time allowed, a default may be taken. If the surety
serves a response, the issues raised must be decided by the court on
reasonable notice to the parties. The right to jury trial shall not be abridged in
any such proceedings.

COMMITTEE NOTES

1990 Adoption. This rule is intended to avoid the necessity of an
independent action against a surety on judicial bonds. It does not abolish an
independent action if the obligee prefers to file one.



 Rule 1.630. 
Fla. R. Civ. P. 1.630

RULE 1.630. EXTRAORDINARY REMEDIES.
(a) Applicability. This rule applies to actions for the issuance of writs of

mandamus, prohibition, quo warranto, and habeas corpus.
(b) Initial Pleading. The initial pleading must be a complaint. It must

contain:
(1) the facts on which the plaintiff relies for relief;
(2) a request for the relief sought; and
(3) if desired, argument in support of the complaint with citations of

authority.
The caption must show the action filed in the name of the plaintiff in all

cases and not on the relation of the state. When the complaint seeks a writ
directed to a lower court or to a governmental or administrative agency, a
copy of as much of the record as is necessary to support the plaintiffs
complaint must be attached.

(c) Time. A complaint must be filed within the time provided by law.
(d) Process. If the complaint shows a prima facie case for relief, the court

must issue:
(1) an order nisi in prohibition;
(2) an alternative writ in mandamus that may incorporate the complaint

by reference only;
(3) a writ of quo warranto; or
(4) a writ of habeas corpus.

The writ must be served in the manner prescribed by law.
(e) Response. Defendant must respond to the writ as provided in rule

1.140, but the answer in quo warranto must show better title to the office
when the writ seeks an adjudication of the right to an office held by the
defendant.



COMMITTEE NOTES

2012 Amendment. Subdivision (d)(5) is amended to reflect the relocation
of the service rule from rule 1.080 to Fla. R. Jud. Admin. 2.516.

2013 Amendment. Rule 1.630 has been amended to remove any reference
to certiorari proceedings, which instead are governed by the Florida Rules of
Appellate Procedure. The Florida Rules of Appellate Procedure apply when
the circuit courts exercise their appellate jurisdiction.

COURT COMMENTARY

1984 Amendment. Rule 1.630 replaces rules and statutes used before
1980 when the present Florida Rules of Appellate Procedure were adopted.
Experience has shown that rule 9.100 is not designed for use in trial court.
The times for proceeding, the methods of proceeding, and the general nature
of the procedure is appellate and presumes that the proceeding is basically an
appellate proceeding. When the extraordinary remedies are sought in the trial
court, these items do not usually exist and thus the rule is difficult to apply.
The uniform procedure concept of rule 9.100 has been retained with changes
making the procedure fit trial court procedure. The requirement of attaching a
copy of the record in subdivision (b) may not be possible within the time
allowed for the initial pleading because of the unavailability of the record. In
that event the plaintiff should file a motion to extend the time to allow the
preparation of the record and supply it when prepared. The filing of a motion
to extend the time should be sufficient to extend it until the motion can be
decided by the court.



 Rule 1.650. 
Fla. R. Civ. P. 1.650

RULE 1.650. MEDICAL MALPRACTICE PRESUIT SCREENING
RULE.

(a) Scope of Rule. This rule applies only to the procedures prescribed by
section 766.106, Florida Statutes, for presuit screening of claims for medical
malpractice.

(b) Notice.
(1) Notice of intent to initiate litigation sent by certified mail to and

received by any prospective defendant shall operate as notice to the person
and any other prospective defendant who bears a legal relationship to the
prospective defendant receiving the notice. The notice shall make the
recipient a party to the proceeding under this rule.

(2) The notice shall include the names and addresses of all other parties
and shall be sent to each party.

(3) The court shall decide the issue of receipt of notice when raised in a
motion to dismiss or to abate an action for medical malpractice.
(c) Discovery.

(1) Types. Upon receipt by a prospective defendant of a notice of intent
to initiate litigation, the parties may obtain presuit screening discovery by
one or more of the following methods: unsworn statements upon oral
examination; production of documents or things; physical examinations;
written questions; and unsworn statements of treating health care
providers. Unless otherwise provided in this rule, the parties shall make
discoverable information available without formal discovery. Evidence of
failure to comply with this rule may be grounds for dismissal of claims or
defenses ultimately asserted.

(2) Procedures for Conducting.
(A) Unsworn Statements. Any party may require other parties to appear

for the taking of an unsworn statement. The statements shall only be used for
the purpose of presuit screening and are not discoverable or admissible in any
civil action for any purpose by any party. A party desiring to take the



unsworn statement of any party shall give reasonable notice in writing to all
parties. The notice shall state the time and place for taking the statement and
the name and address of the party to be examined. Unless otherwise
impractical, the examination of any party shall be done at the same time by
all other parties. Any party may be represented by an attorney at the taking of
an unsworn statement. Statements may be transcribed or electronically
recorded, or audiovisually recorded. The taking of unsworn statements of
minors is subject to the provisions of rule 1.310(b)(8). The taking of unsworn
statements is subject to the provisions of rule 1.310(d) and may be terminated
for abuses. If abuses occur, the abuses shall be evidence of failure of that
party to comply with the good faith requirements of section 766.106, Florida
Statutes.

(B) Documents or Things. At any time after receipt by a party of a notice
of intent to initiate litigation, a party may request discoverable documents or
things. The documents or things shall be produced at the expense of the
requesting party within 20 days of the date of receipt of the request. A party
is required to produce discoverable documents or things within that partys
possession or control. Copies of documents produced in response to the
request of any party shall be served on all other parties. The party serving the
documents shall list the name and address of the parties upon whom the
documents were served, the date of service, the manner of service, and the
identity of the document served in the certificate of service. Failure of a party
to comply with the above time limits shall not relieve that party of its
obligation under the statute but shall be evidence of failure of that party to
comply with the good faith requirements of section 766.106, Florida Statutes.

(C) Physical Examinations. Upon receipt by a party of a notice of intent
to initiate litigation and within the presuit screening period, a party may
require a claimant to submit to a physical examination. The party shall give
reasonable notice in writing to all parties of the time and place of the
examination. Unless otherwise impractical, a claimant shall be required to
submit to only one examination on behalf of all parties. The practicality of a
single examination shall be determined by the nature of the claimants
condition as it relates to the potential liability of each party. The report of
examination shall be made available to all parties upon payment of the
reasonable cost of reproduction. The report shall not be provided to any
person not a party at any time. The report shall only be used for the purpose



of presuit screening and the examining physician may not testify concerning
the examination in any subsequent civil action. All requests for physical
examinations or notices of unsworn statements shall be in writing and a copy
served upon all parties. The requests or notices shall bear a certificate of
service identifying the name and address of the person upon whom the
request or notice is served, the date of the request or notice, and the manner
of service. Any minor required to submit to examination pursuant to this rule
shall have the right to be accompanied by a parent or guardian at all times
during the examination, except upon a showing that the presence of a parent
or guardian is likely to have a material, negative impact on the minors
examination.

(D) Written Questions. Any party may request answers to written
questions, the number of which may not exceed 30, including subparts. The
party to whom the written questions are directed shall respond within 20 days
of receipt of the questions. Copies of the answers to the written questions
shall be served on all other parties. The party serving the answer to the
written questions shall list the name and address of the parties upon whom
the answers to the written questions were served, the date of service, and the
manner of service in the certificate of service. Failure of a party to comply
with the above time limits shall not relieve that party of its obligation under
the statute, but shall be evidence of failure of that party to comply with the
good faith requirements of section 766.106, Florida Statutes.

(E) Unsworn Statements of Treating Healthcare Providers. A
prospective defendant or his or her legal representative may also take
unsworn statements of the claimants treating healthcare providers. The
statements must be limited to those areas that are potentially relevant to the
claim of personal injury or wrongful death. Subject to the procedural
requirements of paragraph (2)(A), a prospective defendant may take unsworn
statements from claimants treating health care providers. The statements
shall only be used for the purpose of presuit screening and are not
discoverable or admissible in any civil action for any purpose by any party. A
party desiring to take the unsworn statement of treating healthcare providers
shall give reasonable notice in writing to all parties. The notice shall state the
time and place for taking the statement and the name and address of the
treating healthcare provider to be examined. Unless otherwise impractical,
the examination of any treating healthcare provider shall be done at the same



time by all other parties. Any party may be represented by an attorney at the
taking of an unsworn statement of treating healthcare providers. Statements
may be transcribed or electronically recorded, or audiovisually recorded. The
taking of unsworn statements of a treating healthcare provider is subject to
the provisions of rule 1.310(d) and may be terminated for abuses. If abuses
occur, the abuses shall be evidence of failure of that party to comply with the
good faith requirements of section 766.106, Florida Statutes.

(3) Work Product. Work product generated by the presuit screening
process that is subject to exclusion in a subsequent proceeding is limited to
verbal or written communications that originate pursuant to the presuit
screening process.
(d) Time Requirements.

(1) The notice of intent to initiate litigation shall be served by certified
mail, return receipt requested, prior to the expiration of any applicable
statute of limitations or statute of repose. If an extension has been granted
under section 766.104(2), Florida Statutes, or by agreement of the parties,
the notice shall be served within the extended period.

(2) The action may not be filed against any defendant until 90 days after
the notice of intent to initiate litigation was mailed to that party. The action
may be filed against any party at any time after the notice of intent to
initiate litigation has been mailed after the claimant has received a written
rejection of the claim from that party.

(3) To avoid being barred by the applicable statute of limitations, an
action must be filed within 60 days or within the remainder of the time of
the statute of limitations after the notice of intent to initiate litigation was
received, whichever is longer, after the earliest of the following:

(A) The expiration of 90 days after the date of receipt of the notice of
intent to initiate litigation.

(B) The expiration of 180 days after mailing of the notice of intent to
initiate litigation if the claim is controlled by section 768.28(6)(a),
Florida Statutes.

(C) Receipt by claimant of a written rejection of the claim.
(D) The expiration of any extension of the 90-day presuit screening



period stipulated to by the parties in accordance with section 766.106(4),
Florida Statutes.

COMMITTEE NOTES

2000 Amendment. The reference to the statute of repose was added to
subdivision (d)(1) pursuant to Musculoskeletal Institute Chartered v.
Parham, 745 So.2d 946 (Fla. 1999).



 Rule 1.700. 
Fla. R. Civ. P. 1.700

RULE 1.700. RULES COMMON TO MEDIATION AND
ARBITRATION.

(a) Referral by Presiding Judge or by Stipulation. Except as hereinafter
provided or as otherwise prohibited by law, the presiding judge may enter an
order referring all or any part of a contested civil matter to mediation or
arbitration. The parties to any contested civil matter may file a written
stipulation to mediate or arbitrate any issue between them at any time. The
order of referral or written stipulation may provide for mediation or
arbitration to be conducted in person, through the use of communication
technology as that term is defined in Florida Rule of General Practice and
Judicial Administration 2.530, or by a combination thereof. Absent direction
in the order of referral, mediation or arbitration must be conducted in person,
unless the parties stipulate or the court, on its own motion or on motion by a
party, otherwise orders that the proceeding be conducted by communication
technology or by a combination of communication technology and in-person
participation.

(1) Conference or Hearing Date. Unless otherwise ordered by the
court, the first mediation conference or arbitration hearing must be held
within 60 days of the order of referral.

(2) Notice. Within 15 days after the designation of the mediator or the
arbitrator, the court or its designee, who may be the mediator or the chief
arbitrator, must notify the parties in writing of the date, the time, and, as
applicable, the place of the conference or hearing and the instructions for
access to communication technology that will be used for the conference or
hearing, unless the order of referral, other order of the court, or written
stipulation specifies this information.
(b) Motion to Dispense with Mediation and Arbitration. A party may

move, within 15 days after the order of referral, to dispense with mediation or
arbitration, if:

(1) the issue to be considered has been previously mediated or arbitrated
between the same parties pursuant to Florida law;

(2) the issue presents a question of law only;



(3) the order violates rule 1.710(b) or rule 1.800; or
(4) other good cause is shown.

(c) Motion to Defer Mediation or Arbitration. Within 15 days of the
order of referral, any party may file a motion with the court to defer the
proceeding. The movant shall set the motion to defer for hearing prior to the
scheduled date for mediation or arbitration. Notice of the hearing shall be
provided to all interested parties, including any mediator or arbitrator who
has been appointed. The motion shall set forth, in detail, the facts and
circumstances supporting the motion. Mediation or arbitration shall be tolled
until disposition of the motion.

(d) Disqualification of a Mediator or Arbitrator. Any party may move
to enter an order disqualifying a mediator or an arbitrator for good cause. If
the court rules that a mediator or arbitrator is disqualified from hearing a
case, an order shall be entered setting forth the name of a qualified
replacement. Nothing in this provision shall preclude mediators or arbitrators
from disqualifying themselves or refusing any assignment. The time for
mediation or arbitration shall be tolled during any periods in which a motion
to disqualify is pending.



 Rule 1.710. 
Fla. R. Civ. P. 1.710

RULE 1.710. MEDIATION RULES.
(a) Completion of Mediation. Mediation shall be completed within 45

days of the first mediation conference unless extended by order of the court
or by stipulation of the parties.

(b) Exclusions From Mediation. A civil action shall be ordered to
mediation or mediation in conjunction with arbitration upon stipulation of the
parties. A civil action may be ordered to mediation or mediation in
conjunction with arbitration upon motion of any party or by the court, if the
judge determines the action to be of such a nature that mediation could be of
benefit to the litigants or the court. Under no circumstances may the
following categories of actions be referred to mediation:

(1) Bond estreatures.
(2) Habeas corpus and extraordinary writs.
(3) Bond validations.
(4) Civil or criminal contempt.
(5) Other matters as may be specified by administrative order of the

chief judge in the circuit.
(c) Discovery. Unless stipulated by the parties or ordered by the court, the

mediation process shall not suspend discovery.

COMMITTEE NOTES

1994 Amendment. The Supreme Court Committee on Mediation and
Arbitration Rules encourages crafting a combination of dispute resolution
processes without creating an unreasonable barrier to the traditional court
system.



 Rule 1.720. 
Fla. R. Civ. P. 1.720

RULE 1.720. MEDIATION PROCEDURES.
(a) Interim or Emergency Relief. A party may apply to the court for

interim or emergency relief at any time. Mediation shall continue while such
a motion is pending absent a contrary order of the court, or a decision of the
mediator to adjourn pending disposition of the motion. Time for completing
mediation shall be tolled during any periods when mediation is interrupted
pending resolution of such a motion.

(b) Appearance at Mediation. A party is deemed to appear at a mediation
conference if the following persons are physically present or, if authorized
under rule 1.700(a), participating through the use of communication
technology:

(1) The party or a party representative having full authority to settle
without further consultation; and

(2) The partys counsel of record, if any; and
(3) A representative of the insurance carrier for any insured party who is

not such carriers outside counsel and who has full authority to settle in an
amount up to the amount of the plaintiffs last demand or policy limits,
whichever is less, without further consultation.
(c) Party Representative Having Full Authority to Settle. A party

representative having full authority to settle shall mean the final decision
maker with respect to all issues presented by the case who has the legal
capacity to execute a binding settlement agreement on behalf of the party.
Nothing herein shall be deemed to require any party or party representative
who appears at a mediation conference in compliance with this rule to enter
into a settlement agreement.

(d) Appearance by Public Entity. If a party to mediation is a public entity
required to operate in compliance with chapter 286, Florida Statutes, that
party is deemed to appear at a mediation conference by the presence of a
representative with full authority to negotiate on behalf of the entity and to
recommend settlement to the appropriate decision-making body of the entity.
Such representative may be physically present or, if authorized under rule



1.700(a), may participate through the use of communication technology.
(e) Certification of Authority. Unless otherwise stipulated by the parties,

each party, 10 days prior to appearing at a mediation conference, must file
with the court and serve all parties a written notice identifying the person or
persons who will appear at the mediation conference as a party representative
or as an insurance carrier representative, and confirming that those persons
have the authority required by subdivision (b).

(f) Sanctions for Failure to Appear. If a party fails to appear at a duly
noticed mediation conference without good cause, the court, upon motion,
shall impose sanctions, including award of mediation fees, attorneys fees,
and costs, against the party failing to appear. The failure to file a
confirmation of authority required under subdivision (e) above, or failure of
the persons actually identified in the confirmation to appear at the mediation
conference, shall create a rebuttable presumption of a failure to appear.

(g) Adjournments. The mediator may adjourn the mediation conference at
any time and may set times for reconvening the adjourned conference
notwithstanding rule 1.710(a). No further notification is required for parties
present at the adjourned conference.

(h) Counsel. The mediator shall at all times be in control of the mediation
and the procedures to be followed in the mediation. Counsel shall be
permitted to communicate privately with their clients. In the discretion of the
mediator and with the agreement of the parties, mediation may proceed in the
absence of counsel unless otherwise ordered by the court.

(i) Communication with Parties or Counsel. The mediator may meet and
consult privately with any party or parties or their counsel.

(j) Appointment of the Mediator.
(1) Within 10 days of the order of referral, the parties may agree upon a

stipulation with the court designating:
(A) a certified mediator, other than a senior judge presiding over civil

cases as a judge in that circuit; or
(B) a mediator, other than a senior judge, who is not certified as a

mediator but who, in the opinion of the parties and upon review by the
presiding judge, is otherwise qualified by training or experience to



mediate all or some of the issues in the particular case.
(2) If the parties cannot agree upon a mediator within 10 days of the

order of referral, the plaintiff or petitioner shall so notify the court within
10 days of the expiration of the period to agree on a mediator, and the
court shall appoint a certified mediator selected by rotation or by such
other procedures as may be adopted by administrative order of the chief
judge in the circuit in which the action is pending. At the request of either
party, the court shall appoint a certified circuit court mediator who is a
member of The Florida Bar.

(3) If a mediator agreed upon by the parties or appointed by a court
cannot serve, a substitute mediator can be agreed upon or appointed in the
same manner as the original mediator. A mediator shall not mediate a case
assigned to another mediator without the agreement of the parties or
approval of the court. A substitute mediator shall have the same
qualifications as the original mediator.
(k) Compensation of the Mediator. The mediator may be compensated or

uncompensated. When the mediator is compensated in whole or part by the
parties, the presiding judge may determine the reasonableness of the fees
charged by the mediator. In the absence of a written agreement providing for
the mediators compensation, the mediator shall be compensated at the hourly
rate set by the presiding judge in the referral order. Where appropriate, each
party shall pay a proportionate share of the total charges of the mediator.
Parties may object to the rate of the mediators compensation within 15 days
of the order of referral by serving an objection on all other parties and the
mediator.

COMMITTEE NOTES

2011 Amendment. Mediated settlement conferences pursuant to this rule
are meant to be conducted when the participants actually engaged in the
settlement negotiations have full authority to settle the case without further
consultation. New language in subdivision (c) now defines a party
representative with full authority to settle in two parts. First, the party
representative must be the final decision maker with respect to all issues
presented by the case in question. Second, the party representative must have
the legal capacity to execute a binding agreement on behalf of the settling



party. These are objective standards. Whether or not these standards have
been met can be determined without reference to any confidential mediation
communications. A decision by a party representative not to settle does not,
in and of itself, signify the absence of full authority to settle. A party may
delegate full authority to settle to more than one person, each of whom can
serve as the final decision maker. A party may also designate multiple
persons to serve together as the final decision maker, all of whom must
appear at mediation.

New subdivision (e) provides a process for parties to identify party
representative and representatives of insurance carriers who will be attending
the mediation conference on behalf of parties and insurance carriers and to
confirm their respective settlement authority by means of a direct
representation to the court. If necessary, any verification of this
representation would be upon motion by a party or inquiry by the court
without involvement of the mediator and would not require disclosure of
confidential mediation communications. Nothing in this rule shall be deemed
to impose any duty or obligation on the mediator selected by the parties or
appointed by the court to ensure compliance.

The concept of self determination in mediation also contemplates the
parties free choice in structuring and organizing their mediation sessions,
including those who are to participate. Accordingly, elements of this rule are
subject to revision or qualification with the mutual consent of the parties.



 Rule 1.730. 
Fla. R. Civ. P. 1.730

RULE 1.730. COMPLETION OF MEDIATION.
(a) No Agreement. If the parties do not reach an agreement as to any

matter as a result of mediation, the mediator shall report the lack of an
agreement to the court without comment or recommendation. With the
consent of the parties, the mediators report may also identify any pending
motions or outstanding legal issues, discovery process, or other action by any
party which, if resolved or completed, would facilitate the possibility of a
settlement.

(b) Agreement. If a partial or final agreement is reached, it must be
reduced to writing and signed by the parties and their counsel, if any.
Signatures may be original, electronic, or facsimile and may be in
counterparts. The agreement must be filed when required by law or with the
parties consent. A report of the agreement must be submitted to the court or
a stipulation of dismissal will be filed. By stipulation of the parties, the
agreement may be transcribed or electronically recorded. In such event, the
transcript may be filed with the court. The mediator must report the existence
of the signed or transcribed agreement to the court without comment within
10 days thereof. No partial or final agreement under this rule may be reported
to the court except as provided herein.

(c) Enforceability. The parties may not object to the enforceability of an
agreement on the ground that communication technology was used for
participation in the mediation conference if such use was authorized under
rule 1.700(a).

(d) Imposition of Sanctions. In the event of any breach or failure to
perform under the agreement, the court upon motion may impose sanctions,
including costs, attorneys fees, or other appropriate remedies including entry
of judgment on the agreement.

COMMITTEE NOTES

1996 Amendment. Subdivision (b) is amended to provide for partial
settlements, to clarify the procedure for concluding mediation by report or
stipulation of dismissal, and to specify the procedure for reporting mediated



agreements to the court. The reporting requirements are intended to ensure
the confidentiality provided for in section 44.102(3), Florida Statutes, and to
prevent premature notification to the court.



 Rule 1.750. 
Fla. R. Civ. P. 1.750

RULE 1.750. COUNTY COURT ACTIONS.
(a) Applicability. This rule applies to the mediation of county court

matters and issues only and controls over conflicting provisions in rules
1.700, 1.710, 1.720, and 1.730.

(b) Limitation on Referral to Mediation. When a mediation program
utilizing volunteer mediators is unavailable or otherwise inappropriate,
county court matters may be referred to a mediator or mediation program
which charges a fee. Such order of referral shall advise the parties that they
may object to mediation on grounds of financial hardship or on any ground
set forth in Rule 1.700(b). If a party objects, mediation shall not be conducted
until the court rules on the objection. The court may consider the amount in
controversy, the objecting partys ability to pay, and any other pertinent
information in determining the propriety of the referral. When appropriate,
the court shall apportion mediation fees between the parties.

(c) Scheduling. In small claims actions, the mediator shall be appointed
and the mediation conference held during or immediately after the pretrial
conference unless otherwise ordered by the court. In no event shall the
mediation conference be held more than 14 days after the pretrial conference.

(d) Appointment of the Mediator. In county court actions not subject to
the Florida Small Claims Rules, rule 1.720(f) shall apply unless the case is
sent to a mediation program provided at no cost to the parties.

(e) Appearance at Mediation. In small claims actions, an attorney may
appear on behalf of a party at mediation provided that the attorney has full
authority to settle without further consultation. Unless otherwise ordered by
the court, a nonlawyer representative may appear on behalf of a party to a
small claims mediation if the representative has the partys signed written
authority to appear and has full authority to settle without further
consultation. In either event, the party need not appear in person. In any other
county court action, a party will be deemed to appear if the persons set forth
in rule 1.720(b) are physically present or, if authorized under rule 1.700(a),
participating through the use of communication technology.

(f) Agreement. Any agreements reached as a result of small claims



mediation must be written in the form of a stipulation. The stipulation may be
entered as an order of the court. Signatures for the stipulation may be
original, electronic, or facsimile and may be in counterparts.



 Rule 1.800. 
Fla. R. Civ. P. 1.800

RULE 1.800. EXCLUSIONS FROM ARBITRATION.
A civil action shall be ordered to arbitration or arbitration in conjunction

with mediation upon stipulation of the parties. A civil action may be ordered
to arbitration or arbitration in conjunction with mediation upon motion of any
party or by the court, if the judge determines the action to be of such a nature
that arbitration could be of benefit to the litigants or the court. Under no
circumstances may the following categories of actions be referred to
arbitration:

(1) Bond estreatures.
(2) Habeas corpus or other extraordinary writs.
(3) Bond validations.
(4) Civil or criminal contempt.
(5) Such other matters as may be specified by order of the chief judge in

the circuit.

COMMITTEE NOTES

1994 Amendment. The Supreme Court Committee on Mediation and
Arbitration Rules encourages crafting a combination of dispute resolution
processes without creating an unreasonable barrier to the traditional court
system.



 Rule 1.810. 
Fla. R. Civ. P. 1.810

RULE 1.810. SELECTION AND COMPENSATION OF
ARBITRATORS.

(a) Selection. The chief judge of the circuit or a designee shall maintain a
list of qualified persons who have agreed to serve as arbitrators. Cases
assigned to arbitration shall be assigned to an arbitrator or to a panel of 3
arbitrators. The court shall determine the number of arbitrators and designate
them within 15 days after service of the order of referral in the absence of an
agreement by the parties. In the case of a panel, one of the arbitrators shall be
appointed as the chief arbitrator. Where there is only one arbitrator, that
person shall be the chief arbitrator.

(b) Compensation. The chief judge of each judicial circuit shall establish
the compensation of arbitrators subject to the limitations in section 44.103(3),
Florida Statutes.

COMMITTEE NOTES

2003 Amendment. The statutory reference in subdivision (b) is changed to
reflect changes in the statutory numbering.



 Rule 1.820. 
Fla. R. Civ. P. 1.820

RULE 1.820. HEARING PROCEDURES FOR NON-BINDING
ARBITRATION.

(a) Authority of the Chief Arbitrator. The chief arbitrator shall have
authority to commence and adjourn the arbitration hearing and carry out other
such duties as are prescribed by section 44.103, Florida Statutes. The chief
arbitrator shall not have authority to hold any person in contempt or to in any
way impose sanctions against any person.

(b) Conduct of the Arbitration Hearing.
(1) The chief judge of each judicial circuit shall set procedures for

determining the time and place of the arbitration hearing and may establish
other procedures for the expeditious and orderly operation of the
arbitration hearing to the extent such procedures are not in conflict with
any rules of court.

(2) Hearing procedures shall be included in the notice of arbitration
hearing sent to the parties and arbitration panel.

(3) Individual parties or authorized representatives of corporate parties
shall attend the arbitration hearing unless excused in advance by the chief
arbitrator for good cause shown.
(c) Rules of Evidence. The hearing shall be conducted informally.

Presentation of testimony shall be kept to a minimum, and matters shall be
presented to the arbitrator(s) primarily through the statements and arguments
of counsel.

(d) Orders. The chief arbitrator may issue instructions as are necessary for
the expeditious and orderly conduct of the hearing. The chief arbitrators
instructions are not appealable. Upon notice to all parties the chief arbitrator
may apply to the presiding judge for orders directing compliance with such
instructions. Instructions enforced by a court order are appealable as are other
orders of the court.

(e) Default of a Party. When a party fails to appear at a hearing, the chief
arbitrator may proceed with the hearing and the arbitration panel shall render
a decision based upon the facts and circumstances as presented by the parties



present.
(f) Record and Transcript. Any party may have a record and transcript

made of the arbitration hearing at that partys expense.
(g) Completion of the Arbitration Process.

(1) Arbitration shall be completed within 30 days of the first arbitration
hearing unless extended by order of the court on motion of the chief
arbitrator or of a party. No extension of time shall be for a period
exceeding 60 days from the date of the first arbitration hearing.

(2) Upon the completion of the arbitration process, the arbitrator(s) shall
render a decision. In the case of a panel, a decision shall be final upon a
majority vote of the panel.

(3) Within 10 days of the final adjournment of the arbitration hearing,
the arbitrator(s) shall notify the parties, in writing, of their decision. The
arbitration decision may set forth the issues in controversy and the
arbitrator(s)(s) conclusions and findings of fact and law. The arbitrator(
s)(s) decision and the originals of any transcripts shall be sealed and filed
with the clerk at the time the parties are notified of the decision.
(h) Time for Filing Motion for Trial. Any party may file a motion for

trial. If a motion for trial is filed by any party, any party having a third-party
claim at issue at the time of arbitration may file a motion for trial within 10
days of service of the first motion for trial. If a motion for trial is not made
within 20 days of service on the parties of the decision, the decision shall be
referred to the presiding judge, who shall enter such orders and judgments as
may be required to carry out the terms of the decision as provided by section
44.103(5), Florida Statutes.

COMMITTEE NOTES

1988 Adoption. Arbitration proceedings should be informal and
expeditious. The court should take into account the nature of the proceedings
when determining whether to award costs and attorneys fees after a trial de
novo. Counsel are free to file exceptions to an arbitration decision or award at
the time it is to be considered by the court. The court should consider such
exceptions when determining whether to award costs and attorneys fees. The
court should consider rule 1.442 concerning offers of judgment and section



45.061, Florida Statutes (1985), concerning offers of settlement, as
statements of public policy in deciding whether fees should be awarded.

1994 Amendment. The Supreme Court Committee on Mediation and
Arbitration Rules recommends that a copy of the local arbitration procedures
be disseminated to the local bar.

2003 Amendment. The statutory reference in subdivision (h) is changed to
reflect changes in the statutory numbering.

2007 Amendment. Subdivision (h) is amended to avoid the unintended
consequences for defendants with third-party claims who prevailed at
arbitration but could not pursue those claims in a circuit court action because
no motion for trial was filed despite a plaintiff or plaintiffs having filed a
motion for trial that covered those claims. See State Dept. of Transportation
v. BellSouth Telecommunications, Inc., 859 So. 2d 1278 (Fla. 4th DCA
2003).



 Rule 1.830. 
Fla. R. Civ. P. 1.830

RULE 1.830. VOLUNTARY BINDING ARBITRATION.
(a) Absence of Party Agreement.

(1) Compensation. In the absence of an agreement by the parties as to
compensation of the arbitrator(s), the court shall determine the amount of
compensation subject to the provisions of section 44.104(3), Florida
Statutes.

(2) Hearing Procedures. Subject to these rules and section 44.104,
Florida Statutes, the parties may, by written agreement before the hearing,
establish the hearing procedures for voluntary binding arbitration,
including the use of communication technology as that term is defined in
Florida Rule of General Practice and Judicial Administration 2.530. In the
absence of such agreement, the court shall establish the hearing
procedures.
(b) Record and Transcript. A record and transcript may be made of the

arbitration hearing if requested by any party or at the direction of the chief
arbitrator. The record and transcript may be used in subsequent legal
proceedings subject to the Florida Rules of Evidence.

(c) Arbitration Decision and Appeal.
(1) The arbitrator(s) shall serve the parties with notice of the decision

and file the decision with the court within 10 days of the final adjournment
of the arbitration hearing.

(2) A voluntary binding arbitration decision may be appealed within 30
days after service of the decision on the parties. Appeal is limited to the
grounds specified in section 44.104(10), Florida Statutes.

(3) If no appeal is filed within the time period set out in subdivision (2)
of this rule, the decision shall be referred to the presiding judge who shall
enter such orders and judgments as required to carry out the terms of the
decision as provided under section 44.104, Florida Statutes.



FORMS
 FORM 1.900. 

Fla. R. Civ. P. Form 1.900

FORM 1.900. FORMS.
(a) Process. The following forms of process, notice of lis pendens, and

notice of action are sufficient. Variations from the forms do not void process
or notices that are otherwise sufficient.

(b) Other Forms. The other forms are sufficient for the matters that are
covered by them. So long as the substance is expressed without prolixity, the
forms may be varied to meet the facts of a particular case.

(c) Formal Matters. Captions, except for the designation of the document,
are omitted from the forms. A general form of caption is the first form.
Signatures are omitted from pleadings and motions.



 FORM 1.901. 
Fla. R. Civ. P. Form 1.901

FORM 1.901. CAPTION.
(a) General Form.

(name of court)

(b) Petition.

(c) In rem proceedings.

(d) Forfeiture proceedings.

COMMITTEE NOTES

1980 Amendment. Subdivision (b) is added to show the form of caption



for a petition.
2010 Amendment. Subdivision (c) and (d) are added to show the form of

caption for in rem proceedings, including in rem forfeiture proceedings.



 FORM 1.902. 
Fla. R. Civ. P. Form 1.902

FORM 1.902. SUMMONS.
(a) General Form.

SUMMONS
THE STATE OF FLORIDA:
To Each Sheriff of the State:

YOU ARE COMMANDED to serve this summons and a copy
of the complaint or petition in this action on defendant
__________________

Each defendant is required to serve written defenses to the
complaint or petition on _________, plaintiffs attorney, whose
address is _________, within 20 days1after service of this
summons on that defendant, exclusive of the day of service, and
to file the original of the defenses with the clerk of this court
either before service on plaintiff s attorney or immediately
thereafter. If a defendant fails to do so, a default will be entered
against that defendant for the relief demanded in the complaint
or petition.

DATED on _________

(b) Form for Personal Service on Natural Person.
SUMMONS

THE STATE OF FLORIDA:
To Each Sheriff of the State:



YOU ARE COMMANDED to serve this summons and a copy
of the complaint in this lawsuit on defendant
__________________

DATED on __________________
(CLERK OF THE CIRCUIT COURT)

(SEAL)

IMPORTANT
A lawsuit has been filed against you. You have 20 calendar

days after this summons is served on you to file a written
response to the attached complaint with the clerk of this court. A
phone call will not protect you. Your written response, including
the case number given above and the names of the parties, must
be filed if you want the court to hear your side of the case. If you
do not file your response on time, you may lose the case, and
your wages, money, and property may thereafter be taken
without further warning from the court. There are other legal
requirements. You may want to call an attorney right away. If
you do not know an attorney, you may call an attorney referral
service or a legal aid office (listed in the phone book).

If you choose to file a written response yourself, at the same
time you file your written response to the court you must also
mail or take a copy of your written response to the
Plaintiff/Plaintiffs Attorney named below.

If you are a person with a disability who needs any
accommodation in order to participate in this proceeding, you are
entitled, at no cost to you, to the provision of certain assistance.



Please contact [identify applicable court personnel by name,
address, and telephone number] at least 7 days before your
scheduled court appearance, or immediately upon receiving this
notification if the time before the scheduled appearance is less
than 7 days; if you are hearing or voice impaired, call 711.

IMPORTANTE
Usted ha sido demandado legalmente. Tiene 20 das, contados

a partir del recibo de esta notificacin, para contestar la demanda
adjunta, por escrito, y presentarla ante este tribunal. Una llamada
telefnica no lo proteger. Si usted desea que el tribunal
considere su defensa, debe presentar su respuesta por escrito,
incluyendo el numero del caso y los nombres de las partes
interesadas. Si usted no contesta la demanda a tiempo, pudiese
perder el caso y podra ser despojado de sus ingresos y
propiedades, o privado de sus derechos, sin previo aviso del
tribunal. Existen otros requisitos legales. Si lo desea, puede usted
consultar a un abogado inmediatamente. Si no conoce a un
abogado, puede llamar a una de las oficinas de asistencia legal
que aparecen en la gua telefnica.

Si desea responder a la demanda por su cuenta, al mismo
tiempo en que presenta su respuesta ante el tribunal, debera usted
enviar por correo o entregar una copia de su respuesta a la
persona denominada abajo como Plaintiff/Plaintiffs Attorney
(Demandante o Abogado del Demandante).

Si usted es una persona minusvlida que necesita algn
acomodamiento para poder participar en este procedimiento,
usted tiene derecho, sin tener gastos propios, a que se le provea
cierta ayuda. Tenga la amabilidad de ponerse en contacto con
[identify applicable court personnel by name, address, and
telephone number], por lo menos 7 das antes de la cita fijada



para su comparecencia en los tribunales, o inmediatamente
despus de recibir esta notificacin si el tiempo antes de la
comparecencia que se ha programado es menos de 7 das; si
usted tiene discapacitacin del odo o de la voz, llame al 711.

IMPORTANT
Des poursuites judiciares ont ete entreprises contre vous. Vous

avez 20 jours consecutifs a partir de la date de lassignation de
cette citation pour deposer une reponse ecrite a la plainte ci-
jointe aupres de ce tribunal. Un simple coup de telephone est
insuffisant pour vous proteger. Vous etes obliges de deposer
votre reponse ecrite, avec mention du numero de dossier ci-
dessus et du nom des parties nommees ici, si vous souhaitez que
le tribunal entende votre cause. Si vous ne deposez pas votre
reponse ecrite dans le relai requis, vous risquez de perdre la
cause ainsi que votre salaire, votre argent, et vos biens peuvent
etre saisis par la suite, sans aucun preavis ulterieur du tribunal. Il
y a dautres obligations juridiques et vous pouvez requerir les
services immediats dun avocat. Si vous ne connaissez pas
davocat, vous pourriez telephoner a un service de reference
davocats ou a un bureau dassistance juridique (figurant a
lannuaire de telephones).

Si vous choisissez de deposer vous-meme une reponse ecrite,
il vous faudra egalement, en meme temps que cette formalite,
faire parvenir ou expedier une copie de votre reponse ecrite au
Plaintiff/Plaintiffs Attorney (Plaignant ou a son avocat)
nomme ci-dessous.

Si vous tes une personne handicape qui a besoin de mesures
dadaptation pour participer  cette procdure, vous avez droit,
sans frais pour vous,  une certaine assistance. Veuillez contacter
[identify applicable court personnel by name, address, and



telephone number]au moins 7 jours avant votre comparution
prvue au tribunal, ou immdiatement aprs avoir recu cette
notification si le dlai avant la comparution prvue est infrieur 
7 jours; si vous tes malentendant ou avez un trouble de la
parole, appelez le 711.

Enptan
Pwosedi legal yo te pran kont ou. Ou gen 20 jou konsekitif ki

soti nan dat konklizyon sa a pou ou ranpli yon repons alekri pou
plent sa a nan tribinal sa a. Yon apel telefon ki senp se pa ase
pou pwoteje ou. Ou oblije ranpli repons alekri ou a, ak nimewo a
dosye pi wo a ak non pati yo ki te nonmen isit la, si ou vle
tribinal la tande ka w la. Si ou pa ranpli repons alekri ou nan rele
egzije a, ou riske pedi koz la ak sale ou, lajan ou, ak pwopriyete
ou yo ka mete men sou pita, san okenn lot avi nan tribinal la.
Gen lot obligasyon legal epi ou ka mande sevis imedya yon
avoka. Si ou pa konnen yon avoka, ou ka rele yon svis referans
avoka oswa yon biwo ed legal (ki nan lis nan anye telefon).

Si ou chwazi pou ou soumet yon repons alekri tet ou, ou pral
bezwen tou voye oswa voye yon kopi repons ekri ou nan fm sa
a an menm tan an tankou fomalite sa a Avoka Pleyan/Pwokire
a (Pleyan oswa avoka li) non anba a.

Si ou se yon moun ki enfim ki bezwen akomodasyon pou w
kab patisipe nan pwosedi sa a, ou gen dwa, san ou pa bezwen
peye okenn lajan, pou w jwenn yon sten d. Tanpri kontakte
[identify applicable court personnel by name], f Kdonatris
pwogram Lwa Ameriken pou Moun ki Enfim yo nan [identify
court personnels address and telephone number], f sa omwen
7 jou anvan dat ou gen randevou pou part nan Tribinal la, oswa
f sa imedyatman apre ou fin resevwa konvokasyon an si dat ou
gen pou w part nan tribinal la mwens pase 7 jou; si ou gen



pwoblm pou w tande byen oswa pou w pale kl, rele 711.
_____________________
Plaintiff/Plaintiffs Attorney
______________________
______________________
Address
Florida Bar No. _________

(c) Forms for Service by Mail.
(1) Notice of Lawsuit and Request for Waiver of Service of Process

NOTICE OF COMMENCEMENT OF ACTION
TO: (Name of defendant or defendants representative)
A lawsuit has been commenced against you (or the entity on

whose behalf you are addressed). A copy of the complaint is
attached to this notice. The complaint has been filed in the
(Circuit or County) Court for the _________ and has been
assigned case no.: _________

This is not a formal summons or notification from the court,
but is rather my request that you sign the enclosed waiver of
service of process form in order to save the cost of serving you
with a judicial summons and an additional copy of the
complaint. The cost of service will be avoided if I receive a
signed copy of the waiver within 20 days (30 days if you do not
reside in the United States) after the date you receive this notice
and request for waiver. I have enclosed a stamped self-addressed
envelope for your use. An extra copy of the notice and request,
including the waiver, is also attached for your records.

If you comply with this request and return the signed waiver,



it will be filed with the court and no summons will be served on
you. The lawsuit will then proceed as if you had been served on
the date the waiver is filed, except that you will not be obligated
to respond to the complaint until 60 days after the date on which
you received the notice and request for waiver.

If I do not receive the signed waiver within 20 days from the
date you received the notice and the waiver of service of process
form, formal service of process may be initiated in a manner
authorized by the Florida Rules of Civil Procedure. You (or the
party on whose behalf you are addressed) will be required to pay
the full cost of such service unless good cause is shown for the
failure to return the waiver of service.

I hereby certify that this notice of lawsuit and request for
waiver of service of process has been sent to you on behalf of the
plaintiff on ....(date)....

(2) Waiver of Service of Process.
WAIVER OF SERVICE OF PROCESS

TO: (Name of plaintiffs attorney or unrepresented plaintiff)
I acknowledge receipt of your request that I waive service of

process in the lawsuit of _________ v. _________ in the
_________ Court in _________ I have also received a copy of
the complaint, two copies of this waiver, and a means by which I
can return the signed waiver to you without cost to me.

I agree to save the cost of service of process and an additional
copy of the complaint in this lawsuit by not requiring that I (or
the entity on whose behalf I am acting) be served with judicial
process in the manner provided by Fla. R. Civ. P. 1.070.



If I am not the defendant to whom the notice of lawsuit and
waiver of service of process was sent, I declare that my
relationship to the entity or person to whom the notice was sent
and my authority to accept service on behalf of such person or
entity is as follows:

(describe relationship to person or entity and authority to
accept service)

I (or the entity on whose behalf I am acting) will retain all
defenses or objections to the lawsuit or to the jurisdiction or
venue of the court except for any objections based on a defect in
the summons or in the service of the summons.

I understand that a judgment may be entered against me (or
the party on whose behalf I am acting) if a written response is
not served upon you within 60 days from the date I received the
notice of lawsuit and request for waiver of service of process.

DATED on _________

COMMITTEE NOTES

1988 Amendment. Two forms are now provided: 1 for personal service on
natural persons and 1 for other service by summons. The new form for
personal service on natural persons is included to ensure awareness by
defendants or respondents of their obligations to respond.

The summons form for personal service on natural persons is to be used for
service on natural persons under the following provisions: sections 48.031
(service of process generally), 48.041 (service on minors), 48.042 (service on
incompetents), 48.051 (service on state prisoners), 48.183 (service of process
in action for possession of residential premises), and 48.194 (personal service
outside the state), Florida Statutes.

The former, general summons form is to be used for all other service by



summons, including service under sections 48.061 (service on partnership),
48.071 (service on agents of nonresidents doing business in the state), 48.081
(service on corporation), 48.101 (service on dissolved corporations), 48.111
(service on public agencies or officers), 48.121 (service on the state), 48.131
(service on alien property custodian), 48.141 (service on labor unions),
48.151 (service on statutory agents for certain purposes), Florida Statutes,
and all statutes providing for substituted service on the secretary of state.

The form for personal service on natural persons contains Spanish and
French versions of the English text to ensure effective notice on all
Floridians. In the event of space problems in the summons form, the
committee recommends that the non-English portions be placed on the
reverse side of the summons.

1992 Amendment. (b): The title is amended to eliminate confusion by the
sheriffs in effecting service.

1996 Amendment. Form 1.902(c) was added for use with rule 1.070(i).
2007 Amendment. Subdivision (a) is amended to conform form 1.902 to

the statutory requirements of sections 48.111, 48.121, and 768.28, Florida
Statutes. The form is similar to Federal Rule of Civil Procedure Form 1.



 FORM 1.903. 
Fla. R. Civ. P. Form 1.903

FORM 1.903. CROSSCLAIM SUMMONS.
CROSSCLAIM SUMMONS

THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to serve this summons and a copy

of the crossclaim in this action on defendant
__________________

Each crossclaim defendant is required to serve written
defenses to the crossclaim on _________, defendants attorney,
whose address is _________, and on _________, plaintiffs
attorney, whose address is _________, within 20 days after
service of this summons on that defendant, exclusive of the day
of service, and to file the original of the defenses with the clerk
of this court either before service on the attorneys or
immediately thereafter. If a crossclaim defendant fails to do so, a
default will be entered against that defendant for the relief
demanded in the crossclaim.

DATED on _________



 FORM 1.904. 
Fla. R. Civ. P. Form 1.904

FORM 1.904. THIRD-PARTY SUMMONS.
THIRD-PARTY SUMMONS

THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to serve this summons and a copy

of the third-party complaint or petition in this action on third-
party defendant, _________

Each third-party defendant is required to serve written
defenses to the third-party complaint or petition on _________,
plaintiffs attorney, whose address is _________, and
on_________, defendants attorney, whose address is
_________, within 20 days after service of this summons on that
defendant, exclusive of the date of service, and to file the
original of the defenses with the clerk of this court either before
service on the attorneys or immediately thereafter. If a third-
party defendant fails to do so, a default will be entered against
that defendant for the relief demanded in the third-party
complaint or petition.

DATED on _________



 FORM 1.905. 
Fla. R. Civ. P. Form 1.905

FORM 1.905. ATTACHMENT.
WRIT OF ATTACHMENT

THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to attach and take into custody so

much of the lands, tenements, goods, and chattels of defendant,
_________, as is sufficient to satisfy the sum of $_________ and
costs.

ORDERED at _________, Florida, on ____(date)____

COMMITTEE NOTES

1980 Amendment. The direction is modernized and the combination with
the summons deleted. A writ of attachment must now be issued by a judge
under section 76.03, Florida Statutes (1979).



 FORM 1.906. 
Fla. R. Civ. P. Form 1.906

FORM 1.906. ATTACHMENT  FORECLOSURE.
WRIT OF ATTACHMENT

THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to take and hold the following

described property:
(describe property)

or so much of it as can be found sufficient to satisfy the debt to be foreclosed.
ORDERED at _____________________, Florida, on

_________ (date) _________

COMMITTEE NOTES

1980 Amendment. The direction is modernized and the combination with
the summons deleted. A writ of attachment must now be issued by a judge
under section 76.03, Florida Statutes (1979).



 FORM 1.907. 
Fla. R. Civ. P. Form 1.907

FORM 1.907. GARNISHMENT.
(a) Writ of Garnishment.

WRIT OF GARNISHMENT
THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to summon the garnishee,

_________, to serve an answer to this writ on _________,
plaintiffs attorney, whose address is _________, within 20 days
after service on the garnishee, exclusive of the day of service,
and to file the original with the clerk of this court either before
service on the attorney or immediately thereafter, stating whether
the garnishee is indebted to defendant, _________, at the time of
the answer or was indebted at the time of service of the writ, or
at any time between such times, and in what sum and what
tangible and intangible personal property of the defendant the
garnishee is in possession or control of at the time of the answer
or had at the time of service of this writ, or at any time between
such times, and whether the garnishee knows of any other person
indebted to the defendant or who may be in possession or control
of any of the property of the defendant. The amount set in
plaintiffs motion is $ _________

DATED on _________

(b) Continuing Writ of Garnishment against Salary or Wages.
CONTINUING WRIT OF GARNISHMENT



AGAINST SALARY OR WAGES
THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to summon the garnishee,

_________, whose address is _________, who is required to
serve an answer to this writ on _________, plaintiffs attorney,
whose address is _________, within 20 days after service of this
writ, exclusive of the day of service, and to file the original with
the clerk of court either before service on the attorney or
immediately thereafter. The answer shall state whether the
garnishee is the employer of the defendant _________ and
whether the garnishee is indebted to the defendant by reason of
salary or wages. The garnishees answer shall specify the periods
of payment (for example, weekly, biweekly, or monthly) and
amount of salary or wages and be based on the defendants
earnings for the pay period during which this writ is served on
the garnishee.

During each pay period, a portion of the defendants salary or
wages as it becomes due shall be held and not disposed of or
transferred until further order of this court. The amount of salary
or wages to be withheld for each pay period shall be made in
accordance with the following paragraph. This writ shall
continue until the plaintiffs judgment is paid in full or until
otherwise provided by court order.

Federal law (15 U.S.C.  1671-1673) limits the amount to be
withheld from salary or wages to no more than 25% of any
individual defendants disposable earnings (the part of earnings
remaining after the deduction of any amounts required by law to
be deducted) for any pay period or to no more than the amount
by which the individuals disposable earnings for the pay period



exceed 30 times the federal minimum hourly wage, whichever is
less.

For administrative costs, the garnishee may collect $
_________ against the salary or wages of the defendant for the
first deduction and $ _________ for each deduction thereafter.

The total amount of the final judgment outstanding as set out
in the plaintiffs motion is $ _________

FAILURE TO FILE AN ANSWER WITHIN THE TIME
REQUIRED MAY RESULT IN THE ENTRY OF JUDGMENT
AGAINST THE GARNISHEE FOR THE ABOVE TOTAL
AMOUNT OF $ _________.

ORDERED at _________, Florida, on _________ (date)
_________

COMMITTEE NOTES

1992 Amendment. This form is to be used to effectuate section 77.0305,
Florida Statutes.

1996 Amendment. The following was adopted as a committee note, with
no changes to the text of the forms: Both forms 1.907(a) and (b) are for use
after judgment has been entered against a defendant. If a plaintiff seeks a writ
of garnishment before judgment is entered, notice to the defendant of the
right to an immediate hearing under sections 73.031 and 77.07, Florida
Statutes, must be included in the writ and served on the defendant.



 FORM 1.908. 
Fla. R. Civ. P. Form 1.908

FORM 1.908. WRIT OF REPLEVIN.
WRIT OF REPLEVIN

THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to replevy the goods and chattels

in possession of the defendant, _________, described as follows:
(describe property)

and to dispose of it according to law.
DATED on _________

COMMITTEE NOTES

1980 Amendment. The form is amended in accordance with the statutory
changes as a result of Fuentes v. Shevin, 407 U.S. 67, 92 S. Ct. 1983, 32 L.
Ed. 2d 556 (1972). The sheriff is commanded to dispose of the property
according to law because of the conflict between sections 78.068(4) and
78.13, Florida Statutes (1979). The former apparently contemplates that the
sheriff will hold the property for 5 days within which the bond can be posted,
while the latter retains the old 3-day time period.

1996 Amendment. This amendment only changes the name of the form.



 FORM 1.909. 
Fla. R. Civ. P. Form 1.909

FORM 1.909. DISTRESS.
DISTRESS WRIT

THE STATE OF FLORIDA:
To the Sheriff of _________ County, Florida:
YOU ARE COMMANDED to serve this writ and a copy of

the complaint on defendant _________.
This distress writ subjects all property liable to distress for

rent on the following property in _________ County, Florida:
(describe property)

Each defendant is enjoined from damaging, disposing of,
secreting, or removing any property liable to be distrained from
the rented real property after the time of service of this writ until
the sheriff levies on the property or this writ is vacated or the
court otherwise orders. If a defendant does not move for
dissolution of the writ, the court may order the sheriff to levy on
the property liable to distress forthwith after 20 days from the
time the complaint in this action is served. The amount claimed
in the complaint is the sum of $ _________ with interest and
costs.

DATED on _________

COMMITTEE NOTES

1980 Amendment. This form is substantially revised to comply with the
statutory changes in section 83.12, Florida Statutes, as amended in 1980 to
overcome the unconstitutionality of distress proceedings. See Phillips v. Guin



& Hunt, Inc., 344 So. 2d 568 (Fla. 1977). Because the revision is substantial,
no struck-through or underscored type is indicated.



 FORM 1.910. 
Fla. R. Civ. P. Form 1.910

FORM 1.910. SUBPOENA FOR TRIAL.
(a) For Issuance by Clerk.

SUBPOENA
THE STATE OF FLORIDA:
TO _________:
YOU ARE COMMANDED to appear before the Honorable

_________, Judge of the Court, at the _________ County
Courthouse in _________, Florida, on _________, at
_________(a.m/p.m.), to testify in this action. If you fail to
appear, you may be in contempt of court.

You are subpoenaed to appear by the following attorney, and
unless excused from this subpoena by this attorney or the court,
you must respond to this subpoena as directed.

DATED on _________.

Any minor subpoenaed for testimony has the right to be accompanied by a
parent or guardian at all times during the taking of testimony notwithstanding
the invocation of the rule of sequestration of, except on a showing that the
presence of a parent or guardian is likely to have a material, negative impact
on the credibility or accuracy of the minors testimony, or that the interests of
the parent or guardian are in actual or potential conflict with the interests of
the minor.



If you are a person with a disability who needs any accommodation in
order to participate in this proceeding, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [identify applicable
court personnel by name, address, and telephone number] at least 7 days
before your scheduled court appearance, or immediately upon receiving
this notification if the time before the scheduled appearance is less than 7
days; if you are hearing or voice impaired, call 711.

(b) For Issuance by Attorney of Record.
SUBPOENA

THE STATE OF FLORIDA:
TO __________________:
YOU ARE COMMANDED to appear before the Honorable

_________, Judge of the Court, at the _________ County
Courthouse in _________, Florida, on ____ (date) ____, at
_________(a.m./p.m.), to testify in this action. If you fail to
appear, you may be in contempt of court.

You are subpoenaed to appear by the following attorney, and
unless excused from this subpoena by this attorney or the court,
you must respond to this subpoena as directed.

Any minor subpoenaed for testimony has the right to be accompanied by a
parent or guardian at all times during the taking of testimony notwithstanding
the invocation of the rule of sequestration of, except on a showing that the
presence of a parent or guardian is likely to have a material, negative impact
on the credibility or accuracy of the minors testimony, or that the interests of
the parent or guardian are in actual or potential conflict with the interests of
the minor.



If you are a person with a disability who needs any accommodation in
order to participate in this proceeding, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [identify applicable
court personnel by name, address, and telephone number] at least 7 days
before your scheduled court appearance, or immediately upon receiving
this notification if the time before the scheduled appearance is less than 7
days; if you are hearing or voice impaired, call 711.

COMMITTEE NOTES

1996 Amendment. Form (b) was added to comply with amendments to
rule 1.410.

2013 Amendment. The notice to persons with disabilities was amended to
comply with amendments to Fla. R. Jud. Admin. 2.540.



 FORM 1.911. 
Fla. R. Civ. P. Form 1.911

FORM 1.911. SUBPOENA DUCES TECUM FOR TRIAL.
(a) For Issuance by Clerk

SUBPOENA DUCES TECUM
THE STATE OF FLORIDA:
TO _____________________:
YOU ARE COMMANDED to appear before the Honorable

_________, Judge of the Court, at the _________ County
Courthouse in _________, Florida, on ____ (date) ____, at
_________(a.m./p.m.), to testify in this action and to have with
you at that time and place the following: _________. If you fail
to appear, you may be in contempt of court.

You are subpoenaed to appear by the following attorney, and
unless excused from this subpoena by this attorney or the court,
you must respond to this subpoena as directed.

DATED on _________.

Any minor subpoenaed for testimony has the right to be accompanied by a
parent or guardian at all times during the taking of testimony notwithstanding
the invocation of the rule of sequestration of, except on a showing that the
presence of a parent or guardian is likely to have a material, negative impact
on the credibility or accuracy of the minors testimony, or that the interests of
the parent or guardian are in actual or potential conflict with the interests of



the minor.
If you are a person with a disability who needs any accommodation in

order to participate in this proceeding, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [identify applicable
court personnel by name, address, and telephone number] at least 7 days
before your scheduled court appearance, or immediately upon receiving
this notification if the time before the scheduled appearance is less than 7
days; if you are hearing or voice impaired, call 711.

(b) For Issuance by Attorney of Record.
SUBPOENA DUCES TECUM

THE STATE OF FLORIDA:
TO _____________________:
YOU ARE COMMANDED to appear before the Honorable

_________, Judge of the Court, at the _________ County
Courthouse in _________, Florida, on ____ (date) ____, at
_________(a.m./p.m.), to testify in this action and to have with
you at that time and place the following: _________. If you fail
to appear, you may be in contempt of court.

You are subpoenaed to appear by the following attorney, and
unless excused from this subpoena by this attorney or the court,
you must respond to this subpoena as directed.

DATED on _________.

Any minor subpoenaed for testimony has the right to be accompanied by a
parent or guardian at all times during the taking of testimony notwithstanding



the invocation of the rule of sequestration of, except on a showing that the
presence of a parent or guardian is likely to have a material, negative impact
on the credibility or accuracy of the minors testimony, or that the interests of
the parent or guardian are in actual or potential conflict with the interests of
the minor.

If you are a person with a disability who needs any accommodation in
order to participate in this proceeding, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [identify applicable
court personnel by name, address, and telephone number] at least 7 days
before your scheduled court appearance, or immediately upon receiving
this notification if the time before the scheduled appearance is less than 7
days; if you are hearing or voice impaired, call 711.

COMMITTEE NOTES

1996 Amendment. Form (b) was added to comply with amendments to
rule 1.410.

2013 Amendment. The notice to persons with disabilities was amended to
comply with amendments to Fla. R. Jud. Admin. 2.540.



 FORM 1.912. 
Fla. R. Civ. P. Form 1.912

FORM 1.912. SUBPOENA FOR DEPOSITION.
(a) For Issuance by Clerk.

SUBPOENA FOR DEPOSITION
THE STATE OF FLORIDA:
TO _____________________:
YOU ARE COMMANDED to appear before a person

authorized by law to take depositions at _________ in
_________, Florida, on __________________ (date)
__________________, at _________(a.m./p.m.), for the taking
of your deposition in this action. If you fail to appear, you may
be in contempt of court.

You are subpoenaed to appear by the following attorney, and
unless excused from this subpoena by this attorney or the court,
you must respond to this subpoena as directed.

DATED on _________.

Any minor subpoenaed for testimony has the right to be accompanied by a
parent or guardian at all times during the taking of testimony notwithstanding
the invocation of the rule of sequestration of, except on a showing that the
presence of a parent or guardian is likely to have a material, negative impact
on the credibility or accuracy of the minors testimony, or that the interests of
the parent or guardian are in actual or potential conflict with the interests of



the minor.
If you are a person with a disability who needs any accommodation in

order to participate in this deposition, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [identify attorney or
party taking the deposition by name, address, and telephone number] at
least 7 days before your scheduled deposition, or immediately upon
receiving this notification if the time before the scheduled appearance is
less than 7 days; if you are hearing or voice impaired, call 711.

(b) For Issuance by Attorney of Record.
SUBPOENA FOR DEPOSITION

THE STATE OF FLORIDA:
TO _____________________:
YOU ARE COMMANDED to appear before a person

authorized by law to take depositions at _________ in
_________, Florida, on ____ (date) ____, at
_________(a.m./p.m.), for the taking of your deposition in this
action. If you fail to appear, you may be in contempt of court.

You are subpoenaed to appear by the following attorney, and
unless excused from this subpoena by this attorney or the court,
you must respond to this subpoena as directed.

DATED on _____________________.

Any minor subpoenaed for testimony has the right to be accompanied by a
parent or guardian at all times during the taking of testimony notwithstanding
the invocation of the rule of sequestration of, except on a showing that the
presence of a parent or guardian is likely to have a material, negative impact



on the credibility or accuracy of the minors testimony, or that the interests of
the parent or guardian are in actual or potential conflict with the interests of
the minor.

If you are a person with a disability who needs any accommodation in
order to participate in this deposition, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [identify attorney or
party taking the deposition by name, address, and telephone number] at
least 7 days before your scheduled deposition, or immediately upon
receiving this notification if the time before the scheduled appearance is
less than 7 days; if you are hearing or voice impaired, call 711.

COMMITTEE NOTES

1996 Amendment. Form (b) was added to comply with amendments to
rule 1.410.

2013 Amendment. The notice to persons with disabilities was amended to
make the procedure for obtaining accommodation consistent with the
procedure required in court proceedings.



 FORM 1.913. 
Fla. R. Civ. P. Form 1.913

FORM 1.913. SUBPOENA DUCES TECUM FOR DEPOSITION.
(a) For Issuance by Clerk.

SUBPOENA DUCES TECUM FOR DEPOSITION
THE STATE OF FLORIDA:
TO __________________:
YOU ARE COMMANDED to appear before a person

authorized by law to take depositions at _________ in
_________, Florida, on ___________ (date) ___________, at
_________(a.m./p.m.), for the taking of your deposition in this
action and to have with you at that time and place the following:
_________. If you fail to appear, you may be in contempt of
court.

You are subpoenaed to appear by the following attorney, and
unless excused from this subpoena by this attorney or the court,
you must respond to this subpoena as directed.

DATED on _________.

Any minor subpoenaed for testimony has the right to be accompanied by a
parent or guardian at all times during the taking of testimony notwithstanding
the invocation of the rule of sequestration of, except on a showing that the
presence of a parent or guardian is likely to have a material, negative impact
on the credibility or accuracy of the minors testimony, or that the interests of



the parent or guardian are in actual or potential conflict with the interests of
the minor.

If you are a person with a disability who needs any accommodation in
order to participate in this deposition you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [identify attorney or
party taking the deposition by name, address, and telephone number] at
least 7 days before your scheduled deposition, or immediately upon
receiving this notification if the time before the scheduled deposition is
less than 7 days; if you are hearing or voice impaired, call 711.

(b) For Issuance by Attorney of Record.
SUBPOENA DUCES TECUM FOR DEPOSITION

THE STATE OF FLORIDA:
TO __________________:
YOU ARE COMMANDED to appear before a person

authorized by law to take depositions at _________ in
_________, Florida, on ___________ (date) ___________, at
_________(a.m./p.m.), for the taking of your deposition in this
action and to have with you at that time and place the following:
_________. If you fail to appear, you may be in contempt of
court.

You are subpoenaed to appear by the following attorney, and
unless excused from this subpoena by this attorney or the court,
you must respond to this subpoena as directed.

DATED on _________.



Any minor subpoenaed for testimony has the right to be accompanied by a
parent or guardian at all times during the taking of testimony notwithstanding
the invocation of the rule of sequestration of, except on a showing that the
presence of a parent or guardian is likely to have a material, negative impact
on the credibility or accuracy of the minors testimony, or that the interests of
the parent or guardian are in actual or potential conflict with the interests of
the minor.

If you are a person with a disability who needs any accommodation in
order to participate in this deposition, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [identify attorney or
party taking the deposition by name, address, and telephone number] at
least 7 days before your scheduled deposition, or immediately upon
receiving this notification if the time before the scheduled appearance is
less than 7 days; if you are hearing or voice impaired, call 711.

COMMITTEE NOTES

1996 Amendment. Form (b) was added to comply with amendments to
rule 1.410.

2013 Amendment. The notice to persons with disabilities was amended to
make the procedure for obtaining accommodation consistent with the
procedure required in court proceedings.



 FORM 1.914(A). 
Fla. R. Civ. P. Form 1.914(a)

FORM 1.914(A). EXECUTION.
EXECUTION

THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to levy on the property subject to

execution of _________ in the sum of $ _________ with interest
at _________% a year from _________ (date) _________, until
paid and to have this writ before the court when satisfied.

DATED on _________

COMMITTEE NOTES

1980 Amendment. The description of the property to be levied on has
been made general so it encompasses all property subject to execution under
section 56.061, Florida Statutes (1979).



 FORM 1.914(B). 
Fla. R. Civ. P. Form 1.914(b)

FORM 1.914(B). NOTICE TO APPEAR.
NOTICE TO APPEAR

TO ....(name of third party)....
YOU ARE NOTIFIED that, pursuant to section 56.29, Florida

Statutes proceedings supplementary to satisfy a judgment by
application of the following:.....(identify the property, debt, or
other obligation due to the judgment debtor)..... in .....County,
Florida have been initiated against you by....(name of judgment
creditor).... You are required to serve an affidavit ....date....
stating that the [property] [debt] [other obligation] belongs to
you. The affidavit must include any fact or legal defense
opposing the application of the [property] [debt] [other
obligation] toward the satisfaction of the judgment on ....(name
of the judgment creditor, or its attorney, and his/her/its
address)....You must file the original affidavit with the clerk of
this court either before service on the judgment creditor or
immediately thereafter. Legal defenses need not be filed under
oath but must be served contemporaneously with the affidavit.

If any of your property has been levied on and you choose to
oppose the application of the property to be applied toward the
satisfaction of the judgment, then you must furnish a bond with
surety to be approved by the officer in favor of the judgment
creditor. The amount of the bond must be double the value of the
goods claimed as the value is fixed by the officer and
conditioned to deliver said property on demand of said officer if
it is adjudged to be the property of the judgment debtor and to
pay the judgment creditor all damages found against you if it
appears that the claim was interposed for the purpose of delay.



YOU HAVE A RIGHT TO A TRIAL BY JURY TO
DETERMINE THE RIGHT TO THE [PROPERTY, DEBT
OR OTHER OBLIGATION DUE TO THE JUDGMENT
DEBTOR]. YOU ARE ENTITLED TO DISCOVERY
UNDER THE FLORIDA RULES OF CIVIL PROCEDURE.
IF THE COURT OR JURY DETERMINES THAT THE
[PROPERTY] [DEBT] [OTHER OBLIGATION]
BELONGS TO THE JUDGMENT DEBTOR AND IS
SUBJECT TO APPLICATION TOWARD THE
SATISFACTION OF ITS JUDGMENT, THEN YOU MAY
BE ORDERED TO ....(PAY DAMAGES TO THE
JUDGMENT CREDITOR OR SURRENDER THE
PROPERTY OR OTHER OBLIGATION DUE TO THE
JUDGMENT DEBTOR TO THE JUDGMENT
CREDITOR)....

ORDERED at ...., Florida, on .... (date) ....



 FORM 1.914(C). 
Fla. R. Civ. P. Form 1.914(c)

FORM 1.914(C). AFFIDAVIT OF CLAIMANT IN RESPONSE TO
NOTICE TO APPEAR.

AFFIDAVIT OF CLAIMANT IN RESPONSE TO NOTICE TO APPEAR
BEFORE ME, the undersigned authority, appeared....(name of

claimant or claimants agent)...., who, after being first duly
sworn, deposes and states, under penalty of perjury:
1. I am the ....(claimant, or identify relationship to claimant)....
2. I (or claimant) was served with a Notice to Appear on....(date)....
3. I (or claimant) own(s) and ams entitled to possession of....(describe the

property, debt, or other obligation due to the judgment debtor identified in the
Notice to Appear)....

4. This property should not be applied to satisfy the judgment because....
(state all reasons why the property, debt, or other obligation due to the
judgment debtor identified in the Notice to Appear should not be applied to
satisfy the judgment)....

5. (Select a or b)
a. I (or claimant) request(s) a trial by jury on all issues so triable.
b. I (or claimant) request(s) a non-jury trial on all issues.

FURTHER AFFIANT SAYETH NAUGHT.
Dated: ____________________
_____________________________
Signature of Affiant
Printed Name: _____________________
STATE OF _____________________
COUNTY OF _____________________



Sworn to or affirmed and signed before me on this
___________ day of ___________, 20 ___________ by (name
of affiant) ___________, who is personally known to me or who
has produced ___________, as identification and who did take
an oath.

_____________________________
NOTARY PUBLIC, STATE OF
....(Print, Type or Stamp Commissioned Name of Notary

Public) ....
COMMITTEE NOTES

1980 Amendment. The description of the property to be levied on has to
be made general so it encompasses all property subject to execution under
section 56.061, Florida Statutes (1979).

2018 Adoption. Form 1.914(c) is used by a claimant to respond to a
Notice to Appear under section 56.29(2), Florida Statutes. Legal defenses
need not be filed under oath, but must be served contemporaneously with the
affidavit. If the claimants property has already been levied upon, he or she
may obtain possession of the property by filing with the officer having the
execution a copy of this affidavit and by furnishing the officer a bond with
surety, as set forth in section 56.16, Florida Statutes.



 FORM 1.915. 
Fla. R. Civ. P. Form 1.915

FORM 1.915. WRIT OF POSSESSION.
WRIT OF POSSESSION

THE STATE OF FLORIDA:
To the Sheriff of _________ County, Florida:
YOU ARE COMMANDED to remove all persons from the

following described property in _________ County, Florida:
(describe property)

and to put _________ in possession of it.
DATED on _________

COMMITTEE NOTES

1973 Amendment. The form is changed to make the direction conform to
the statutory requirement in section 48.011, Florida Statutes.

1980 Amendment. The direction on this form is changed to the sheriff of
the county where the property is located, and the conclusion is modernized.



 FORM 1.916. 
Fla. R. Civ. P. Form 1.916

FORM 1.916. REPLEVIN ORDER TO SHOW CAUSE.
ORDER TO SHOW CAUSE

THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to serve this order on defendant,

_________, by personal service as provided by law, if possible,
or, if you are unable to personally serve defendant within the
time specified, by placing a copy of this order with a copy of the
summons on the claimed property located at _________, Florida,
at least 5 days before the hearing scheduled below, excluding the
day of service and intermediate Saturdays, Sundays, and legal
holidays. Nonpersonal service as provided in this order shall be
effective to afford notice to defendant of this order, but for no
other purpose.

Defendant shall show cause before the Honorable _________,
on _________ (date) _________, at _________m. in the
_________ County Courthouse in _________, Florida, why the
property claimed by plaintiff in the complaint filed in this action
should not be taken from the possession of defendant and
delivered to plaintiff.

Defendant may file affidavits, appear personally or with an
attorney and present testimony at the time of the hearing, or, on a
finding by the court pursuant to section 78.067(2), Florida
Statutes (1979), that plaintiff is entitled to possession of the
property described in the complaint pending final adjudication of
the claims of the parties, file with the court a written undertaking
executed by a surety approved by the court in an amount equal to



the value of the property to stay an order authorizing the delivery
of the property to plaintiff.

If defendant fails to appear as ordered, defendant shall be
deemed to have waived the right to a hearing. The court may
thereupon order the clerk to issue a writ of replevin.

ORDERED at _________, Florida, on _________ (date)
_________

COMMITTEE NOTES

1980 Adoption. Former form 1.916 is repealed because of the
consolidation of writs of assistance with writs of possession. The new form is
the replevin order to show cause prescribed by section 78.065, Florida
Statutes (1979).

1996 Amendment. This form is amended to provide for service at least 5
days before the show cause hearing, rather than by a specified date.



 FORM 1.917. 
Fla. R. Civ. P. Form 1.917

FORM 1.917. NE EXEAT.
WRIT OF NE EXEAT

THE STATE OF FLORIDA:
To Each Sheriff of the State:
YOU ARE COMMANDED to detain the defendant,

_________, and to require the defendant to give bond in the sum
of $ _________ payable to the Governor of Florida and the
Governors successors in office conditioned that the defendant
will answer plaintiffs pleading in this action and will not depart
from the state without leave of court and will comply with the
lawful orders of this court, with sureties to be approved by the
clerk of this court. If the defendant does not give the bond, the
defendant shall be taken into custody and be confined in the
_________ County jail until the defendant gives the bond or
until further order of this court. If the defendant does not give the
bond, the defendant shall be brought before a judge of this court
within 24 hours of confinement.

DATED on _________

COMMITTEE NOTES

1976 Amendment. See 1976 Op. Atty Gen. Fla. 076-13 (Jan. 23, 1976).



 FORM 1.918. 
Fla. R. Civ. P. Form 1.918

FORM 1.918. LIS PENDENS.
NOTICE OF LIS PENDENS

TO DEFENDANT(S) _________, AND ALL OTHERS WHOM IT MAY
CONCERN:

YOU ARE NOTIFIED OF THE FOLLOWING:
(a) The plaintiff has instituted this action against you seeking (to

foreclose a mortgage or to partition or to quiet title or other type of
action) with respect to the property described below;

(b) The plaintiff(s) in this action is/are:
(1) __________________
(2) __________________

(c) The date of the institution of this action is __________________
OR: the date on the clerks electronic receipt for the actions filing is
__________________
OR: the case number of the action is as shown in the caption.
OR: the case number of the action is as shown in the caption.

(d) The property that is the subject matter of this action is in
__________________ County, Florida, and is described as follows:

(legal description of property)
DATED ON _________.

NOTE: This form is not to be recorded without the clerks case number.



COMMITTEE NOTES

2009 Amendment. This form was substantially rewritten due to the
amendments to section 48.23, Florida Statutes (2009). Section 48.23 provides
that the notice must contain the names of all of the parties, the name of the
court in which the action is instituted, a description of the property involved
or affected, a description of the relief sought as to the property, and one of the
following: the date of the institution of the action, the date of the clerks
electronic receipt, or the case number. If the case number is used to satisfy
the requirements of section 48.23, it should be inserted in the case caption of
the notice.



 FORM 1.919. 
Fla. R. Civ. P. Form 1.919

FORM 1.919. NOTICE OF ACTION; CONSTRUCTIVE SERVICE 
NO PROPERTY.

NOTICE OF ACTION
TO _____________________:
YOU ARE NOTIFIED that an action for (construction of a will or re-
establishment of a lost deed or other type of action) has been filed against
you and you are required to serve a copy of your written defenses, if any, to it
on _________, the plaintiffs attorney, whose address is _________, on or
before _________ (date) _________, and file the original with the clerk of
this court either before service on the plaintiffs attorney or immediately
thereafter; otherwise a default will be entered against you for the relief
demanded in the complaint or petition.

DATED on _________

NOTE: This form must be modified to name the other defendants when
there are multiple defendants and all are not served under the same notice.
See section 49.08(1), Florida Statutes (1979).



 FORM 1.920. 
Fla. R. Civ. P. Form 1.920

FORM 1.920. NOTICE OF ACTION; CONSTRUCTIVE SERVICE 
PROPERTY.

NOTICE OF ACTION
TO _____________________:
YOU ARE NOTIFIED that an action to (enforce a lien on

or foreclose a mortgage on or quiet title to or partition or
other type of action) the following property in _________
County, Florida:

(describe property)
has been filed against you and you are required to serve a copy of your
written defenses, if any, to it on _________, the plaintiffs attorney, whose
address is _________, on or before _________ (date) _________, and file the
original with the clerk of this court either before service on the plaintiffs
attorney or immediately thereafter; otherwise a default will be entered against
you for the relief demanded in the complaint or petition.

DATED on _________

NOTE: This form must be modified to name the other defendants when
there are multiple defendants and all are not served under the same notice.
See section 49.08(1), Florida Statutes (1979).



 FORM 1.921. 
Fla. R. Civ. P. Form 1.921

FORM 1.921. NOTICE OF PRODUCTION FROM NONPARTY.
NOTICE OF PRODUCTION

To ____________________:
YOU ARE NOTIFIED that after 10 days from the date of service of this

notice, if service is by delivery, or 15 days from the date of service, if service
is by mail, and if no objection is received from any party, the undersigned
will issue or apply to the clerk of this court for issuance of the attached
subpoena directed to ____, who is not a party and whose address is ____, to
produce the items listed at the time and place specified in the subpoena.

DATED on _______

NOTE: This form of notice is for use with rule 1.351. A copy of the
subpoena must be attached to this form for it to comply with the rule.

COMMITTEE NOTES

1980 Adoption. This form is new.
1996 Amendment. This form was amended to comply with amendments

to rules 1.351 and 1.410.



 FORM 1.922. 
Fla. R. Civ. P. Form 1.922

FORM 1.922. SUBPOENA DUCES TECUM WITHOUT DEPOSITION.
(a) When Witness Has Option to Furnish Records Instead of

Attending Deposition; Issuance by Clerk.
SUBPOENA DUCES TECUM

THE STATE OF FLORIDA:
TO _____________________:
YOU ARE COMMANDED to appear at _________ in

_________, Florida, on ___________ (date) ___________, at
_________(a.m./p.m.), and to have with you at that time and
place the following: _________.

These items will be inspected and may be copied at that time.
You will not be required to surrender the original items. You
may comply with this subpoena by providing legible copies of
the items to be produced to the attorney whose name appears on
this subpoena on or before the scheduled date of production. You
may condition the preparation of the copies upon the payment in
advance of the reasonable cost of preparation. You may mail or
deliver the copies to the attorney whose name appears on this
subpoena and thereby eliminate your appearance at the time and
place specified above. You have the right to object to the
production pursuant to this subpoena at any time before
production by giving written notice to the attorney whose name
appears on this subpoena. THIS WILL NOT BE A
DEPOSITION. NO TESTIMONY WILL BE TAKEN.

If you fail to:
(1) appear as specified; or



(2) furnish the records instead of appearing as provided above; or
(3) object to this subpoena,

you may be in contempt of court. You are subpoenaed to appear by the
following attorney, and unless excused from this subpoena by this attorney or
the court, you must respond to this subpoena as directed.

DATED on _________.

If you are a person with a disability who needs any accommodation in
order to participate in this proceeding, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [applicable court
personnel taking the deposition by name, address, and telephone
number] at least 7 days before your scheduled court appearance, or
immediately upon receiving this notification if the time before the
scheduled court appearance is less than 7 days; if you are hearing or
voice impaired, call 711.

(b) When Witness Must Appear and Produce the Records; Issuance by
Clerk.

SUBPOENA DUCES TECUM
THE STATE OF FLORIDA:
TO: _____________________:
YOU ARE COMMANDED to appear at _________ in

_________, Florida, on _________ (date) _________, at
_________(a.m./p.m.), and to have with you at that time and
place the following: _________.



These items will be inspected and may be copied at that time.
You will not be required to surrender the original items. You
have the right to object to the production pursuant to this
subpoena at any time before production by giving written notice
to the attorney whose name appears on this subpoena. THIS
WILL NOT BE A DEPOSITION. NO TESTIMONY WILL BE
TAKEN.

If you fail to:
(1) appear or furnish the records at the time and place specified instead of

appearing; or
(2) object to this subpoena,

you may be in contempt of court. You are subpoenaed by the attorney whose
name appears on this subpoena, and unless excused from this subpoena by
the attorney or the court, you must respond to this subpoena as directed.

DATED on _________.

If you are a person with a disability who needs any accommodation in
order to participate in this proceeding, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [applicable court
personnel taking the deposition by name, address, and telephone
number] at least 7 days before your scheduled court appearance, or
immediately upon receiving this notification if the time before the
scheduled court appearance is less than 7 days; if you are hearing or
voice impaired, call 711.

(c) When Witness Has Option to Furnish Records Instead of
Attending Deposition; Issuance by Attorney of Record.



SUBPOENA DUCES TECUM
THE STATE OF FLORIDA:
TO _____________________:
YOU ARE COMMANDED to appear at _________ in

_________, Florida, on _________ (date) _________, at
_________(a.m./p.m.), and to have with you at that time and
place the following: _________.

These items will be inspected and may be copied at that time.
You will not be required to surrender the original items. You
may comply with this subpoena by providing legible copies of
the items to be produced to the attorney whose name appears on
this subpoena on or before the scheduled date of production. You
may condition the preparation of the copies upon the payment in
advance of the reasonable cost of preparation. You may mail or
deliver the copies to the attorney whose name appears on this
subpoena and thereby eliminate your appearance at the time and
place specified above. You have the right to object to the
production pursuant to this subpoena at any time before
production by giving written notice to the attorney whose name
appears on this subpoena. THIS WILL NOT BE A
DEPOSITION. NO TESTIMONY WILL BE TAKEN.

If you fail to:
(1) appear as specified; or
(2) furnish the records instead of appearing as provided above; or
(3) object to this subpoena,

you may be in contempt of court. You are subpoenaed to appear by the
following attorney, and unless excused from this subpoena by this attorney or
the court, you must respond to this subpoena as directed.

DATED on _________.



If you are a person with a disability who needs any accommodation in
order to participate in this proceeding, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [applicable court
personnel taking the deposition by name, address, and telephone
number] at least 7 days before your scheduled court appearance, or
immediately upon receiving this notification if the time before the
scheduled court appearance is less than 7 days; if you are hearing or
voice impaired, call 711.

(d) When Witness Must Appear and Produce the Records; Issuance by
Attorney of Record.

THE STATE OF FLORIDA:
TO _____________________:
YOU ARE COMMANDED to appear at _________ in

_________, Florida, on _________ (date) _________, at
_________(a.m./p.m.), and to have with you at that time and
place the following: _________.

These items will be inspected and may be copied at that time.
You will not be required to surrender the original items. You
have the right to object to the production pursuant to this
subpoena at any time before production by giving written notice
to the attorney whose name appears on this subpoena. THIS
WILL NOT BE A DEPOSITION. NO TESTIMONY WILL BE
TAKEN.

If you fail to:



(1) appear or furnish the records at the time and place specified instead of
appearing; or

(2) object to this subpoena,
you may be in contempt of court. You are subpoenaed by the attorney whose
name appears on this subpoena, and unless excused from this subpoena by
the attorney or the court, you must respond to this subpoena as directed.

DATED on _________.

If you are a person with a disability who needs any accommodation in
order to participate in this proceeding, you are entitled, at no cost to you,
to the provision of certain assistance. Please contact [applicable court
personnel taking the deposition by name, address, and telephone
number] at least 7 days before your scheduled court appearance, or
immediately upon receiving this notification if the time before the
scheduled court appearance is less than 7 days; if you are hearing or
voice impaired, call 711.

NOTE: These forms are to be used for production of documents under rule
1.351. Form (a) is used when the person having the records may furnish
copies to the attorney requesting the subpoena instead of appearing at the
time and place specified in the subpoena and the subpoena is to be issued by
the clerk. Form (b) is used when the records must be produced at the time and
place specified in the subpoena and the subpoena is to be issued by the clerk.
Form (c) is used when the person having the records may furnish copies to
the attorney requesting the subpoena instead of appearing at the time and
place specified in the subpoena and the subpoena is to be issued by an
attorney of record. Form (d) is used when the records must be produced at the
time and place specified in the subpoena and the subpoena is to be issued by
an attorney of record.



COMMITTEE NOTES

1980 Adoption. This form is new.
1996 Amendment. Forms (a) and (b) were amended and forms (c) and (d)

were added to comply with amendments to rules 1.351 and 1.410.
2013 Amendment. The notice to persons with disabilities was amended to

make the procedure for obtaining accommodation consistent with the
procedure required in court proceedings.



 FORM 1.923. 
Fla. R. Civ. P. Form 1.923

FORM 1.923. EVICTION SUMMONS/RESIDENTIAL.
EVICTION SUMMONS/RESIDENTIAL

TO: ____________________
Defendant(s)
_____________________
_____________________

PLEASE READ CAREFULLY
You are being sued by _________ to require you to move out

of the place where you are living for the reasons given in the
attached complaint.

You are entitled to a trial to determine whether you can be
required to move, but you MUST do ALL of the things listed
below. You must do them within 5 days (not including Saturday,
Sunday, or any legal holiday) after the date these papers were
given to you or to a person who lives with you or were posted at
your home.

THE THINGS YOU MUST DO ARE AS FOLLOWS:
(1) Write down the reason(s) why you think you should not be forced to

move. The written reason(s) must be given to the clerk of the court at
_________ County Courthouse

_____________________
____________________, Florida

(2) Mail or give a copy of your written reason(s) to:
______________________



Plaintiff/Plaintiffs Attorney
______________________
______________________
Address

(3) Pay to the clerk of the court the amount of rent that the attached
complaint claims to be due and any rent that becomes due until the lawsuit is
over. If you believe that the amount claimed in the complaint is incorrect, you
should file with the clerk of the court a motion to have the court determine
the amount to be paid. If you file a motion, you must attach to the motion any
documents supporting your position and mail or give a copy of the motion to
the plaintiff/plaintiffs attorney.

(4) If you file a motion to have the court determine the amount of rent to
be paid to the clerk of the court, you must immediately contact the office of
the judge to whom the case is assigned to schedule a hearing to decide what
amount should be paid to the clerk of the court while the lawsuit is pending.
_____________________________

IF YOU DO NOT DO ALL OF THE THINGS SPECIFIED
ABOVE WITHIN 5 WORKING DAYS AFTER THE DATE
THAT THESE PAPERS WERE GIVEN TO YOU OR TO A
PERSON WHO LIVES WITH YOU OR WERE POSTED AT
YOUR HOME, YOU MAY BE EVICTED WITHOUT A
HEARING OR FURTHER NOTICE

_____________________________
(5) If the attached complaint also contains a claim for money damages

(such as unpaid rent), you must respond to that claim separately. You must
write down the reasons why you believe that you do not owe the money
claimed. The written reasons must be given to the clerk of the court at the
address specified in paragraph (1) above, and you must mail or give a copy of
your written reasons to the plaintiff/plaintiffs attorney at the address
specified in paragraph (2) above. This must be done within 20 days after the
date these papers were given to you or to a person who lives with you. This



obligation is separate from the requirement of answering the claim for
eviction within 5 working days after these papers were given to you or to a
person who lives with you or were posted at your home.

If you are a person with a disability who needs any
accommodation in order to participate in this proceeding, you are
entitled, at no cost to you, to the provision of certain assistance.
Please contact [identify applicable court personnel by name,
address, and telephone number] at least 7 days before your
scheduled court appearance, or immediately upon receiving this
notification if the time before the scheduled appearance is less
than 7 days; if you are hearing or voice impaired, call 711.

THE STATE OF FLORIDA:
To Each Sheriff of the State: YOU ARE COMMANDED to

serve this summons and a copy of the complaint in this lawsuit
on the above-named defendant.

DATED on _________

NOTIFICACION DE DESALOJO/RESIDENCIAL
A: _________
Demandado(s)
__________________
__________________

SIRVASE LEER CON CUIDADO
Usted esta siendo demandado por _________ para exigirle que

desaloje el lugar donde reside por los motivos que se expresan en
la demanda adjunta.



Usted tiene derecho a ser sometido a juicio para determinar si
se le puede exigir que se mude, pero ES NECESARIO que haga
TODO lo que se le pide a continuacion en un plazo de 5 dias (no
incluidos los sabados, domingos, ni dias feriados) a partir de la
fecha en que estos documentos se le entregaron a usted o a una
persona que vive con usted, o se colocaron en su casa.

USTED DEBERA HACER LO SIGUIENTE:
(1) Escribir el (los) motivo(s) por el (los) cual(es) cree que no se le debe

obligar a mudarse. El (Los) motivo(s) debera(n) entregarse por escrito al
secretario del tribunal en el _________ County Courthouse

______________________
____________________, FLORIDA

(2) Enviar por correo o darle su(s) motivo(s) por escrito a:
___________________________
Demandante/Abogrado del Demandante
_____________________
_____________________

(3) Pagarle al secretario del tribunal el monto del alquiler que la demanda
adjunta reclama como adeudado, asi como cualquier alquiler pagadero hasta
que concluya el litigio. Si usted considera que el monto reclamado en la
demanda es incorrecto, deber presentarle al secretario del tribunal una
mocin para que el tribunal determine el monto que deba pagarse. Si usted
presenta una mocin, debera adjuntarle a esta cualesquiera documentos que
respalden su posicin, y enviar por correo o entregar una copia de la misma al
demandante/abogado del demandante.

(4) Si usted presenta una mocin para que el tribunal determine el monto
del alquiler que deba pagarse al secretario del tribunal, debera comunicarse
de inmediato con la oficina del juez al que se le haya asignado el caso para
que programe una audiencia con el fin de determinar el monto que deba



pagarse al secretario del tribunal mientras el litigio est pendiente.
_____________________________

SI USTED NO LLEVA A CABO LAS ACCIONES QUE SE
ESPECIFICAN ANTERIORMENTE EN UN PLAZO DE 5
DIAS LABORABLES A PARTIR DE LA FECHA EN QUE
ESTOS DOCUMENTOS SE LE ENTREGARON A USTED O
A UNA PERSONA QUE VIVE CON USTED, O SE
COLOQUEN EN SU CASA, SE LE PODRA DESALOJAR SIN
NECESIDAD DE CELEBRAR UNA AUDIENCIA NI
CURSARSELE OTRO AVISO

_____________________________
(5) Si la demanda adjunta tambin incluye una reclamacin por daos y

perjuicios pecunarios (tales como el incumplimiento de pago del alquiler),
usted deber responder a dicha reclamacin por separado. Deber exponer
por escrito los motivos por los cuales considera que usted no debe la suma
reclamada, y entregarlos al secretario del tribunal en la direccin que se
especifica en el parrafo (1) anterior, asi como enviar por correo o entregar
una copia de los mismos al demandante/abogado del demandante en la
direccin que se especifica en el parrafo (2) anterior. Esto deber llevarse a
cabo en un plazo de 20 dias a partir de la fecha en que estos documentos se le
entregaron a usted o a una persona que vive con usted. Esta obligacin es
aparte del requisito de responder a la demanda de desalojo en un plazo de 5
dias a partir de la fecha en que estos documentos se le entregaron a usted o a
una persona que vive con usted, o se coloquen en su casa.

Si usted es una persona minusvlida que necesita algn
acomodamiento para poder participar en este procedimiento,
usted tiene derecho, sin tener gastos propios, a que se le provea
cierta ayuda. Tenga la amabilidad de ponerse en contacto con
[identify applicable court personnel by name, address, and
telephone number], por lo menos 7 dias antes de la cita fijada
para su comparecencia en los tribunales, o inmediatamente
despus de recibir esta notificacin si el tiempo antes de la



comparecencia que se ha programado es menos de 7 dias; si
usted tiene discapacitacin del odo o de la voz, llame al 711.

CITATION DEVICTION/RESIDENTIELLE
A: ____________________
Defendeur(s)
_____________________
_____________________

LISEZ ATTENTIVEMENT
Vous etes poursuivi par _________ pour exiger que vous

evacuez les lieux de votre residence pour les raisons enumerees
dans la plainte ci-dessous.

Vous avez droit a un proces pour determiner si vous devez
deme-nager, mais vous devez, au prealable, suivre les
instructions enumerees ci-dessous, pendant les 5 jours (non
compris le samedi, le dimanche, ou un jour ferie) a partir de la
date ou ces documents ont ete donnes a vous ou a la personne
vivant avec vous, ou ont ete affiches a votre residence.

LISTE DES INSTRUCTIONS A SUIVRE:
(1) Enumerer par ecrit les raisons pour lesquelles vous pensez ne pas avoir

a demenager. Elles doivent etre remises au clerc du tribunal a _________
County Courthouse

_____________________
__________________, Florida

(2) Envoyer ou donner une copie au:
___________________________
Plaignnant/Avocat du Plaignant



______________________
______________________

(3) Payer au clerc du tribunal le montant des loyers dus comme etabli dans
la plainte et le montant des loyers dus jusqua la fin du proces. Si vous pensez
que le montant etabli dans la plainte est incorrect, vous devez presenter au
clerc du tribunal une demande en justice pour determiner la somme a payer.
Pour cela vous devez attacher a la demande tous les documents soutenant
votre position et faire parvenir une copie de la demande au plaignant/avocat
du plaignant.

(4) Si vous faites une demande en justice pour determiner la somme a
payer au clerc du tribunal, vous devrez immediatement prevenir le bureau de
juge qui presidera au proces pour fixer la date de laudience qui decidera
quelle somme doit etre payee au clerc du tribunal pendant que le proces est en
cours.
_____________________________

SI VOUS NE SUIVEZ PAS CES INSTRUCTIONS A LA
LETTRE DANS LES 5 JOURS QUE SUIVENT LA DATE OU
CES DOCUMENTS ONT ETE REMIS A VOUS OU A LA
PERSONNE HABITANT AVEC VOUS, OU ONT ETE
AFFICHES A VOTRE RESIDENCE, VOUS POUVEZ ETRE
EXPULSES SANS AUDIENCE OU SANS AVIS
PREALABLE

_____________________________
(5) Si la plainte ci-dessus contient une demande pour dommages

pecuniaires, tels des loyers arrieres, vous devez y repondre separement. Vous
devez enumerer par ecrit les raisons pour lesquelles vous estimez ne pas
devoir le montant demande. Ces raisons ecrites doivent etre donnees au clerc
du tribunal a ladresse specifiee dans le paragraphe (1) et une copie de ces
raisons donnee ou envoyee au plaignant/avocat du plaignant a ladresse
specifiee dans le paragraphe (2). Cela doit etre fait dans les 20 jours suivant
la date ou ces documents ont ete presentes a vous ou a la personne habitant
avec vous. Cette obligation ne fait pas partie des instructions a suivre en



reponse au proces deviction dans les 5 jours suivant la date ou ces
documents ont ete presentes a vous ou a la personne habitant avec vous, ou
affiches a votre residence.

Si ou se yon moun ki enfim ki bezwen akomodasyon pou w kab patisipe
nan pwosedi sa a, ou gen dwa, san ou pa bezwen peye okenn lajan, pou w
jwenn yon sten d. Tanpri kontakte [identify applicable court personnel by
name], Kdonatris pwogram Lwa Ameriken pou Moun ki Enfim yo nan
[identify court personnels address and telephone number], f sa omwen 7
jou anvan dat ou gen randevou pou part nan Tribinal la, oswa f sa
imedyatman apre ou fin resevwa konvokasyon an si dat ou gen pou w part
nan tribinal la mwens pase 7 jou; si ou gen pwoblm pou w tande byen oswa
pou w pale kl, rele 711.

COMMITTEE NOTES

1988 Adoption. This form was added to inform those sought to be evicted
of the procedure they must follow to resist eviction.

1996 Amendment. This is a substantial revision of form 1.923 to comply
with the requirements of section 83.60, Florida Statutes, as amended in 1993.



 FORM 1.924. 
Fla. R. Civ. P. Form 1.924

FORM 1.924. AFFIDAVIT OF DILIGENT SEARCH AND INQUIRY.






 FORM 1.932. 
Fla. R. Civ. P. Form 1.932

FORM 1.932. OPEN ACCOUNT.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. Defendant owes plaintiff $ _________ that is due with interest since

_________ (date) _________, according to the attached account.
WHEREFORE plaintiff demands judgment for damages

against defendant.
NOTE: A copy of the account showing items, time of accrual of each, and

amount of each must be attached.



 FORM 1.933. 
Fla. R. Civ. P. Form 1.933

FORM 1.933. ACCOUNT STATED.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. Before the institution of this action plaintiff and defendant had business

transactions between them and on _________ (date) _________, they agreed
to the resulting balance.

3. Plaintiff rendered a statement of it to defendant, a copy being attached,
and defendant did not object to the statement.

4. Defendant owes plaintiff $ _________ that is due with interest since
_________ (date) _________, on the account.

WHEREFORE plaintiff demands judgment for damages
against defendant.

NOTE: A copy of the account showing items, time of accrual
of each, and amount of each must be attached.



 FORM 1.934. 
Fla. R. Civ. P. Form 1.934

FORM 1.934. PROMISSORY NOTE.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. On _________ (date) _________, defendant executed and delivered a

promissory note, a copy being attached, to plaintiff in _________ County,
Florida.

3. Plaintiff owns and holds the note.
4. Defendant failed to pay (use a or b)
a. the note when due.
b. the installment payment due on the note on ____(date)____ and plaintiff

elected to accelerate payment of the balance.
5. Defendant owes plaintiff $ _________ that is due with interest since

_________(date)_________, on the note.
6. Plaintiff is obligated to pay his/her attorneys a reasonable fee for their

services.
WHEREFORE plaintiff demands judgment for damages

against defendant.
NOTE: A copy of the note must be attached. Use paragraph

4a. or b. as applicable and paragraph 6 if appropriate.
COMMITTEE NOTES

1980 Amendment. Paragraph 3 is added to show ownership of the note,
and paragraph 4 is clarified to show that either 4a or 4b is used, but not both.



 FORM 1.935. 
Fla. R. Civ. P. Form 1.935

FORM 1.935. GOODS SOLD.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. Defendant owes plaintiff $ _________ that is due with interest since

_________ (date) _________, for the following goods sold and delivered by
plaintiff to defendant between _________ (date) _________, and _________
(date) _________:

(list goods and prices)
WHEREFORE plaintiff demands judgment for damages

against defendant.



 FORM 1.936. 
Fla. R. Civ. P. Form 1.936

FORM 1.936. MONEY LENT.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. Defendant owes plaintiff $ _________ that is due with interest since

_________ (date) _________, for money lent by plaintiff to defendant on
_________ (date) _________

WHEREFORE plaintiff demands judgment for damages
against defendant.



 FORM 1.937. 
Fla. R. Civ. P. Form 1.937

FORM 1.937. REPLEVIN.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action to recover possession of personal property in

_________ County, Florida.
2. The description of the property is:

(list property)
To the best of plaintiffs knowledge, information, and belief,

the value of the property is $ _________
3. Plaintiff is entitled to the possession of the property under a security

agreement dated _________, a copy of the agreement being attached.
4. To plaintiffs best knowledge, information, and belief, the property is

located at _________
5. The property is wrongfully detained by defendant. Defendant came into

possession of the property by (method of possession). To plaintiffs best
knowledge, information, and belief, defendant detains the property because
(give reasons).

6. The property has not been taken for any tax, assessment, or fine
pursuant to law.

7. The property has not been taken under an execution or attachment
against plaintiffs property.

WHEREFORE plaintiff demands judgment for possession of
the property.

NOTE: Paragraph 3 must be modified if the right to
possession arose in another manner. Allegations and a demand
for damages, if appropriate, can be added to the form.



COMMITTEE NOTES

1980 Amendment. The form is amended to comply with the amendments
to the replevin statutes pursuant to Fuentes v. Shevin, 407 U.S. 67, 92 S. Ct.
1983, 32 L. Ed. 2d 556 (1972).



 FORM 1.938. 
Fla. R. Civ. P. Form 1.938

FORM 1.938. FORCIBLE ENTRY AND DETENTION.
COMPLAINT

Plaintiff, A.B., sues defendant, C.D., and alleges:
1. This is an action to recover possession of real property unlawfully

(forcibly) detained in _________ County, Florida.
2. Plaintiff is entitled to possession of the following real property in said

county:
(insert description of property)

3. Defendant has unlawfully (forcibly) turned plaintiff out of and withholds
possession of the property from plaintiff.

WHEREFORE plaintiff demands judgment for possession of
the property and damages against defendant.

NOTE: Substitute forcibly for unlawfully or add it as an
alternative when applicable. This form cannot be used for
residential tenancies.



 FORM 1.939. 
Fla. R. Civ. P. Form 1.939

FORM 1.939. CONVERSION.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. On or about _________ (date) _________, defendant converted to

his/her own use (insert description of property converted) that was then the
property of plaintiff of the value of $ _________

WHEREFORE plaintiff demands judgment for damages
against defendant.



 FORM 1.940. 
Fla. R. Civ. P. Form 1.940

FORM 1.940. EJECTMENT.
COMPLAINT

Plaintiff, A.B., sues defendant, C.D., and alleges:
1. This is an action to recover possession of real property in _________

County, Florida.
2. Defendant is in possession of the following real property in the county:

(describe property)
to which plaintiff claims title as shown by the attached statement of plaintiffs
chain of title.

3. Defendant refuses to deliver possession of the property to plaintiff or
pay plaintiff the profits from it.

WHEREFORE plaintiff demands judgment for possession of
the property and damages against defendant.

NOTE: A statement of plaintiffs chain of title must be
attached.

COMMITTEE NOTES

1980 Amendment. The words possession of are inserted in paragraph 1
for clarification.



 FORM 1.941. 
Fla. R. Civ. P. Form 1.941

FORM 1.941. SPECIFIC PERFORMANCE.
COMPLAINT

Plaintiff, A. B., sued defendant, C. D., and alleges:
1. This is an action for specific performance of a contract to convey real

property in _________ County, Florida.
2. On _________ (date) _________, plaintiff and defendant entered into a

written contract, a copy being attached.
3. Plaintiff tendered the purchase price to defendant and requested a

conveyance of the real property described in the contract.
4. Defendant refused to accept the tender or to make the conveyance.
5. Plaintiff offers to pay the purchase price.

WHEREFORE plaintiff demands judgment that defendant be
required to perform the contract for damages.

NOTE: A copy of the sales contract must be attached.
COMMITTEE NOTES

1980 Amendment. Paragraph 3 is divided into 2 paragraphs to properly
accord with rule 1.110(f).



 FORM 1.942. 
Fla. R. Civ. P. Form 1.942

FORM 1.942. CHECK.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. On _________ (date) _________, defendant executed a written order for

the payment of $ _________, commonly called a check, a copy being
attached, payable to the order of plaintiff and delivered it to plaintiff.

3. The check was presented for payment to the drawee bank but payment
was refused.

4. Plaintiff holds the check and it has not been paid.
5. Defendant owes plaintiff $ _________ that is due with interest from

_________ (date) _________, on the check.
WHEREFORE plaintiff demands judgment for damages

against defendant.
NOTE: A copy of the check must be attached. Allegations

about endorsements are omitted from this form and must be
added when proper.

COMMITTEE NOTES

1980 Amendment. Paragraph 4 is divided into 2 paragraphs to properly
accord with rule 1.110(f).



 FORM 1.944(A). 
Fla. R. Civ. P. Form 1.944(a)

FORM 1.944(A). MORTGAGE FORECLOSURE.
(When location of original note known)

COMPLAINT
Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action to foreclose a mortgage on real property in _________

County, Florida.
2. On   (date)   , defendant executed and delivered a promissory note and a

mortgage securing payment of the note to _________ (plaintiff or plaintiffs
predecessor) _________. The mortgage was recorded on   (date)   , in Official
Records Book _________ at page _________ of the public records of
_________ County, Florida, and mortgaged the property described in the
mortgage then owned by and in possession of the mortgagor, a copy of the
mortgage and the note being attached.

3. (Select a, b, c, or d)
(a) Plaintiff is the holder of the original note secured by the mortgage.
(b) Plaintiff is a person entitled to enforce the note under applicable law

because   (allege specific facts)   .
(c) Plaintiff has been delegated the authority to institute a mortgage

foreclosure action on behalf of _________ (name of holder) _________, the
holder of the original note. The document(s) that grant(s) plaintiff the
authority to act on behalf of the holder of the original note is/are as follows
_____________________.

(d) Plaintiff has been delegated the authority to institute a mortgage
foreclosure action on behalf of _________ (name of non-holder)_________,
who is not the holder but is entitled to enforce the note under section
673.3011(2), Florida Statutes, because _________ (allege specific
facts)_________. The document(s) that grant(s) plaintiff the authority to act
on behalf of the person entitled to enforce the note is/are as follows
_____________________.



4. The property is now owned by defendant who holds possession.
5. Defendant has defaulted under the note and mortgage by failing to pay

the payment due   (date)    and all subsequent payments   (allege other
defaults as applicable)   .

6. Plaintiff declares the full amount payable under the note and mortgage
to be due.

7. Defendant owes plaintiff $ _________ that is due on principal on the
note and mortgage, interest from   (date)   , and title search expense for
ascertaining necessary parties to this action.

8. Plaintiff is obligated to pay plaintiffs attorneys a reasonable fee for their
services. Plaintiff is entitled to recover its attorneys fees under   (allege
statutory and/or contractual bases, as applicable)   .

WHEREFORE, plaintiff demands judgment foreclosing the
mortgage, for costs (and, when applicable, for attorneys fees),
and, if the proceeds of the sale are insufficient to pay plaintiffs
claim, a deficiency judgment.
NOTE: An action for foreclosure of a mortgage on residential real

property must contain an oath, affirmation, or the following statement as
required by rule 1.115(e).

VERIFICATION
Under penalty of perjury, I declare that I have read the foregoing, and the

facts alleged therein are true and correct to the best of my knowledge and
belief.
________________________

CERTIFICATION OF POSSESSION OF ORIGINAL NOTE
The undersigned hereby certifies:

1. That plaintiff is in possession of the original promissory note upon



which this action is brought.
2. The location of the original promissory note is:   (location)   .
3. The name and title of the person giving the certification is:   (name and

title)   .
4. The name of the person who personally verified such possession is:

  (name)   .
5. The time and date on which possession was verified were:   (time and

date)   .
6. Correct copies of the note (and, if applicable, all endorsements,

transfers, allonges, or assignments of the note) are attached to this
certification.

7. I give this statement based on my personal knowledge.
Under penalties of perjury, I declare that I have read the

foregoing Certification of Possession of Original Note and that
the facts stated in it are true.

NOTE: This form is for installment payments with
acceleration. It omits allegations about junior encumbrances,
unpaid taxes, unpaid insurance premiums, other nonmonetary
defaults, and for a receiver. They must be added when
appropriate. A copy of the note and mortgage must be attached.
This form may require modification. This form is designed to
incorporate the pleading requirements of section 702.015,
Florida Statutes (2013) and rule 1.115. It is also designed to
conform to section 673.3011, Florida Statutes (2013), except that
part of section 673.3011, Florida Statutes, which defines a
person entitled to enforce an instrument under section 673.3091,
Florida Statutes. See form 1.944(b). Pursuant to section 702.015,



Florida Statutes (2013), a certification of possession of the
original promissory note must be filed contemporaneously with
the Complaint (form 1.944(a)) or, in the event that the plaintiff
seeks to enforce a lost, destroyed, or stolen instrument, an
affidavit setting forth the facts required by law must be attached
to the complaint (form 1.944(b)).



 FORM 1.944(B). 
Fla. R. Civ. P. Form 1.944(b)

FORM 1.944(B). MORTGAGE FORECLOSURE.
(When location of original note unknown)

COMPLAINT
Plaintiff, ABC, sues defendant, XYZ, and states:
1. This is an action to foreclose a mortgage on real property in _________

County, Florida.
2. On   (date)   , defendant executed and delivered a promissory note and a

mortgage securing the payment of said note to   (plaintiff or plaintiffs
predecessor)    . The mortgage was recorded on   (date)   , in Official Records
Book _________ at page _________ of the public records of
__________________ County, Florida, and mortgaged the property
described therein which was then owned by and in possession of the
mortgagor. A copy of the mortgage and note are attached to the affidavit
which is attached hereto as Composite Exhibit 1; the contents of the
affidavit are specifically incorporated by reference.

3. Plaintiff is not in possession of the note but is entitled to enforce it.
4. (select a, b, c, or d) Plaintiff cannot reasonably obtain possession of the

note because
(a) the note was destroyed.
(b) the note is lost.
(c) the note is in the wrongful possession of an unknown person.
(d) the note is in the wrongful possession of a person that cannot be found

or is not amenable to service of process.
5. (select a, b, c, d, e, or f)
(a) When loss of possession occurred, plaintiff was the holder of the

original note secured by the mortgage.
(b) When loss of possession occurred, plaintiff was a person entitled to

enforce the note under applicable law because   (allege specific facts)   .



(c) Plaintiff has directly or indirectly acquired ownership of the note from a
person entitled to enforce the note when loss of possession occurred as
follows:   (allege facts as to transfer of ownership)   .

(d) Plaintiff has been delegated the authority to institute a mortgage
foreclosure action on behalf of the holder of the original note who lost
possession of the note. The document(s) that grant(s) plaintiff the authority to
act on behalf of the person entitled to enforce the note is/are as follows
_____________________ (attach documents if not already attached).

(e) Plaintiff has been delegated the authority to institute a mortgage
foreclosure action on behalf of the person entitled to enforce the note when
loss of possession occurred because _________ (allege specific
facts)_________. The document(s) that grant(s) plaintiff the authority to act
on behalf of the person entitled to enforce the note is/are as follows
_________ (attach documents if not already attached).

(f) Plaintiff has been delegated the authority to institute a mortgage
foreclosure action on behalf of the person or entity who directly or indirectly
acquired ownership of the note from a person entitled to enforce the note
when loss of possession occurred, as follows:_________ (allege specific
facts) _________ the document(s) that grant(s) plaintiff the authority to act
on behalf of the person entitled to enforce the note is/are as follows
_________ (attach documents if not already attached).

6. Plaintiff did not transfer the note or lose possession of it as the result of
a lawful seizure.

7. The property is now owned by defendant who holds possession.
8. Defendant has defaulted under the note and mortgage by failing to pay

the payment(s) due   (date(s))   , and all subsequent payments   (identify other
defaults as applicable)   .

9. Plaintiff declares the full amount payable under the note and mortgage
to be due.

10. Defendant owes plaintiff $ _________ that is due on principal on the
note and mortgage, interest from   (date)   , and title search expense for
ascertaining necessary parties to this action.

11. Plaintiff is obligated to pay its attorneys a reasonable fee for their



services. Plaintiff is entitled to recover its attorneys fees for prosecuting this
claim pursuant to   (identify statutory and/or contractual bases, as applicable)
  .

WHEREFORE, Plaintiff demands judgment re-establishing
the promissory note, determining the amount and nature of
adequate protection to be required by sections 673.3091(2) and
702.11, Florida Statutes, foreclosing the mortgage, for costs
(and, where applicable, for attorneys fees), and if the proceeds
of the sale are insufficient to pay plaintiffs claim, a deficiency
judgment.

NOTE: An action for foreclosure of a mortgage on residential
real property must contain an oath, affirmation, or the following
statement as required by rule 1.115(e).

VERIFICATION
Under penalty of perjury, I declare that I have read the

foregoing, and the facts alleged therein are true and correct to the
best of my knowledge and belief.

AFFIDAVIT OF COMPLIANCE
STATE OF FLORIDA
COUNTY OF ____________________

BEFORE ME, the undersigned authority, personally appeared
  (name)   , who, after being first duly sworn, deposes and states,
under penalty of perjury:
1. I am the plaintiff (or plaintiffs ____________________) (identify

relationship to plaintiff).
I am executing this affidavit in support of plaintiffs



Complaint against defendant and I have personal knowledge of
the matters set forth herein.
2. On   (date)   , the public records reflect that defendant executed and

delivered a mortgage securing the payment of the note to
  (plaintiff/plaintiffs predecessor)    . The mortgage was recorded on   (date)
  , in Official Records Book _________ at page _________ of the public
records of _________ County, Florida, and mortgaged the property described
therein, which was then owned by and in possession of the mortgagor, a copy
of the mortgage and the note being attached.

3. Plaintiff is not in possession of the note but is entitled to enforce it.
4. (select a, b, c, or d) Plaintiff cannot reasonably obtain possession of the

note because
(a) the note was destroyed.
(b) the note is lost.
(c) the note is in the wrongful possession of an unknown person.
(d) the note is in the wrongful possession of a person who cannot be found

or is not amenable to service of process.
5. (select a, b, c, d, e, or f)
(a) When loss of possession occurred, plaintiff was the holder of the

original note secured by the mortgage.
(b) When loss of possession occurred, plaintiff was a person entitled to

enforce the note under applicable law because   (allege specific facts)   .
(c) Plaintiff has directly or indirectly acquired ownership of the note from a

person entitled to enforce the note when loss of possession occurred as
follows:   (allege facts regarding transfer of ownership)   .

(d) Plaintiff has been delegated the authority to institute a mortgage
foreclosure action on behalf of the holder of the original note who lost
possession of the note. The document(s) that grant(s) plaintiff the authority to
act on behalf of the person entitled to enforce the note is/are as follows
_____________________ (attach copy of document(s) or relevant portion(s)
of the document(s)).



(e) Plaintiff has been delegated the authority to institute a mortgage
foreclosure action on behalf of the person entitled to enforce the original note
when loss of possession occurred, because _________ (allege specific facts)
_________. The document(s) that grant(s) plaintiff the authority to act on
behalf of the person entitled to enforce the note is/are as follows _________
(attach documents if not already attached).

(f) Plaintiff has been delegated the authority to institute a mortgage
foreclosure action on behalf of the person or entity who directly or indirectly
acquired ownership of the note from a person entitled to enforce the original
note when loss of possession occurred, as follows _________ (allege specific
facts) _________. The document(s) that grant(s) plaintiff the authority to act
on behalf of the person entitled to enforce the note is/are as follows
_________ (attach documents if not already attached).

6. Below is the clear chain of the endorsements, transfers, allonges or
assignments of the note and all documents that evidence same as are available
to Plaintiff:   (identify in chronological order all endorsements, transfers,
assignments of, allonges to, the note or other evidence of the acquisition,
ownership and possession of the note)    . Correct copies of the foregoing
documents are attached to this affidavit.

7. Plaintiff did not transfer the note or lose possession of it as the result of
a lawful seizure.
FURTHER, AFFIANT SAYETH NAUGHT.

STATE OF FLORIDA
COUNTY OF ____________________

BEFORE ME, the undersigned authority appeared   (name of
affiant)   , who _________ is personally known to me or
_________ produced identification _________ and
acknowledged that he/she executed the foregoing instrument for
the purposes expressed therein and who did take an oath.



WITNESS my hand and seal in the State and County
aforesaid, this   (date)   .

COMMITTEE NOTES

2014 Adoption. This form is for installment payments with acceleration. It
omits allegations about junior encumbrances, unpaid taxes, unpaid insurance
premiums, other nonmonetary defaults, and for a receiver. Allegations must
be added when appropriate. This form may require modification. This form is
designed to incorporate the pleading requirements of section 702.015, Florida
Statutes (2013), and rule 1.115. It is also designed to comply with section
673.3091, Florida Statutes (2013). Adequate protection as required by
sections 702.11 (2013) and 673.3091(2), Florida Statutes (2013), must be
provided before the entry of final judgment.



 FORM 1.944(C). 
Fla. R. Civ. P. Form 1.944(c)

FORM 1.944(C). MOTION FOR ORDER TO SHOW CAUSE.
PLAINTIFFS MOTION FOR ORDER TO SHOW CAUSE 

FOR ENTRY OF FINAL JUDGMENT OF FORECLOSURE
1. Plaintiff is a lienholder of real property located at   (address)    or is a

  Condominium Association/Cooperative Association/Homeowners
Association   .

2. The plaintiff has filed a verified complaint in conformity with applicable
law, which is attached.

3. The plaintiff requests this court issue an order requiring defendant(s) to
appear before the court to show cause why a final judgment of foreclosure
should not be entered against defendant(s).

4. The date of the hearing may not occur sooner than the later of 20 days
after service of the order to show cause or 45 days after service of the initial
complaint.

OR
COMMENT: Use the following when service is by publication:

4. When service is obtained by publication, the date for the hearing may
not be set sooner than 30 days after the first publication.

5. The accompanying proposed order to show cause affords defendant(s)
all the rights and obligations as contemplated by applicable law.

6. Upon the entry of the order to show cause, plaintiff shall serve a copy of
the executed order to show cause for entry of final judgment as required by
law.

Plaintiff requests the court review this complaint and grant this
motion for order to show cause for entry of final judgment of
foreclosure, and grant such further relief as may be awarded at
law or in equity.



Certificate of Service

COMMITTEE NOTES

2014 Adoption. This form is designed to comply with section 702.10,
Florida Statutes (2013).



 FORM 1.944(D). 
Fla. R. Civ. P. Form 1.944(d)

FORM 1.944(D). ORDER TO SHOW CAUSE.
ORDER TO SHOW CAUSE

THIS CAUSE has come before the court on _________
plaintiffs/lien holders _________ motion for order to show
cause for entry of final judgment of mortgage foreclosure and the
court having reviewed the motion and the verified complaint,
and being otherwise fully advised in the circumstances, finds and
it is

ORDERED AND ADJUDGED that:
1. The defendant(s) shall appear at a hearing on foreclosure on   (date)    at

  (time)    before the undersigned judge, in the   (county)    Courthouse at
  (address)   , to show cause why the attached final judgment of foreclosure
should not be entered against the defendant(s) in this cause. This hearing
referred to in this order is a show cause hearing.

2. This ORDER TO SHOW CAUSE shall be served on the defendant(s) in
accordance with the Florida Rules of Civil Procedure and applicable law as
follows:

a. If the defendant(s) has/have been served under Chapter 48, Florida
Statutes, with the verified complaint and original process has already been
effectuated, service of this order may be made in the manner provided in the
Florida Rules of Civil Procedure; or, if the other party is the plaintiff in the
action, service of the order to show cause on that party may be made in the
manner provided in the Florida Rules of Civil Procedure.

b. If the defendant(s) has/have not been served under Chapter 48, Florida
Statutes, with the verified complaint and original process, the order to show
cause, together with the summons and a copy of the verified complaint, shall
be served on the party in the same manner as provided by law for original
process.

3. The filing of defenses by a motion or verified answer at or before the



show cause hearing constitutes cause for which the court may not enter the
attached final judgment.

4. Defendant(s) has/have the right to file affidavits or other papers at the
time of the show cause hearing and may appear at the hearing personally or
by an attorney.

5. If defendant(s) file(s) motions, they may be considered at the time of the
show cause hearing.

6. Defendant(s) failure to appear either in person or by an attorney at the
show cause hearing or to file defenses by motion or by a verified or sworn
answer, affidavits, or other papers which raise a genuine issue of material fact
which would preclude entry of summary judgment or which would otherwise
constitute a legal defense to foreclosure, after being served as provided by
law with the order to show cause, will be deemed presumptively a waiver of
the right to a hearing. In such case, the court may enter a final judgment of
foreclosure ordering the clerk of the court to conduct a foreclosure sale. An
order requiring defendant(s) to vacate the premises may also be entered.

7. If the mortgage provides for reasonable attorneys fees and the requested
fee does not exceed 3% of the principal amount owed at the time the
complaint is filed, the court may not need to hold a hearing to adjudge the
requested fee to be reasonable.

8. Any final judgment of foreclosure entered under section 702.10(1)
Florida Statutes, shall be only for in rem relief; however, entry of such final
judgment of foreclosure shall not preclude entry of an in personam money
damages judgment or deficiency judgment where otherwise allowed by law.

9. A copy of the proposed final judgment is attached and will be
entered by the court if defendant(s) waive(s) the right to be heard at the
show cause hearing.

DONE AND ORDERED at   (county)   , Florida   (date)   .

Copies to:
COMMITTEE NOTES



2014 Adoption. This form is designed to comply with section 702.10(1),
Florida Statutes (2013).



 FORM 1.945. 
Fla. R. Civ. P. Form 1.945

FORM 1.945. MOTOR VEHICLE NEGLIGENCE.
COMPLAINT

Plaintiff, A. B., sues defendants, C. D., and E. F., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. (Use a or b) a. On or about _________ (date) _________, defendant, C.

D., owned a motor vehicle that was operated with his/her consent by
defendant, E. F., at _________ in _________, Florida.

b. On or about _________ (date) _________, defendant owned and
operated a motor vehicle at _________ in _________, Florida.

3. At that time and place defendants negligently operated or maintained the
motor vehicle so that it collided with plaintiffs motor vehicle.

4. As a result plaintiff suffered bodily injury and resulting pain and
suffering, disability, disfigurement, mental anguish, loss of capacity for the
enjoyment of life, expense of hospitalization, medical and nursing care and
treatment, loss of earnings, loss of ability to earn money, and aggravation of a
previously existing condition. The losses are either permanent or continuing
and plaintiff will suffer the losses in the future. Plaintiffs automobile was
damaged and he/she lost the use of it during the period required for its repair
or replacement.

WHEREFORE plaintiff demands judgment for damages
against defendants.

NOTE: This form, except for paragraph 2b, is for use when
owner and driver are different persons. Use paragraph 2b when
they are the same. If paragraph 2b is used, defendantsmust be
changed to defendant wherever it appears.

COMMITTEE NOTES

1980 Amendment. This form was changed to show that one of the



alternatives in paragraph 2 is used, but not both, and paragraph 4 has been
changed to paraphrase Standard Jury Instruction 6.2.



 FORM 1.946. 
Fla. R. Civ. P. Form 1.946

FORM 1.946. MOTOR VEHICLE NEGLIGENCE WHEN PLAINTIFF
IS UNABLE TO DETERMINE WHO IS RESPONSIBLE.

COMPLAINT
Plaintiff, A. B., sues defendants, C. D., and E. F., and alleges:

1. This is an action for damages that (insert jurisdictional amount).
2. On or about _________ (date) _________, defendant, C. D., or

defendant, E. F., or both defendants, owned and operated motor vehicles at
_________ in _________, Florida.

3. At that time and place defendants, or one of them, negligently operated
or maintained their motor vehicles so that one or both of them collided with
plaintiffs motor vehicle.

4. As a result plaintiff suffered bodily injury and resulting pain and
suffering, disability, disfigurement, mental anguish, loss of capacity for the
enjoyment of life, expense of hospitalization, medical and nursing care and
treatment, loss of earnings, loss of ability to earn money, and aggravation of a
previously existing condition. The losses are either permanent or continuing
and plaintiff will suffer the losses in the future. Plaintiffs automobile was
damaged and he/she lost the use of it during the period required for its repair
or replacement.

WHEREFORE plaintiff demands judgment for damages
against defendants.

NOTE: Allegations when owner and driver are different
persons are omitted from this form and must be added when
proper.

COMMITTEE NOTES

1980 Amendment. Paragraph 4 is changed to paraphrase Standard Jury
Instruction 6.2.



 FORM 1.947. 
Fla. R. Civ. P. Form 1.947

FORM 1.947. TENANT EVICTION.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action to evict a tenant from real property in _________

County, Florida.
2. Plaintiff owns the following described real property in said county:

(describe property)
3. Defendant has possession of the property under (oral, written)

agreement to pay rent of $ _________ payable _________
4. Defendant failed to pay rent due _________ (date) _________
5. Plaintiff served defendant with a notice on _________ (date) _________

to pay the rent or deliver possession but defendant refuses to do either.
WHEREFORE plaintiff demands judgment for possession of

the property against defendant.
NOTE: Paragraph 3 must specify whether the rental

agreement is written or oral and if written, a copy must be
attached.



 FORM 1.948. 
Fla. R. Civ. P. Form 1.948

FORM 1.948. THIRD-PARTY COMPLAINT. GENERAL FORM.
THIRD-PARTY COMPLAINT

Defendant, C.D., sues third-party defendant, E.F., and alleges:
1. Plaintiff filed a complaint against defendant, C.D., a copy being

attached.
2. (State the cause of action that C.D. has against E.F. for all or part of

what A.B. may recover from C.D. as in an original complaint.)
WHEREFORE defendant, C.D., demands judgment against

the third-party defendant, E.F., for all damages that are adjudged
against defendant, C.D., in favor of plaintiff.

NOTE: A copy of the complaint from which the third-party
complaint is derived must be attached.

COMMITTEE NOTES

1988 Amendment. The first sentence was changed to eliminate the words
and third party plaintiff.



 FORM 1.949. 
Fla. R. Civ. P. Form 1.949

FORM 1.949. IMPLIED WARRANTY.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. Defendant manufactured a product known and described as (describe

product).
3. Defendant warranted that the product was reasonably fit for its intended

use as (describe intended use).
4. On _________ (date) _________, at _________ in _________ County,

Florida, the product (describe the occurrence and defect that resulted in
injury) while being used for its intended purpose, causing injuries to plaintiff
who was then a user of the product.

5. As a result plaintiff was injured in and about his/her body and
extremities, suffered pain therefrom, incurred medical expense in the
treatment of the injuries, and suffered physical handicap, and his/her working
ability was impaired; the injuries are either permanent or continuing in their
nature and plaintiff will suffer the losses and impairment in the future.

WHEREFORE plaintiff demands judgment for damages
against defendant.

COMMITTEE NOTES

1972 Amendment. This form is changed to require an allegation of the
defect in paragraph 4. Contentions were made in trial courts that the form as
presently authorized eliminated the substantive requirement that the plaintiff
prove a defect except under those circumstances when substantive law
eliminates the necessity of such proof. Paragraph 4 is amended to show that
no substantive law change was intended.



 FORM 1.951. 
Fla. R. Civ. P. Form 1.951

FORM 1.951. FALL-DOWN NEGLIGENCE COMPLAINT.
COMPLAINT

Plaintiff, A. B., sues defendant, C. D., and alleges:
1. This is an action for damages that (insert jurisdictional amount).
2. On _________ (date) _________, defendant was the owner and in

possession of a building at _________ in _________, Florida, that was used
as a (describe use).

3. At that time and place plaintiff went on the property to (state purpose).
4. Defendant negligently maintained (describe item) on the property by

(describe negligence or dangerous condition) so that plaintiff fell on the
property.

5. The negligent condition was known to defendant or had existed for a
sufficient length of time so that defendant should have known of it.

6. As a result plaintiff was injured in and about his/her body and
extremities, suffered pain therefrom, incurred medical expense in the
treatment of the injuries, and suffered physical handicap, and his/her working
ability was impaired; the injuries are either permanent or continuing in nature
and plaintiff will suffer the losses and impairment in the future.

WHEREFORE plaintiff demands judgment for damages
against defendant.



 FORM 1.960. 
Fla. R. Civ. P. Form 1.960

FORM 1.960. BOND. GENERAL FORM.
(TYPE OF BOND)

WE, (plaintiffs name), as principal and (suretys name), as
Surety, are bound to (defendants name) in the sum of $
_________ for the payment of which we bind ourselves, our
heirs, personal representatives, successors, and assigns, jointly
and severally.

THE CONDITION OF THIS BOND is that if plaintiff shall
(insert condition), then this bond is void; otherwise it remains in
force.

SIGNED AND SEALED on _________

COMMITTEE NOTES

1992 Amendment. The Approved on [_________ (date) _________]
line is moved to a location immediately above the clerks name.



 FORM 1.961. 
Fla. R. Civ. P. Form 1.961

FORM 1.961. VARIOUS BOND CONDITIONS.
The following conditions are to be inserted in the second paragraph of

form 1.960 in the blank provided for the condition of the bond. Other proper
conditions must be inserted for other types of bonds.

(a) Attachment, Garnishment, and Distress.
_________ pay all costs and damages that defendant sustains

in consequence of plaintiff improperly suing out (type of writ) in
this action _________

NOTE: The condition of an attachment bond in aid of
foreclosure when the holder of the property is unknown is
different from the foregoing condition. See section 76.12,
Florida Statutes.
(b) Costs.

_________ pay all costs and charges that are adjudged against
plaintiff in this action _________
(c) Replevin.

_________ prosecute this action to effect and without delay,
and if defendant recovers judgment against plaintiff in this
action, plaintiff shall return the property replevied if return of it
is adjudged, and shall pay defendant all money recovered against
plaintiff by defendant in this action _________.



 FORM 1.965. 
Fla. R. Civ. P. Form 1.965

FORM 1.965. DEFENSE. STATUTE OF LIMITATIONS.
Each cause of action, claim, and item of damages did not accrue within the

time prescribed by law for them before this action was brought.



 FORM 1.966. 
Fla. R. Civ. P. Form 1.966

FORM 1.966. DEFENSE. PAYMENT.
Before commencement of this action defendant discharged plaintiffs claim

and each item of it by payment.



 FORM 1.967. 
Fla. R. Civ. P. Form 1.967

FORM 1.967. DEFENSE. ACCORD AND SATISFACTION.
On _________ (date) _________, defendant delivered to plaintiff and

plaintiff accepted from defendant (specify consideration) in full satisfaction
of plaintiffs claim.



 FORM 1.968. 
Fla. R. Civ. P. Form 1.968

FORM 1.968. DEFENSE. FAILURE OF CONSIDERATION.
The sole consideration for the execution and delivery of the promissory

note described in paragraph _________ of the complaint was plaintiffs
promise to lend defendant $1,000; plaintiff failed to lend the sum to
defendant.

NOTE: This form is for failure to complete the loan evidenced by a
promissory note. The contract, consideration, and default of the plaintiff must
be varied to meet the facts of each case.



 FORM 1.969. 
Fla. R. Civ. P. Form 1.969

FORM 1.969. DEFENSE. STATUTE OF FRAUDS.
The agreement alleged in the complaint was not in writing and signed by

defendant or by some other person authorized by defendant and was to
answer for the debt, default, or miscarriage of another person.

NOTE: This form is for one of the cases covered by the Statute of Frauds.
It must be varied to meet the facts of other cases falling within the statute.



 FORM 1.970. 
Fla. R. Civ. P. Form 1.970

FORM 1.970. DEFENSE. RELEASE.
On _________ (date) _________, and after plaintiffs claim in this action

accrued, plaintiff released defendant from it, a copy of the release being
attached.

NOTE: This form is for the usual case of a written release. If the release is
not in writing, the last clause must be omitted and the word orally inserted
before released.



 FORM 1.971. 
Fla. R. Civ. P. Form 1.971

FORM 1.971. DEFENSE. MOTOR VEHICLE CONTRIBUTORY
NEGLIGENCE.

Plaintiffs negligence contributed to the accident and his/her injury and
damages because he/she negligently operated or maintained the motor vehicle
in which he/she was riding so that it collided with defendants motor vehicle.



 FORM 1.972. 
Fla. R. Civ. P. Form 1.972

FORM 1.972. DEFENSE. ASSUMPTION OF RISK.
Plaintiff knew of the existence of the danger complained of in the

complaint, realized and appreciated the possibility of injury as a result of the
danger, and, having a reasonable opportunity to avoid it, voluntarily exposed
himself/herself to the danger.

COMMITTEE NOTES

1980 Amendment. This form is amended to show the substantive changes
caused by the substitution of the doctrine of comparative negligence for
contributory negligence. The form is paraphrased from Standard Jury
Instruction 3.8.



 FORM 1.975. 
Fla. R. Civ. P. Form 1.975

FORM 1.975. NOTICE OF COMPLIANCE WHEN
CONSTITUTIONAL CHALLENGE IS BROUGHT.

NOTICE OF COMPLIANCE WITH
SECTION 86.091, FLORIDA STATUTES

The undersigned hereby gives notice of compliance with Fla.
R. Civ. P. 1.071, with respect to the constitutional challenge
brought pursuant to (Florida statute, charter, ordinance, or
franchise challenged). The undersigned complied by serving the
(Attorney General for the state of Florida or State Attorney for
the .... Judicial Circuit) with a copy of the pleading or motion
challenging (Florida statute, charter, ordinance, or franchise
challenged), by (certified or registered mail) on (date).

....(Name of Attorney)....
Attorney for .... (Name of Client) ....
....(Address)....
....(Telephone No.)....
....(E-mail Address(es))....
Florida Bar No. ....

COMMITTEE NOTES

2010 Adoption. This form is to be used to provide notice of a
constitutional challenge as required by section 86.091, Florida Statutes. See
rule 1.071. This form is to be used when the Attorney General or the State
Attorney is not a named party to the action, but must be served solely in order
to comply with the notice requirements set forth in section 86.091.



 FORM 1.976. 
Fla. R. Civ. P. Form 1.976

FORM 1.976. STANDARD INTERROGATORIES.
The forms of Florida standard interrogatories approved by the supreme

court shall be used in the actions to which they apply, subject to the
requirements of rule 1.340.



 FORM 1.977. 
Fla. R. Civ. P. Form 1.977

FORM 1.977. FACT INFORMATION SHEET.
(a) For Individuals.
(CAPTION)

FACT INFORMATION SHEET
Full Legal Name: _____________________________
Nicknames or Aliases: _____________________________
Residence Address: _____________________________
Mailing Address (if different): _____________________________
Telephone Numbers: (Home) _____________________________ (Business)
_____________________________
Name of Employer: _____________________________
Address of Employer: _____________________________
Position or Job Description: _____________________________
Rate of Pay: $ _____________________________ per
_____________________________. Average Paycheck:
$_____________________________ per
_____________________________
Average Commissions or Bonuses: $ _________ per _________.
Commissions or bonuses are based on _____________________________
Other Personal Income: $ _________ from
_____________________________
_____________________________
(Explain details on the back of this sheet or an additional sheet if necessary.)
Social Security Number: ___________ Birthdate: ___________
Drivers License Number: _____________________________
Marital Status: _____________________________ Spouses Name:



_____________________________
****************************************

Spouse Related Portion

Spouses Address (if different): _____________________________
Spouses Social Security Number: ___________ Birthdate: ___________
Spouses Employer: _____________________________
Spouses Average Paycheck or Income: $ _________
per_____________________________
Other Family Income: $ _________ per _____________________________
(Explain details on back of this sheet or an additional sheet if necessary.)
Describe all other accounts or investments you may have, including stocks,
mutual funds, savings bonds, or annuities, on the back of this sheet or on an
additional sheet if necessary.

****************************************
Names and Ages of All Your Children (and addresses if not living with you):
_____________________________
Child Support or Alimony Paid: $ _________ per
_____________________________
Names of Others You Live With: _____________________________
Who is Head of Your Household? _________ You _________ Spouse
_________ Other Person
Checking Account at: _____________________________ Account #
_____________________________
Savings Account at: _____________________________ Account #
_____________________________
_____________________________
For Real Estate (land) You Own or Are Buying:
Address: _____________________________



All Names on Title: _____________________________
Mortgage Owed to: _____________________________
Balance Owed: _____________________________
Monthly Payment: $ _____________________________
(Attach a copy of the deed or mortgage, or list the legal description of the
property on the back of this sheet or an additional sheet if necessary. Also
provide the same information on any other property you own or are buying.)
For All Motor Vehicles You Own or Are Buying:
Year/Make/Model: _____________________________ Color:
_____________________________
Vehicle ID No.: _________ Tag No: _________ Mileage:
_____________________________
Names on Title: _____________________________
Present Value: $ _____________________________
Loan Owed to: _____________________________
Balance on Loan: $ _____________________________
Monthly Payment: $ _____________________________
(List all other automobiles, as well as other vehicles, such as boats,
motorcycles, bicycles, or aircraft, on the back of this sheet or an additional
sheet if necessary.)
Have you given, sold, loaned, or transferred any real or personal property
worth more than $100 to any person in the last year? If your answer is
yes, describe the property, market value, and sale price, and give the name
and address of the person who received the property.
Does anyone owe you money? Amount Owed: $
_____________________________
Name and Address of Person Owing Money:
_____________________________
Reason money is owed: _____________________________



Please attach copies of the following:
a. Your last pay stub.
b. Your last 3 statements for each bank, savings, credit union,

or other financial account.
c. Your motor vehicle registrations and titles.
d. Any deeds or titles to any real or personal property you own

or are buying, or leases to property you are renting.
e. Your financial statements, loan applications, or lists of

assets and liabilities submitted to any person or entity within the
last 3 years.

f. Your last 2 income tax returns filed.
UNDER PENALTY OF PERJURY, I SWEAR OR AFFIRM THAT THE
FOREGOING ANSWERS ARE TRUE AND COMPLETE.

Sworn to (or affirmed) and subscribed before me this _________ day of
_________ (year), by (name of person making statement)

YOU MUST MAIL OR DELIVER THIS COMPLETED FORM, WITH
ALL ATTACHMENTS, TO THE JUDGMENT CREDITOR OR THE
JUDGMENT CREDITORS ATTORNEY, BUT DO NOT FILE THIS
FORM WITH THE CLERK OF THE COURT.

(b) For Corporations and Other Business Entities.
(CAPTION)



FACT INFORMATION SHEET

Name of entity: _____________________________
Name and title of person filling out this form:
_____________________________
Telephone number: _____________________________
Place of business: _____________________________
Mailing address (if different): _____________________________
Gross/taxable income reported for federal income tax purposes last three

Taxpayer identification number:_____________________________
Is this entity an S corporation for federal income tax purposes? _________
Yes
_________No
Average number of employees per month _________
Name of each shareholder, member, or partner owning 5% or more of the
entitys common stock, preferred stock, or other equity interest:
_____________________________
_____________________________
_____________________________
Names of officers, directors, members, or partners:
_____________________________
Checking account at: _____________________________ Account #
_____________________________
Savings account at: _____________________________ Account #
_____________________________
Does the entity own any vehicles? _________ Yes _________ No
For each vehicle please state:



Year/Make/Model: _____________________________ Color:
_____________________________

   Vehicle ID No: _________Tag No:
_________Mileage:_________

   Names on Title: __________________ Present Value: $
__________________

   Loan Owed to: _____________________________
   Balance on Loan: $ _____________________________
   Monthly Payment: $ _____________________________

Does the entity own any real property? _________ Yes _________ No
   If yes, please state the address(es):

_____________________________
   _____________________________

Please check if the entity owns the following:
_________ Boat
_________ Camper
_________ Stocks/bonds
_________ Other real property
_________ Other personal property
Please attach copies of the following:

1. Copies of state and federal income tax returns for the past 3
years.

2. All bank, savings and loan, and other account books and
statements for accounts in institutions in which the entity had
any legal or equitable interest for the past 3 years.

3. All canceled checks for the 12 months immediately



preceding the service date of this Fact Information Sheet for
accounts in which the entity held any legal or equitable interest.

4. All deeds, leases, mortgages, or other written instruments
evidencing any interest in or ownership of real property at any
time within the 12 months immediately preceding the date this
lawsuit was filed.

5. Bills of sale or other written evidence of the gift, sale,
purchase, or other transfer of any personal or real property to or
from the entity within the 12 months immediately preceding the
date this lawsuit was filed.

6. Motor vehicle or vessel documents, including titles and
registrations relating to any motor vehicles or vessels owned by
the entity alone or with others.

7. Financial statements as to the entitys assets, liabilities, and
owners equity prepared within the 12 months immediately
preceding the service date of this Fact Information Sheet.

8. Minutes of all meetings of the entitys members, partners,
shareholders, or board of directors held within 2 years of the
service date of this Fact Information Sheet.

9. Resolutions of the entitys members, partners, shareholders,
or board of directors passed within 2 years of the service date of
this Fact Information Sheet.

UNDER PENALTY OF PERJURY, I SWEAR OR AFFIRM THAT THE
FOREGOING ANSWERS ARE TRUE AND COMPLETE.

Sworn to (or affirmed) and subscribed before me this _________ day of



_________ (year), by (name of person making statement)

Type of identification produced ______________
YOU MUST MAIL OR DELIVER THIS COMPLETED FORM, WITH
ALL ATTACHMENTS, TO THE PLAINTIFFS JUDGMENT
CREDITOR OR THE PLAINTIFFS JUDGMENT CREDITORS
ATTORNEY, BUT DO NOT FILE THIS FORM WITH THE CLERK
OF THE COURT.

COMMITTEE NOTES

2000 Adoption. This form is added to comply with amendments to rule
1.560.

2013 Amendment. This amendment clarifies that the judgment debtor
should mail or deliver the Fact Information Sheet only to the judgment
creditor or the judgment creditors attorney, and should not file the Fact
Information Sheet with the clerk of the court.



 FORM 1.980. 
Fla. R. Civ. P. Form 1.980

FORM 1.980. DEFAULT.
MOTION FOR DEFAULT

Plaintiff moves for entry of a default by the clerk against
defendant ____ for failure to serve any document on the
undersigned or file any document as required by law.

 

DEFAULT
A default is entered in this action against the defendant named

in the foregoing motion for failure to serve or file any document
as required by law.



 FORM 1.981. 
Fla. R. Civ. P. Form 1.981

FORM 1.981. SATISFACTION OF JUDGMENT.
SATISFACTION OF JUDGMENT

The undersigned, owner and holder of a final judgment
rendered in the above-captioned civil action, dated _________,
recorded in _________ County, Official Records Book
_________ beginning at Page _________, acknowledges that all
sums due under it have been fully paid and that final judgment is
hereby canceled and satisfied of record.

DATED on _________

STATE OF FLORIDA
COUNTY OF _________
The foregoing instrument was acknowledged before me this

_________ day of _________, 20 _________, by (name of
person acknowledging).

(NOTARY SEAL)

Personally Known _________ OR Produced Identification
_________

Type of Identification Produced ____________________
COMMITTEE NOTES

2003 Amendment. This satisfaction of judgment is a general form. It is a
new form. To ensure identity of the signer, notarization is prudent but not



required. If a certified copy of the judgment is recorded, it may be prudent to
include that recording information.

2013 Amendment. This form has been changed to remove unnecessary
language and to include the acknowledgment required by sections 695.03 and
701.04, Florida Statutes.



 FORM 1.982. 
Fla. R. Civ. P. Form 1.982

FORM 1.982. CONTEMPT NOTICE.
MOTION AND NOTICE OF HEARING

TO: (name of attorney for party, or party if not represented)
YOU ARE NOTIFIED that plaintiff will apply to the

Honorable _________, Circuit Judge, on _________ (date)
_________ at _________m., in the _________ County
Courthouse at _________, Florida, for an order adjudging
(defendants name) in contempt of court for violation of the
terms of the order or judgment entered by this court on
_________ (date) _________ by failing to _________, and I
certify that a copy hereof has been furnished to _________ by
mail on _________ (date) _________

If you are a person with a disability who needs any
accommodation in order to participate in this proceeding,
you are entitled, at no cost to you, to the provision of certain
assistance. Please contact [identify applicable court
personnel by name, address, and telephone number] at least
7 days before your scheduled court appearance, or
immediately upon receiving this notification if the time
before your scheduled appearance is less than 7 days; if you
are hearing or voice impaired, call 711.

NOTE: The particular violation must be inserted in the
motion and notice. A separate motion is unnecessary.

COMMITTEE NOTES

2013 Amendment. The notice to persons with disabilities was amended to
make the procedure for obtaining accommodation consistent with the
procedure required in court proceedings.



 FORM 1.983. 
Fla. R. Civ. P. Form 1.983

FORM 1.983. PROSPECTIVE JUROR QUESTIONNAIRE.
DIRECTIONS TO ATTORNEYS AND PRO SE LITIGANTS: Before

you file a copy of this form, redact the month and date of the prospective
jurors birth in question #3, but retain the year of birth. Fla. R. Jud.
Admin. 2.425(a)(2).

QUESTIONNAIRE FOR PROSPECTIVE JURORS
1. Name (print) _____________________________

     (first)      (middle)    (last)     
2. Residence address _____________________________

    (street and number)     (city)     (zip)
3. Date of birth ____________________

  Sex _________ Occupation _________
4. Do you understand the English language?

____   ____
(yes)   (no)

5. Do you read and write the English language?
____   ____
(yes)   (no)

6. Have you ever been convicted of a crime and not restored to your civil
rights?

____  ____
(yes)  (no)
If yes, state the nature of the crime(s), the date of the

conviction(s), and the name of the court(s) in which you were



convicted:
_____________________________
_____________________________

7. Are there any criminal charges pending against you of which you are
aware?

____   ____
(yes)   (no)
If yes, state the nature of the charge(s) and the name of the

court(s) in which the case(s) is pending:
_____________________________
_____________________________

8. FULL-TIME LAW ENFORCEMENT OFFICERS AND LAW
ENFORCEMENT INVESTIGATIVE PERSONNEL ONLY. Section
40.013(2)(b), Florida Statutes, provides that [a]ny full-time federal, state, or
local law enforcement officer or such entities investigative personnel shall
be excused from jury service unless such persons choose to serve. Do you
choose to serve?

____   ____
(yes)   (no)

9. List any official executive office you now hold with the federal, state, or
county government:
_____________________________
_____________________________

(The court may require a medical certificate.)



11. Do you have any physical or mental disability that would interfere with
your service as a juror?

____   ____
(yes)   (no)
If yes, state nature:

_____________________________
_____________________________

(The court may require a medical certificate.)
12. Do you know of any reason(s) why you cannot serve as a juror?

____   ____
(yes)   (no)
If yes, state the reason(s):

_____________________________
_____________________________
_____________________________

13. EXPECTANT MOTHERS AND PARENTS ONLY: Section
40.013(4), Florida Statutes, provides that [a]ny expectant mother and any
parent who is not employed full time and who has custody of a child under 6
years of age, upon request, shall be excused from jury service. Do you want
to be excused under this provision?

____   ____
(yes)   (no)
If yes, what are the ages of your children?

_____________________________
_____________________________



This is not a summons for jury duty. If your name is later
drawn for jury service, you will be summoned by the clerk of
court by mail.

NOTE: This form does not use a caption as shown in form
1.901. It may be headed with the designation of the authority
charged by law with the selection of prospective jurors.



 FORM 1.984. 
Fla. R. Civ. P. Form 1.984

FORM 1.984. JUROR VOIR DIRE QUESTIONNAIRE.
JURY QUESTIONNAIRE

Instructions to Jurors
You have been selected as a prospective juror. It will aid the

court and help shorten the trial of cases if you will answer the
questions on this form and return it in the enclosed self-
addressed stamped envelope within the next 2 days. Please
complete the form in blue or black ink and write as dark and
legibly as you can.
1. Name (print)_____________________________

2. Residence address _____________________________
3. Years of residence: In Florida _________

In this county _________

4. Former residence _____________________________
5. Marital status: (married, single, divorced, widow, or widower)

_____________________________
6. State the highest level of education you completed

   _______ Less than high school _______ Some college
   _______ High school _______ Associate degree
   _______ Vocational/Technical school _______ College degree
   _______ Post graduate degree

7. Your occupation and employer _____________________________
8. If you are not now employed, give your last occupation and employer

_____________________________



9. If married, name and occupation of husband or wife
_____________________________

10. Have you served as a juror before? _________
11. Have you or any member of your immediate family been a party to any

lawsuit? _________ If so, when and in what court?
_____________________________

12. Are you either a close friend of or related to any law enforcement
officer? _________

13. Has a claim for personal injuries ever been made against you or any
member of your family? _________

14. Have you or any member of your family ever made any claim for
personal injuries? _________



 FORM 1.986. 
Fla. R. Civ. P. Form 1.986

FORM 1.986. VERDICTS.
In all civil actions tried to a jury, the parties should refer to the model

verdict forms contained in the Florida Standard Jury Instructions in Civil
Cases, as applicable.



 FORM 1.988. 
Fla. R. Civ. P. Form 1.988

FORM 1.988. JUDGMENT AFTER DEFAULT.
(a) General Form. This form is the general form for a judgment after

default, not including recovery for prejudgment interest and attorneys fees:
FINAL JUDGMENT

This action was heard after entry of default against defendant
and

IT IS ADJUDGED that plaintiff, _________ (name and
address) _________, recover from defendant, _________ (name
and address, and last 4 digits of social security number if known)
_________, the sum of $ _________ with costs in the sum of $
_________, that shall bear interest at the rate of _________ % a
year, for which let execution issue.

ORDERED at _________, Florida, on _________ (date)
_________

(b) This form is for judgment after default including prejudgment interest
and attorneys fees recovered:

FINAL JUDGMENT
This action was heard after entry of default against defendant

and
IT IS ADJUDGED that plaintiff, _________ (name and

address) _________, recover from defendant, _________ (name
and address, and last 4 digits of social security number if known)
_________, the sum of $ _________ on principal, $ _________
for attorneys fees with costs in the sum of $ _________, and
prejudgment interest in the sum of $ _________, making a total



of $ _________ that shall bear interest at the rate of _________
% a year, for which let execution issue.

ORDERED at _________, Florida, on _________ (date)
_________

NOTE: The address of the person who claims a lien as a
result of the judgment must be included in the judgment in order
for the judgment to become a lien on real estate when a certified
copy of the judgment is recorded. Alternatively, an affidavit with
this information may be simultaneously recorded. For the
specific requirements, see section 55.10(1), Florida Statutes;
Hott Interiors, Inc. v. Fostock, 721 So. 2d 1236 (Fla. 4th DCA
1998). The address and social security number (if known) of
each person against whom the judgment is rendered must be
included in the judgment, pursuant to section 55.01(2), Florida
Statutes. However, for privacy reasons, only the last 4 digits of
the social security number should be shown.

COMMITTEE NOTES

1980 Adoption. This form is new.
2003 Amendment. Subdivision (b) is amended to include prejudgment

interest in the total judgment pursuant to Quality Engineered Installation,
Inc. v. Higley South, Inc., 670 So. 2d 929 (Fla. 1996).



 FORM 1.989. 
Fla. R. Civ. P. Form 1.989

FORM 1.989. ORDER OF DISMISSAL FOR LACK OF
PROSECUTION.

(a) Notice of Lack of Prosecution.
NOTICE OF LACK OF PROSECUTION

PLEASE TAKE NOTICE that it appears on the face of the
record that no activity by filing of pleadings, order of court, or
otherwise has occurred for a period of 10 months immediately
preceding service of this notice, and no stay has been issued or
approved by the court. Pursuant to rule 1.420(e), if no such
record activity occurs within 60 days following the service of
this notice, and if no stay is issued or approved during such 60-
day period, this action may be dismissed by the court on its own
motion or on the motion of any interested person, whether a
party to the action or not, after reasonable notice to the parties,
unless a party shows good cause in writing at least 5 days before
the hearing on the motion why the action should remain pending.
(b) Order Dismissing Case for Lack of Prosecution.

ORDER OF DISMISSAL
This action was heard on the

.....respondents/courts/interested partys..... motion to dismiss
for lack of prosecution served on .....(date)...... The court finds
that (1) notice prescribed by rule 1.420(e) was served on .....
(date).....; (2) there was no record activity during the 10 months
immediately preceding service of the foregoing notice; (3) there
was no record activity during the 60 days immediately following
service of the foregoing notice; (4) no stay has been issued or
approved by the court; and (5) no party has shown good cause
why this action should remain pending. Accordingly,



IT IS ORDERED that this action is dismissed for lack of
prosecution.

ORDERED at _________, Florida, on _________ (date)
_________



 FORM 1.990. 
Fla. R. Civ. P. Form 1.990

FORM 1.990. FINAL JUDGMENT FOR PLAINTIFF. JURY ACTION
FOR DAMAGES.

FINAL JUDGMENT
Pursuant to the verdict rendered in this action
IT IS ADJUDGED that plaintiff, _________ (name and

address) _________, recover from defendant, _________ (name
and address, and last 4 digits of social security number if known)
_________, the sum of $ _________ with costs in the sum of $
_________, making a total of $ _________, that shall bear
interest at the rate of _________% a year, for which let
execution issue.

ORDERED at _________, Florida, on _________ (date)
_________

NOTE: The address of the person who claims a lien as a
result of the judgment must be included in the judgment in order
for the judgment to become a lien on real estate when a certified
copy of the judgment is recorded. Alternatively, an affidavit with
this information may be simultaneously recorded. For the
specific requirements, see section 55.10(1), Florida Statutes;
Hott Interiors, Inc. v. Fostock, 721 So. 2d 1236 (Fla. 4th DCA
1998). The address and social security number (if known) of
each person against whom the judgment is rendered must be
included in the judgment, pursuant to section 55.01(2), Florida
Statutes. However, for privacy reasons, only the last 4 digits of
the social security number should be shown.



 FORM 1.991. 
Fla. R. Civ. P. Form 1.991

FORM 1.991. FINAL JUDGMENT FOR DEFENDANT. JURY
ACTION FOR DAMAGES.

FINAL JUDGMENT
Pursuant to the verdict rendered in this action
IT IS ADJUDGED that plaintiff, _________ (name and

address, and last 4 digits of social security number if known)
_________, take nothing by this action and that defendant,
_________ (name and address) _________, shall go hence
without day and recover costs from plaintiff in the sum of $
_________ that shall bear interest at the rate of _________% a
year, for which let execution issue.

ORDERED at _________, Florida, on _________ (date)
_________

NOTE: The address of the person who claims a lien as a
result of the judgment must be included in the judgment in order
for the judgment to become a lien on real estate when a certified
copy of the judgment is recorded. Alternatively, an affidavit with
this information may be simultaneously recorded. For the
specific requirements, see section 55.10(1), Florida Statutes;
Hott Interiors, Inc. v. Fostock, 721 So. 2d 1236 (Fla. 4th DCA
1998). The address and social security number (if known) of
each person against whom the judgment is rendered must be
included in the judgment, pursuant to section 55.01(2), Florida
Statutes. However, for privacy reasons, only the last 4 digits of
the social security number should be shown.



 FORM 1.993. 
Fla. R. Civ. P. Form 1.993

FORM 1.993. FINAL JUDGMENT FOR PLAINTIFF. GENERAL
FORM. NON-JURY.

FINAL JUDGMENT
This action was tried before the court. On the evidence

presented
IT IS ADJUDGED that:

1. (list adjudications in numbered paragraphs)
2. _____________________

(See note below on name, address,
and social security number requirements.)

ORDERED at _________, Florida, on _________ (date)
_________

NOTE: Findings of fact can be inserted after presented if
desired. The address of the person who claims a lien as a result
of the judgment must be included in the judgment in order for
the judgment to become a lien on real estate when a certified
copy of the judgment is recorded. Alternatively, an affidavit with
this information may be simultaneously recorded. For the
specific requirements, see section 55.10(1), Florida Statutes;
Hott Interiors, Inc. v. Fostock, 721 So. 2d 1236 (Fla. 4th DCA
1998). The address and social security number (if known) of
each person against whom the judgment is rendered must be
included in the judgment, pursuant to section 55.01(2), Florida
Statutes. However, for privacy reasons, only the last 4 digits of
the social security number should be shown.



 FORM 1.994. 
Fla. R. Civ. P. Form 1.994

FORM 1.994. FINAL JUDGMENT FOR DEFENDANT. GENERAL
FORM. NON-JURY.

FINAL JUDGMENT
This action was tried before the court. On the evidence

presented
IT IS ADJUDGED that plaintiff, _________ (name and

address, and last 4 digits of social security number if known)
_________, take nothing by this action and that defendant,
_________ (name and address) _________, shall go hence
without day and recover costs from plaintiff in the sum of $
_________ that shall bear interest at the rate of _________% a
year, for which let execution issue.

ORDERED at _________, Florida, on _________ (date)
_________

NOTE: Findings of fact can be inserted after presented if
desired. The address of the person who claims a lien as a result
of the judgment must be included in the judgment in order for
the judgment to become a lien on real estate when a certified
copy of the judgment is recorded. Alternatively, an affidavit with
this information may be simultaneously recorded. For the
specific requirements, see section 55.10(1), Florida Statutes;
Hott Interiors, Inc. v. Fostock, 721 So. 2d 1236 (Fla. 4th DCA
1998). The address and social security number (if known) of
each person against whom the judgment is rendered must be
included in the judgment, pursuant to section 55.01(2), Florida
Statutes. However, for privacy reasons, only the last 4 digits of



the social security number should be shown.



 FORM 1.995. 
Fla. R. Civ. P. Form 1.995

FORM 1.995. FINAL JUDGMENT OF REPLEVIN.
NOTE APPLICABLE TO FORMS (a)(d): The address

of the person who claims a lien as a result of the judgment must
be included in the judgment in order for the judgment to become
a lien on real estate when a certified copy of the judgment is
recorded. Alternatively, an affidavit with this information may
be simultaneously recorded. For the specific requirements, see
section 55.10(1), Florida Statutes; Hott Interiors, Inc. v. Fostock,
721 So. 2d 1236 (Fla. 4th DCA 1998). The address and social
security number (if known) of each person against whom the
judgment is rendered must be included in the judgment, pursuant
to section 55.01(2), Florida Statutes. However, for privacy
reasons, only the last 4 digits of the social security number
should be shown.
(a) Judgment in Favor of Plaintiff when Plaintiff Has Possession.

FINAL JUDGMENT OF REPLEVIN
This matter was heard on plaintiffs complaint. On the

evidence presented
IT IS ADJUDGED that:

1. Plaintiff, _________ (name and address) _________, has the right
against defendant, _________ (name and address, and last 4 digits of social
security number if known) _________, to retain possession of the following
described property:

(list the property and include a value for each item)
2. Plaintiff shall recover from defendant the sum of $ _________ as

damages for the detention of the property and the sum of $ _________ as
costs, making a total of $ _________, which shall bear interest at the rate of
_________% per year, for which let execution issue.



ORDERED at _________, Florida, on _________ (date)
_________

NOTE: This form applies when the plaintiff has recovered
possession under a writ of replevin and prevailed on the merits.
Pursuant to section 78.18, Florida Statutes (1995), paragraph 2 of
the form provides that the plaintiff can also recover damages for
the wrongful taking and detention of the property, together with
costs. Generally these damages are awarded in the form of
interest unless loss of use can be proven. Ocala Foundry &
Machine Works v. Lester, 49 Fla. 199, 38 So. 51 (1905).

If the defendant has possession of part of the property, see
form 1.995(b).
(b) Judgment in Favor of Plaintiff when Defendant Has Possession.

FINAL JUDGMENT OF REPLEVIN
This matter was heard on plaintiffs complaint. On the

evidence presented
IT IS ADJUDGED that:

1. Plaintiff, _________ (name and address) _________, has the right
against defendant, _________ (name and address, and last 4 digits of social
security number if known) _________, to possession of the following
described property:

(list the property and include a value for each item)
for which the clerk of the court shall issue a writ of possession; or

2. Plaintiff shall recover from defendant [if applicable add and surety on
the forthcoming bond] the sum of $ _________ for the value of the property,
which shall bear interest at the rate of _________% per year, for which let
execution issue.

3. Plaintiff shall recover from defendant the sum of $ _________ as



damages for the detention of the property and the sum of $ _________ as
costs, making a total of $ _________, which shall bear interest at the rate of
_________% per year, for which let execution issue.

ORDERED at _________, Florida, on _________ (date)
_________

NOTE: This form applies when the plaintiff prevails on the
merits and the defendant retains possession of the property.
Section 78.19, Florida Statutes (1995), allows the plaintiff to
recover the property or its value or the value of the plaintiffs
lien or special interest. The value for purposes of paragraph 2 is
either the value of the property or the value of the plaintiffs lien
or special interest.

Paragraph 3 of the form provides for damages for detention
only against the defendant because the defendants surety
obligates itself only to ensure forthcoming of the property, not
damages for its detention.

Pursuant to section 78.19(2), Florida Statutes, paragraphs 1
and 2 of the form provide the plaintiff the option of obtaining
either a writ of possession or execution against the defendant and
defendants surety on a money judgment for property not
recovered. Demetree v. Stramondo, 621 So. 2d 740 (Fla. 5th
DCA 1993). If the plaintiff elects the writ of possession for the
property and the sheriff is unable to find it or part of it, the
plaintiff may immediately have execution against the defendant
for the whole amount recovered or the amount less the value of
the property found by the sheriff. If the plaintiff elects execution
for the whole amount, the officer shall release all property taken
under the writ.



If the plaintiff has possession of part of the property, see form
1.995(a).
(c) Judgment in Favor of Defendant when Defendant Has Possession

under Forthcoming Bond.
FINAL JUDGMENT OF REPLEVIN

This matter was heard on plaintiffs complaint. On the
evidence presented

IT IS ADJUDGED that:
1. Defendant, _________ (name and address) _________, has the right

against plaintiff, _________ (name and address, and last 4 digits of social
security number if known) _________, to possession of the following
described property:

(list the property and include a value for each item)
2. Defendant retook possession of all or part of the property under a

forthcoming bond, and defendants attorney has reasonably expended
_________ hours in representing defendant in this action and $ _________ is
a reasonable hourly rate for the services.

3. Defendant shall recover from plaintiff the sum of $ _________ for the
wrongful taking of the property, costs in the sum of $ _________, and
attorneys fees in the sum of $ _________, making a total of $ _________,
which shall bear interest at the rate of _________% per year, for which let
execution issue.

ORDERED at _________, Florida, on _________ (date)
_________

NOTE: This form applies when the defendant prevails and the
property was retained by or redelivered to the defendant. Section
78.20, Florida Statutes (1995), provides for an award of
attorneys fees. The prevailing defendant may be awarded
possession, damages, if any, for the taking of the property, costs,



and attorneys fees.
If the plaintiff has possession of part of the property, see form

1.995(d).
(d) Judgment in Favor of Defendant when Plaintiff Has Possession.

FINAL JUDGMENT OF REPLEVIN
This matter was heard on plaintiffs complaint. On the

evidence presented
IT IS ADJUDGED that:

1. Defendant, _________ (name and address) _________, has the right
against plaintiff, _________ (name and address, and last four digits of social
security number if known) _________, to recover possession of the following
described property:

(list the property and include a value for each item)
for which the clerk of the court shall issue a writ of

possession; or
2. Defendant shall recover from plaintiff [if applicable add and surety on

plaintiffs bond] the sum of $ _________ for the value of the property,
which shall bear interest at the rate of _________% per year, for which let
execution issue.

3. Defendant shall recover from plaintiff the sum of $ _________ as
damages for detention of the property and the sum of $ _________ as costs,
making a total of $ _________, which shall bear interest at the rate of
_________% per year, for which let execution issue.

ORDERED at _________, Florida, on _________ (date)
_________

NOTE: This form should be used when the defendant prevails
but the plaintiff has possession of the property. Section 78.21,



Florida Statutes (1995), does not provide for an award of
attorneys fees when the defendant prevails and possession had
been temporarily retaken by the plaintiff. Sections 78.21 and
78.19 allow the defendant to recover the property or its value or
the value of the defendants special interest.

Paragraphs 1 and 2 of the form provide to the defendant the
option of obtaining either a writ of possession or execution
against the plaintiff and plaintiffs surety on a money judgment
for property not recovered and costs. Demetree v. Stramondo,
621 So. 2d 740 (Fla. 5th DCA 1993). If the defendant elects the
writ of possession for the property and the sheriff is unable to
find it or part of it, the defendant may immediately have
execution against the plaintiff and surety for the whole amount
recovered or the amount less the value of the property found by
the sheriff. If the defendant elects execution for the whole
amount, the officer shall release all property taken under the
writ.

If the defendant has possession of part of the property, see
form 1.995(c).



 FORM 1.996(A). 
Fla. R. Civ. P. Form 1.996(a)

FORM 1.996(A). FINAL JUDGMENT OF FORECLOSURE.
FINAL JUDGMENT

IT IS ADJUDGED that:
1. Amounts Due. Plaintiff, ... (name and address) ..., is due

That shall bear interest at a rate of 7% per year.
2. Lien on Property. Plaintiff holds a lien for the total sum superior to

all claims or estates of defendant(s), on the following described property in
........ County, Florida:

(describe property)
3. Sale of Property. If the total sum with interest at the rate described in

paragraph 1 and all costs accrued subsequent to this judgment are not paid,
the clerk of this court shall sell the property at public sale on ........ (date)
........, to the highest bidder for cash, except as prescribed in paragraph 4, at
the courthouse located at ... (street address of courthouse) ... in ........
County in ... (name of city) ..., Florida, in accordance with section 45.031,
Florida Statutes, using the following method (CHECK ONE):
... At ...(location of sale at courthouse; e.g., north door) ..., beginning at ...

(time of sale) ... on the prescribed date.
... By electronic sale beginning at ...(time of sale)... on the prescribed date

at ...(website)...



4. Costs. Plaintiff shall advance all subsequent costs of this action and
shall be reimbursed for them by the clerk if plaintiff is not the purchaser of
the property for sale, provided, however, that the purchaser of the property
for sale shall be responsible for the documentary stamps payable on the
certificate of title. If plaintiff is the purchaser, the clerk shall credit
plaintiffs bid with the total sum with interest and costs accruing
subsequent to this judgment, or such part of it as is necessary to pay the bid
in full.

5. Distribution of Proceeds. On filing the certificate of title the clerk
shall distribute the proceeds of the sale, so far as they are sufficient, by
paying: first, all of plaintiffs costs; second, documentary stamps affixed to
the certificate; third, plaintiffs attorneys fees; fourth, the total sum due to
plaintiff, less the items paid, plus interest at the rate prescribed in
paragraph 1 from this date to the date of the sale; and by retaining any
remaining amount pending further order of this court.

6. Right of Redemption/Right of Possession. On filing the certificate
of sale, defendant(s) and all persons claiming under or against defendant(s)
since the filing of the notice of lis pendens shall be foreclosed of all estate
or claim in the property and defendants right of redemption as prescribed
by section 45.0315, Florida Statutes shall be terminated, except as to
claims or rights under chapter 718 or chapter 720, Florida Statutes, if any.
Upon the filing of the certificate of title, the person named on the
certificate of title shall be let into possession of the property, subject to the
rights of a tenant occupying residential premises pursuant to section
83.561, Florida Statutes.

7. Attorneys Fees.
[If a default judgment has been entered against the mortgagor]
Because a default judgment has been entered against the mortgagor and

because the fees requested do not exceed 3% of the principal amount owed at
the time the complaint was filed, it is not necessary for the court to hold a
hearing or adjudge the requested attorneys fees to be reasonable.

[If no default judgment has been entered against the mortgagor]
The court finds, based upon the affidavits estimony presented and upon

inquiry of counsel for the plaintiff that ... hours were reasonably expended by



plaintiffs counsel and that an hourly rate of $... is appropriate. Plaintiffs
counsel represents that the attorneys fees awarded does not exceed its
contract fee with the plaintiff. The court finds that there is/are no reduction or
enhancement factors for consideration by the court pursuant to Florida
Patients Compensation Fund v. Rowe, 472 So. 2d 1145 (Fla. 1985). (If the
court has found that there are reduction or enhancement factors to be applied,
then such factors must be identified and explained herein).

[If the fees to be awarded are a flat fee]
The requested attorneys fees are a flat rate fee that the firms client has

agreed to pay in this matter. Given the amount of the fee requested and the
labor expended, the court finds that a lodestar analysis is not necessary and
that the flat fee is reasonable.

8. Jurisdiction Retained. Jurisdiction of this action is retained to enter
further orders that are proper including, without limitation, a deficiency
judgment.
IF THIS PROPERTY IS SOLD AT PUBLIC AUCTION, THERE

MAY BE ADDITIONAL MONEY FROM THE SALE AFTER
PAYMENT OF PERSONS WHO ARE ENTITLED TO BE PAID
FROM THE SALE PROCEEDS PURSUANT TO THE FINAL
JUDGMENT.

IF YOU ARE A SUBORDINATE LIENHOLDER CLAIMING A
RIGHT TO FUNDS REMAINING AFTER THE SALE, YOU MUST
FILE A CLAIM WITH THE CLERK NO LATER THAN 60 DAYS
AFTER THE SALE. IF YOU FAIL TO FILE A CLAIM, YOU WILL
NOT BE ENTITLED TO ANY REMAINING FUNDS.

[If the property being foreclosed on has qualified for the homestead tax
exemption in the most recent approved tax roll, the final judgment shall
additionally contain the following statement in conspicuous type:]

IF YOU ARE THE PROPERTY OWNER, YOU MAY CLAIM
THESE FUNDS YOURSELF. YOU ARE NOT REQUIRED TO HAVE
A LAWYER OR ANY OTHER REPRESENTATION AND YOU DO
NOT HAVE TO ASSIGN YOUR RIGHTS TO ANYONE ELSE IN
ORDER FOR YOU TO CLAIM ANY MONEY TO WHICH YOU ARE
ENTITLED. PLEASE CONTACT THE CLERK OF THE COURT,



(INSERT INFORMATION FOR APPLICABLE COURT) WITHIN 10
DAYS AFTER THE SALE TO SEE IF THERE IS ADDITIONAL
MONEY FROM THE FORECLOSURE SALE THAT THE CLERK
HAS IN THE REGISTRY OF THE COURT.

IF YOU DECIDE TO SELL YOUR HOME OR HIRE SOMEONE
TO HELP YOU CLAIM THE ADDITIONAL MONEY, YOU SHOULD
READ VERY CAREFULLY ALL PAPERS YOU ARE REQUIRED TO
SIGN, ASK SOMEONE ELSE, PREFERABLY AN ATTORNEY WHO
IS NOT RELATED TO THE PERSON OFFERING TO HELP YOU,
TO MAKE SURE THAT YOU UNDERSTAND WHAT YOU ARE
SIGNING AND THAT YOU ARE NOT TRANSFERRING YOUR
PROPERTY OR THE EQUITY IN YOUR PROPERTY WITHOUT
THE PROPER INFORMATION. IF YOU CANNOT AFFORD TO PAY
AN ATTORNEY, YOU MAY CONTACT (INSERT LOCAL OR
NEAREST LEGAL AID OFFICE AND TELEPHONE NUMBER) TO SEE
IF YOU QUALIFY FINANCIALLY FOR THEIR SERVICES. IF
THEY CANNOT ASSIST YOU, THEY MAY BE ABLE TO REFER
YOU TO A LOCAL BAR REFERRAL AGENCY OR SUGGEST
OTHER OPTIONS. IF YOU CHOOSE TO CONTACT (NAME OF
LOCAL OR NEAREST LEGAL AID OFFICE AND TELEPHONE
NUMBER) FOR ASSISTANCE, YOU SHOULD DO SO AS SOON AS
POSSIBLE AFTER RECEIPT OF THIS NOTICE.

ORDERED at ........, Florida, on ...(date)....

NOTE: Paragraph 1 must be varied in accordance with the items unpaid,
claimed, and proven. The form does not provide for an adjudication of junior
lienors claims nor for redemption by the United States of America if it is a
defendant. The address of the person who claims a lien as a result of the
judgment must be included in the judgment in order for the judgment to
become a lien on real estate when a certified copy of the judgment is
recorded. Alternatively, an affidavit with this information may be
simultaneously recorded. For the specific requirements, see section 55.10(1),
Florida Statutes; Hott Interiors, Inc. v. Fostock, 721 So. 2d 1236 (Fla. 4th
DCA 1998).



COMMITTEE NOTES

1980 Amendment. The reference to writs of assistance in paragraph 7 is
changed to writs of possession to comply with the consolidation of the 2
writs.

2010 Amendment. Mandatory statements of the mortgagee/property
owners rights are included as required by the 2006 amendment to section
45.031, Florida Statutes. Changes are also made based on 2008 amendments
to section 45.031, Florida Statutes, permitting courts to order sale by
electronic means.

Additional changes were made to bring the form into compliance with
chapters 718 and 720 and section 45.0315, Florida Statutes, and to better
align the form with existing practices of clerks and practitioners. The
breakdown of the amounts due is now set out in column format to simplify
calculations. The requirement that the form include the address and social
security number of all defendants was eliminated to protect the privacy
interests of those defendants and in recognition of the fact that this form of
judgment does not create a personal final money judgment against the
defendant borrower, but rather an in rem judgment against the property. The
address and social security number of the defendant borrower should be
included in any deficiency judgment later obtained against the defendant
borrower.

2014 Amendment. These amendments added titles, updated statutory
reference to time for right of redemption, and added a paragraph on
attorneys fees.

2019 Amendment. An amendment to paragraph 6 is intended to notify all
involved in mortgage foreclosure proceedings of section 83.561, Florida
Statute (2015), Termination of Rental Agreement upon Foreclosure, by
adding language from the statute.



 FORM 1.996(B). 
Fla. R. Civ. P. Form 1.996(b)

FORM 1.996(B). FINAL JUDGMENT OF FORECLOSURE FOR
REESTABLISHMENT OF LOST NOTE.

FINAL JUDGMENT
This action was tried before the court. On the evidence presented
IT IS ADJUDGED that:

1. Amounts Due. Plaintiff, ...(name and address)..., is due

2. Lien on Property. Plaintiff holds a lien for the total sum superior to
all claims or estates of defendant(s), on the following described property
........ County, Florida:

(describe property)
3. Sale of Property. If the total sum with interest at the rate described in

paragraph 1 and all costs accrued subsequent to this judgment are not paid,
the clerk of this court shall sell the property at public sale on ........ (date)
........, to the highest bidder for cash, except as prescribed in paragraph 4, at
the courthouse located at ...(street address of courthouse)... in ........ County
in ...(name of city)..., Florida, in accordance with section 45.031, Florida
Statutes, using the following method (CHECK ONE):
... At ...(location of sale at courthouse; e.g., north door)..., beginning at ...

(time of sale)... on the prescribed date.
...By electronic sale beginning at ...(time of sale)... on the prescribed date

at ...(website)...



4. Costs. Plaintiff shall advance all subsequent costs of this action and
shall be reimbursed for them by the clerk if plaintiff is not the purchaser of
the property for sale, provided, however, that the purchaser of the property
for sale shall be responsible for the documentary stamps payable on the
certificate of title. If plaintiff is the purchaser, the clerk shall credit
plaintiffs bid with the total sum with interest and costs accruing
subsequent to this judgment, or such part of it as is necessary to pay the bid
in full.

5. Distribution of Proceeds. On filing the certificate of title the clerk
shall distribute the proceeds of the sale, so far as they are sufficient, by
paying: first, all of plaintiffs costs; second, documentary stamps affixed to
the certificate; third, plaintiffs attorneys fees; fourth, the total sum due to
plaintiff, less the items paid, plus interest at the rate prescribed in
paragraph 1 from this date to the date of the sale; and by retaining any
remaining amount pending further order of this court.

6. Right of Redemption/Right of Possession. On filing the certificate
of sale, defendant(s) and all persons claiming under or against defendant(s)
since the filing of the notice of lis pendens shall be foreclosed of all estate
or claim in the property and defendants right of redemption as prescribed
by section 45.0315, Florida Statutes shall be terminated, except as to
claims or rights under chapter 718 or chapter 720, Florida Statutes, if any.
Upon the filing of the certificate of title, the person named on the
certificate of title shall be let into possession of the property, subject to the
rights of a tenant occupying residential premises pursuant to section
83.561, Florida Statutes.

7. Attorneys Fees.
[If a default judgment has been entered against the mortgagor]
Because a default judgment has been entered against the mortgagor and

because the fees requested do not exceed 3 percent of the principal amount
owed at the time the complaint was filed, it is not necessary for the Court to
hold a hearing or adjudge the requested attorneys fees to be reasonable.

[If no default judgment has been entered against the mortgagor]
The Court finds, based upon the affidavits estimony presented and upon

inquiry of counsel for the Plaintiff that ... hours were reasonably expended by



Plaintiffs counsel and that an hourly rate of $.... is appropriate. Plaintiffs
counsel represents that the attorney fee awarded does not exceed its contract
fee with the plaintiff. The Court finds that there are no reduction or
enhancement factors for consideration by the court pursuant to Florida
Patients Compensation Fund v. Rowe, 472 So. 2d 1145 (Fla. 1985). (If the
Court has found that there are reduction or enhancement factors to be applied,
then such factors must be identified and explained herein).

[If the fees to be awarded are a flat fee]
The requested attorneys fees are a flat rate fee that the firms client has

agreed to pay in this matter. Given the amount of the fee requested and the
labor expended, the Court finds that a lodestar analysis is not necessary and
that the flat fee is reasonable.

8. Re-establishment of Lost Note. The court finds that the plaintiff has
re-established the terms of the lost note and established its right to enforce
the instrument as required by law. Plaintiff shall hold the defendant(s)
maker of the note harmless and shall indemnify defendant(s) for any loss
Defendant(s) may incur by reason of a claim by any other person to
enforce the lost note. Adequate protection has been provided as required
by law by the following means: ...(Identify means of security per
applicable law: a written indemnification agreement, a surety bond, include
specific detail)....
Judgment is hereby entered in favor of the plaintiff as to its request to

enforce the lost note.
9. Jurisdiction Retained. Jurisdiction of this action is retained to

enforce the adequate protection ordered and to enter further orders that are
proper including, without limitation, a deficiency judgment.
IF THIS PROPERTY IS SOLD AT PUBLIC AUCTION, THERE

MAY BE ADDITIONAL MONEY FROM THE SALE AFTER
PAYMENT OF PERSONS WHO ARE ENTITLED TO BE PAID
FROM THE SALE PROCEEDS PURSUANT TO THE FINAL
JUDGMENT.

IF YOU ARE A SUBORDINATE LIENHOLDER CLAIMING A
RIGHT TO FUNDS REMAINING AFTER THE SALE, YOU MUST
FILE A CLAIM WITH THE CLERK NO LATER THAN 60 DAYS



AFTER THE SALE. IF YOU FAIL TO FILE A CLAIM, YOU WILL
NOT BE ENTITLED TO ANY REMAINING FUNDS.

[If the property being foreclosed on has qualified for the homestead tax
exemption in the most recent approved tax roll, the final judgment shall
additionally contain the following statement in conspicuous type:]

IF YOU ARE THE PROPERTY OWNER, YOU MAY CLAIM
THESE FUNDS YOURSELF. YOU ARE NOT REQUIRED TO HAVE
A LAWYER OR ANY OTHER REPRESENTATION AND YOU DO
NOT HAVE TO ASSIGN YOUR RIGHTS TO ANYONE ELSE IN
ORDER FOR YOU TO CLAIM ANY MONEY TO WHICH YOU ARE
ENTITLED. PLEASE CHECK WITH THE CLERK OF THE COURT,
(INSERT INFORMATION FOR APPLICABLE COURT) WITHIN 10
DAYS AFTER THE SALE TO SEE IF THERE IS ADDITIONAL
MONEY FROM THE FORECLOSURE SALE THAT THE CLERK
HAS IN THE REGISTRY OF THE COURT.

IF YOU DECIDE TO SELL YOUR HOME OR HIRE SOMEONE
TO HELP YOU CLAIM THE ADDITIONAL MONEY, YOU SHOULD
READ VERY CAREFULLY ALL PAPERS YOU ARE REQUIRED TO
SIGN, ASK SOMEONE ELSE, PREFERABLY AN ATTORNEY WHO
IS NOT RELATED TO THE PERSON OFFERING TO HELP YOU,
TO MAKE SURE THAT YOU UNDERSTAND WHAT YOU ARE
SIGNING AND THAT YOU ARE NOT TRANSFERRING YOUR
PROPERTY OR THE EQUITY IN YOUR PROPERTY WITHOUT
THE PROPER INFORMATION. IF YOU CANNOT AFFORD TO PAY
AN ATTORNEY, YOU MAY CONTACT (INSERT LOCAL OR
NEAREST LEGAL AID OFFICE AND TELEPHONE NUMBER) TO SEE
IF YOU QUALIFY FINANCIALLY FOR THEIR SERVICES. IF
THEY CANNOT ASSIST YOU, THEY MAY BE ABLE TO REFER
YOU TO A LOCAL BAR REFERRAL AGENCY OR SUGGEST
OTHER OPTIONS. IF YOU CHOOSE TO CONTACT (NAME OF
LOCAL OR NEAREST LEGAL AID OFFICE AND TELEPHONE
NUMBER) FOR ASSISTANCE, YOU SHOULD DO SO AS SOON AS
POSSIBLE AFTER RECEIPT OF THIS NOTICE.

ORDERED at ........, Florida, on ...(date)....



NOTE: Paragraph 1 must be varied in accordance with the items unpaid,
claimed, and proven. The form does not provide for an adjudication of junior
lienors claims or for redemption by the United States of America if it is a
defendant. The address of the person who claims a lien as a result of the
judgment must be included in the judgment in order for the judgment to
become a lien on real estate when a certified copy of the judgment is
recorded. Alternatively, an affidavit with this information may be
simultaneously recorded. For the specific requirements, see section 55.10(1),
Florida Statutes; Hott Interiors, Inc. v. Fostock, 721 So. 2d 1236 (Fla. 4th
DCA 1998).

COMMITTEE NOTES

2014 Amendment. This new form is to be used when the foreclosure
judgment re-establishes a lost note.

2019 Amendment. The amendment to paragraph 6 is intended to notify all
involved in mortgage foreclosure proceedings of section 83.561, Florida
Statutes (2015), Termination of Rental Agreement upon Foreclosure, by
adding language from the statute.



 FORM 1.996(C). 
Fla. R. Civ. P. Form 1.996(c)

FORM 1.996(C). MOTION TO CANCEL AND RESCHEDULE
FORECLOSURE SALE.

Plaintiff moves to cancel and reschedule the mortgage foreclosure sale
because:

1. On ...(date)... this court entered a Final Judgment of Foreclosure
pursuant to which a foreclosure sale was scheduled for ...(date)....

2. The sale needs to be canceled for the following reason(s):
a. ... Plaintiff and defendant are continuing to be involved in loss

mitigation;
b. ... Defendant is negotiating for the sale of the property that is the subject

of this matter and plaintiff wants to allow the defendant an opportunity to sell
the property and pay off the debt that is due and owing to plaintiff.

c. ... Defendant has entered into a contract to sell the property that is the
subject of this matter and plaintiff wants to give the defendant an opportunity
to consummate the sale and pay off the debt that is due and owing to plaintiff.

d. ... Defendant has filed a Chapter .... Petition under the Federal
Bankruptcy Code;

e. ... Plaintiff has ordered but has not received a statement of
value/appraisal for the property;

f. ... Plaintiff and defendant have entered into a Forbearance Agreement;
g. Other
.....................................
.....................................
.....................................
3. If this Court cancels the foreclosure sale, plaintiff moves that it be

rescheduled.
I hereby certify that a copy of the foregoing motion has been furnished by

...(method of service)... to ...(name(s))... on ...(date)....



NOTE. This form is used to move the court to cancel and reschedule a
foreclosure sale.



 FORM 1.997. 
Fla. R. Civ. P. Form 1.997

FORM 1.997. CIVIL COVER SHEET.
The civil cover sheet and the information contained in it neither replace nor
supplement the filing and service of pleadings or other documents as
required by law. This form must be filed by the plaintiff or petitioner with
the Clerk of Court for the purpose of reporting uniform data pursuant to
section 25.075, Florida Statutes. (See instructions for completion.)

I. CASE STYLE

II. AMOUNT OF CLAIM Please indicate the estimated amount of the
claim, rounded to the nearest dollar. The estimated amount of the claim is
requested for data collection and clerical processing purposes only. The
amount of the claim shall not be used for any other purpose.
. $8,000 or less
. $8,001 - $30,000
. $30,001- $50,000
. $50,001- $75,000
. $75,001 - $100,000
. over $100,000.00
III. TYPE OF CASE (If the case fits more than one type of case, select
the most definitive category.) If the most descriptive label is a
subcategory (is indented under a broader category), place an x on both
the main category and subcategory lines.

CIRCUIT CIVIL



CIRCUIT CIVIL



IX. DOES THIS CASE INVOLVE ALLEGATIONS OF SEXUAL
ABUSE?

. yes

. no
I CERTIFY that the information I have provided in this cover sheet is
accurate to the best of my knowledge and belief, and that I have read and will
comply with the requirements of Florida Rule of General Practice and
Judicial Administration 2.425.

Form 1.997. Instructions for Attorneys Completing Civil
Cover Sheet



Plaintiff must file this cover sheet with the first document filed
in the action or proceeding (except small claims cases, probate,
or family cases). Domestic and juvenile cases should be
accompanied by a completed Florida Family Law Rules of
Procedure Form 12.928, Cover Sheet for Family Court Cases.
Failure to file a civil cover sheet in any civil case other than
those excepted above may result in sanctions.

I. Case Style. Enter the name of the court, the appropriate
case number assigned at the time of filing of the original
complaint or petition, the name of the judge assigned (if
applicable), and the name (last, first, middle initial) of plaintiff(s)
and defendant(s).

II. Amount of Claim. Enter the estimated amount of the
claim, rounded to the nearest dollar. The estimated amount of the
claim is requested for data collection and clerical processing
purposes only. The amount of the claim shall not be used for any
other purpose.

III. Type of Case. Place an X on the appropriate line. If the
cause fits more than one type of case, select the most definitive.
If the most definitive label is a subcategory (indented under a
broader category label), place an X on the category and
subcategory lines. Definitions of the cases are provided below in
the order they appear on the form.

Circuit Civil
(A) Condominium  all civil lawsuits pursuant to Chapter 718, Florida

Statutes, in which a condominium association is a party.
(B) Contracts and indebtedness  all contract actions relating to

promissory notes and other debts, including those arising from the sale of
goods, but excluding contract disputes involving condominium associations.

(C) Eminent domain  all matters relating to the taking of private property



for public use, including inverse condemnation by state agencies, political
subdivisions, or public service corporations.

(D) Auto negligence  all matters arising out of a partys allegedly
negligent operation of a motor vehicle.

(E) Negligence  other  all actions sounding in negligence, including
statutory claims for relief on account of death or injury, that are not included
in other main categories.

(F) Business governance  all matters relating to the management,
administration, or control of a company.

(G) Business torts  all matters relating to liability for economic loss
allegedly caused by interference with economic or business relationships.

(H) Environmental/Toxic tort  all matters relating to claims that
violations of environmental regulatory provisions or exposure to a chemical
caused injury or disease.

(I) Third party indemnification  all matters relating to liability
transferred to a third party in a financial relationship.

(J) Construction defect  all civil lawsuits in which damage or injury was
allegedly caused by defects in the construction of a structure.

(K) Mass tort  all matters relating to a civil action involving numerous
plaintiffs against one or more defendants.

(L) Negligent security  all matters involving injury to a person or
property allegedly resulting from insufficient security.

(M) Nursing home negligence  all matters involving injury to a nursing
home resident resulting from negligence of nursing home staff or facilities.

(N) Premises liability  commercial  all matters involving injury to a
person or property allegedly resulting from a defect on the premises of a
commercial property.

(O) Premises liability  residential  all matters involving injury to a
person or property allegedly resulting from a defect on the premises of a
residential property.

(P) Products liability  all matters involving injury to a person or property



allegedly resulting from the manufacture or sale of a defective product or
from a failure to warn.

(Q) Real property/Mortgage foreclosure  all matters relating to the
possession, title, or boundaries of real property. All matters involving
foreclosures or sales of real property, including foreclosures associated with
condominium associations or condominium units.

(R) Commercial foreclosure  all matters relating to the termination of a
business owners interest in commercial property by a lender to gain title or
force a sale to satisfy the unpaid debt secured by the property.

(S) Homestead residential foreclosure  all matters relating to the
termination of a residential property owners interest by a lender to gain title
or force a sale to satisfy the unpaid debt secured by the property where the
property has been granted a homestead exemption.

(T) Nonhomestead residential foreclosure  all matters relating to the
termination of a residential property owners interest by a lender to gain title
or force a sale to satisfy the unpaid debt secured by the property where the
property has not been granted a homestead exemption.

(U) Other real property actions  all matters relating to land, land
improvements, or property rights not involving commercial or residential
foreclosure.

(V) Professional malpractice  all professional malpractice lawsuits.
(W) Malpractice  business  all matters relating to a businesss or

business persons failure to exercise the degree of care and skill that someone
in the same line of work would use under similar circumstances.

(X) Malpractice  medical  all matters relating to a doctors failure to
exercise the degree of care and skill that a physician or surgeon of the same
medical specialty would use under similar circumstances.

(Y) Malpractice  other professional  all matters relating to negligence
of those other than medical or business professionals.

(Z) Other  all civil matters not included in other categories.
(AA) Antitrust/Trade regulation  all matters relating to unfair methods of

competition or unfair or deceptive business acts or practices.



(AB) Business transactions  all matters relating to actions that affect
financial or economic interests.

(AC) Constitutional challenge  statute or ordinance  a challenge to a
statute or ordinance, citing a violation of the Florida Constitution.

(AD) Constitutional challenge  proposed amendment  a challenge to a
legislatively initiated proposed constitutional amendment, but excluding
challenges to a citizen-initiated proposed constitutional amendment because
the Florida Supreme Court has direct jurisdiction of such challenges.

(AE) Corporate trusts  all matters relating to the business activities of
financial services companies or banks acting in a fiduciary capacity for
investors.

(AF) Discrimination  employment or other  all matters relating to
discrimination, including employment, sex, race, age, handicap, harassment,
retaliation, or wages.

(AG) Insurance claims  all matters relating to claims filed with an
insurance company.

(AH) Intellectual property  all matters relating to intangible rights
protecting commercially valuable products of the human intellect.

(AI) Libel/Slander  all matters relating to written, visual, oral, or aural
defamation of character.

(AJ) Shareholder derivative action  all matters relating to actions by a
corporations shareholders to protect and benefit all shareholders against
corporate management for improper management.

(AK) Securities litigation  all matters relating to the financial interest or
instruments of a company or corporation.

(AL) Trade secrets  all matters relating to a formula, process, device, or
other business information that is kept confidential to maintain an advantage
over competitors.

(AM) Trust litigation  all civil matters involving guardianships, estates,
or trusts and not appropriately filed in probate proceedings.

County Civil



(AN) Civil  all matters involving claims ranging from $8,001 through
$30,000 in damages, exclusive of interest, costs, and attorney fees.

(AO) Real property/Mortgage foreclosureall matters involving claims up
to $30,000 relating to the possession, title, or boundaries of real property. All
matters involving foreclosures or sales of real property up to $30,000,
including foreclosures associated with condominium associations or
condominium units.

(AP) Replevinsall lawsuits pursuant to Chapter 78, Florida Statutes,
involving claims up to $30,000.

(AQ) Evictionsall matters involving the recovery of possession of leased
land or rental property by process of law.

(AR) Other civil (non-monetary)includes all other non-monetary county
civil matters that were not described in other county civil categories.

IV. Remedies Sought. Place an X on the appropriate line. If
more than one remedy is sought in the complaint or petition,
check all that apply.

V. Number of Causes of Action. If the complaint or petition
alleges more than one cause of action, note the number and the
name of the cause of action.

VI. Class Action. Place an X on the appropriate line.
VII. Related Cases. Place an X on the appropriate line.
VIII. Is Jury Trial Demanded In Complaint? Check the

appropriate line to indicate whether a jury trial is being
demanded in the complaint

IX. Sexual Abuse. Place an X on the appropriate line.
    
ATTORNEY OR PARTY SIGNATURE. Sign the civil cover sheet. Print
legibly the name of the person signing the civil cover sheet. Attorneys must
include a Florida Bar number. Insert the date the civil cover sheet is signed.



Signature is a certification that the filer has provided accurate information on
the civil cover sheet, and has read and complied with the requirements of
Florida Rule of General Practice and Judicial Administration 2.425.



 FORM 1.998. 
Fla. R. Civ. P. Form 1.998

FORM 1.998. FINAL DISPOSITION FORM.
This form shall be filed by the prevailing party with the Clerk of Court for

the purpose of reporting uniform case data pursuant to Florida Statutes
section 25.075. (See instructions on the reverse of the form.)
I. CASE STYLE

II. AMOUNT OF FINAL JUDGMENT Please indicate the amount of the
final judgment, rounded to the nearest dollar. $___________
III. MEANS OF FINAL DISPOSITION (Place an x in one box for
major category and one subcategory, if applicable, only)

 Dismissed Before Hearing
 Dismissed Pursuant to Settlement  Before Hearing
 Dismissed Pursuant to Mediated Settlement  Before Hearing
 Other  Before Hearing
 Dismissed After Hearing
 Dismissed Pursuant to Settlement  After Hearing
 Dismissed Pursuant to Mediated Settlement  After Hearing
 Other After Hearing  After Hearing
 Disposed by Default
 Disposed by Judge
 Disposed by Non-jury Trial
 Disposed by Jury Trial
 Other



_____________________
DATE
_____________________
SIGNATURE OF ATTORNEY FOR PREVAILING PARTY

INSTRUCTIONS FOR ATTORNEYS COMPLETING FINAL
DISPOSITION FORM
I. Case Style. Enter the name of the court, the appropriate case number
assigned at the time of filing of the original complaint or petition, the name of
the judge assigned to the case and the names (last, first, middle initial) of
plaintiff(s) and defendant(s).
II. Amount of Final Judgment. Enter the amount as recorded in the final
judgment.
III. Means of Final Disposition. Place an x in the appropriate major
category box and in the appropriate subcategory box, if applicable. The
following are the definitions of the disposition categories.
(A) Dismissed Before Hearingthe case is settled, voluntarily dismissed, or
otherwise disposed of before a hearing is held;
(B) Dismissed Pursuant to Settlement  Before Hearingthe case is
voluntarily dismissed by the plaintiff after a settlement is reached without
mediation before a hearing is held;
(C) Dismissal Pursuant to Mediated Settlement  Before Hearingthe case
is voluntarily dismissed by the plaintiff after a settlement is reached with
mediation before a hearing is held;
(D) Other  Before Hearingthe case is dismissed before hearing in an
action that does not fall into one of the other disposition categories listed on
this form;
(E) Dismissed After Hearingthe case is dismissed by a judge, voluntarily
dismissed, or settled after a hearing is held;
(F) Dismissal Pursuant to SettlementAfter Hearingthe case is voluntarily
dismissed by the plaintiff after a settlement is reach without mediation after a
hearing is held;



(G) Dismissal Pursuant to Mediated SettlementAfter Hearingthe case is
voluntarily dismissed by the plaintiff after a settlement is reach with
mediation after a hearing is held;
(H) OtherAfter Hearingthe case is dismissed after hearing in an action
that does not fall into one of the other disposition categories listed on this
form;
(I) Disposed by Defaulta defendant chooses not to or fails to contest the
plaintiffs allegations and a judgment against the defendant is entered by the
court;
(J) Disposed by Judgea judgment or disposition is reached by the judge in
a case that is not dismissed and in which no trial has been held. Includes
stipulations by the parties, conditional judgments, summary judgment after
hearing and any matter in which a judgment is entered excluding cases
disposed of by default as in category (I) above;
(K) Disposed by Non-Jury Trialthe case is disposed as a result of a
contested trial in which there is no jury and in which the judge determines
both the issues of fact and law in the case;
(L) Disposed by Jury Trialthe case is disposed as a result of a jury trial
(consider the beginning of a jury trial to be when the jurors and alternates are
selected and sworn);
(M) Otherthe case is consolidated, submitted to arbitration or mediation,
transferred, or otherwise disposed of by other means not listed in categories
(A) through (L).

DATE AND ATTORNEY SIGNATURE. Date and sign the final
disposition form.



 FORM 1.999. 
Fla. R. Civ. P. Form 1.999

FORM 1.999. ORDER DESIGNATING A CASE COMPLEX.



 Appx I. 
Fla. R. Civ. P., Appx. I

APPENDIX I. STANDARD INTERROGATORIES FORMS
 Appx I. ,  FORM 1. 

Fla. R. Civ. P. Form 1

FORM 1. GENERAL PERSONAL INJURY NEGLIGENCE 
INTERROGATORIES TO PLAINTIFF.

(If answering for another person or entity, answer with respect to that
person or entity, unless otherwise stated.)

1. What is the name and address of the person answering these
interrogatories, and, if applicable, the persons official position or
relationship with the party to whom the interrogatories are directed?

2. List the names, business addresses, dates of employment, and rates of
pay regarding all employers, including self-employment, for whom you have
worked in the past 10 years.

3. List all former names and when you were known by those names. State
all addresses where you have lived for the past 10 years, the dates you lived
at each address, your Social Security number, your date of birth, and, if you
are or have ever been married, the name of your spouse or spouses.

4. Do you wear glasses, contact lenses, or hearing aids? If so, who
prescribed them, when were they prescribed, when were your eyes or ears
last examined, and what is the name and address of the examiner?

5. Have you ever been convicted of a crime, other than any juvenile
adjudication, which under the law under which you were convicted was
punishable by death or imprisonment in excess of 1 year, or that involved
dishonesty or a false statement regardless of the punishment? If so, state as to
each conviction the specific crime and the date and place of conviction.

6. Were you suffering from physical infirmity, disability, or sickness at the
time of the incident described in the complaint? If so, what was the nature of
the infirmity, disability, or sickness?

7. Did you consume any alcoholic beverages or take any drugs or
medications within 12 hours before the time of the incident described in the



complaint? If so, state the type and amount of alcoholic beverages, drugs, or
medication which were consumed, and when and where you consumed them.

8. Describe in detail how the incident described in the complaint happened,
including all actions taken by you to prevent the incident.

9. Describe in detail each act or omission on the part of any party to this
lawsuit that you contend constituted negligence that was a contributing legal
cause of the incident in question.

10. Were you charged with any violation of law (including any regulations
or ordinances) arising out of the incident described in the complaint? If so,
what was the nature of the charge; what plea or answer, if any, did you enter
to the charge; what court or agency heard the charge; was any written report
prepared by anyone regarding this charge, and, if so, what is the name and
address of the person or entity that prepared the report; do you have a copy of
the report; and was the testimony at any trial, hearing, or other proceeding on
the charge recorded in any manner, and, if so, what is the name and address
of the person who recorded the testimony?

11. Describe each injury for which you are claiming damages in this case,
specifying the part of your body that was injured, the nature of the injury,
and, as to any injuries you contend are permanent, the effects on you that you
claim are permanent.

12. List each item of expense or damage, other than loss of income or
earning capacity, that you claim to have incurred as a result of the incident
described in the complaint, giving for each item the date incurred, the name
and business address of the person or entity to whom each was paid or is
owed, and the goods or services for which each was incurred.

13. Do you contend that you have lost any income, benefits, or earning
capacity in the past or future as a result of the incident described in the
complaint? If so, state the nature of the income, benefits, or earning capacity,
and the amount and the method that you used in computing the amount.

14. Has anything been paid or is anything payable from any third party for
the damages listed in your answers to these interrogatories? If so, state the
amounts paid or payable, the name and business address of the person or
entity who paid or owes said amounts, and which of those third parties have
or claim a right of subrogation.



15. List the names and business addresses of each physician who has
treated or examined you, and each medical facility where you have received
any treatment or examination for the injuries for which you seek damages in
this case; and state as to each the date of treatment or examination and the
injury or condition for which you were examined or treated.

16. List the names and business addresses of all other physicians, medical
facilities, or other health care providers by whom or at which you have been
examined or treated in the past 10 years; and state as to each the dates of
examination or treatment and the condition or injury for which you were
examined or treated.

17. List the names and addresses of all persons who are believed or known
by you, your agents, or your attorneys to have any knowledge concerning any
of the issues in this lawsuit; and specify the subject matter about which the
witness has knowledge.

18. Have you heard or do you know about any statement or remark made
by or on behalf of any party to this lawsuit, other than yourself, concerning
any issue in this lawsuit? If so, state the name and address of each person
who made the statement or statements, the name and address of each person
who heard it, and the date, time, place, and substance of each statement.

19. State the name and address of every person known to you, your agents,
or your attorneys, who has knowledge about, or possession, custody, or
control of, any model, plat, map, drawing, audio recording, visual recording,
audiovisual recording, or photograph pertaining to any fact or issue involved
in this controversy; and describe as to each, what item such person has, the
name and address of the person who took or prepared it, and the date it was
taken or prepared.

20. Do you intend to call any expert witnesses at the trial of this case? If
so, state as to each such witness the name and business address of the
witness, the witnesss qualifications as an expert, the subject matter upon
which the witness is expected to testify, the substance of the facts and
opinions to which the witness is expected to testify, and a summary of the
grounds for each opinion.

21. Have you made an agreement with anyone that would limit that partys
liability to anyone for any of the damages sued upon in this case? If so, state



the terms of the agreement and the parties to it.
22. Please state if you have ever been a party, either plaintiff or defendant,

in a lawsuit other than the present matter, and, if so, state whether you were
plaintiff or defendant, the nature of the action, and the date and court in
which such suit was filed.



 Appx I. ,  FORM 2. 
Fla. R. Civ. P. Form 2

FORM 2. GENERAL PERSONAL INJURY NEGLIGENCE 
INTERROGATORIES TO DEFENDANT.

(If answering for another person or entity, answer with respect to that
person or entity, unless otherwise stated.)

1. What is the name and address of the person answering these
interrogatories, and, if applicable, the persons official position or
relationship with the party to whom the interrogatories are directed?

2. List all former names and when you were known by those names. State
all addresses where you have lived for the past 10 years, the dates you lived
at each address, your Social Security number, and your date of birth.

3. Have you ever been convicted of a crime, other than any juvenile
adjudication, which under the law under which you were convicted was
punishable by death or imprisonment in excess of 1 year, or that involved
dishonesty or a false statement regardless of the punishment? If so, state as to
each conviction the specific crime and the date and place of conviction.

4. Describe any and all policies of insurance which you contend cover or
may cover you for the allegations set forth in plaintiffs complaint, detailing
as to such policies the name of the insurer, the number of the policy, the
effective dates of the policy, the available limits of liability, and the name and
address of the custodian of the policy.

5. Describe in detail how the incident described in the complaint happened,
including all actions taken by you to prevent the incident.

6. Describe in detail each act or omission on the part of any party to this
lawsuit that you contend constituted negligence that was a contributing legal
cause of the incident in question.

7. State the facts upon which you rely for each affirmative defense in your
answer.

8. Do you contend any person or entity other than you is, or may be, liable
in whole or part for the claims asserted against you in this lawsuit? If so, state
the full name and address of each such person or entity, the legal basis for
your contention, the facts or evidence upon which your contention is based,



and whether or not you have notified each such person or entity of your
contention.

9. Were you charged with any violation of law (including any regulations
or ordinances) arising out of the incident described in the complaint? If so,
what was the nature of the charge; what plea or answer, if any, did you enter
to the charge; what court or agency heard the charge; was any written report
prepared by anyone regarding the charge, and, if so, what is the name and
address of the person or entity who prepared the report; do you have a copy
of the report; and was the testimony at any trial, hearing, or other proceeding
on the charge recorded in any manner, and, if so, what is the name and
address of the person who recorded the testimony?

10. List the names and addresses of all persons who are believed or known
by you, your agents, or your attorneys to have any knowledge concerning any
of the issues in this lawsuit; and specify the subject matter about which the
witness has knowledge.

11. Have you heard or do you know about any statement or remark made
by or on behalf of any party to this lawsuit, other than yourself, concerning
any issue in this lawsuit? If so, state the name and address of each person
who made the statement or statements, the name and address of each person
who heard it, and the date, time, place, and substance of each statement.

12. State the name and address of every person known to you, your agents,
or your attorneys who has knowledge about, or possession, custody, or
control of, any model, plat, map, drawing, audio recording, visual recording,
audiovisual recording, or photograph pertaining to any fact or issue involved
in this controversy; and describe as to each, what item such person has, the
name and address of the person who took or prepared it, and the date it was
taken or prepared.

13. Do you intend to call any expert witnesses at the trial of this case? If
so, state as to each such witness the name and business address of the
witness, the witnesss qualifications as an expert, the subject matter upon
which the witness is expected to testify, the substance of the facts and
opinions to which the witness is expected to testify, and a summary of the
grounds for each opinion.

14. Have you made an agreement with anyone that would limit that partys



liability to anyone for any of the damages sued upon in this case? If so, state
the terms of the agreement and the parties to it.

15. Please state if you have ever been a party, either plaintiff or defendant,
in a lawsuit other than the present matter, and, if so, state whether you were
plaintiff or defendant, the nature of the action, and the date and court in
which such suit was filed.



 Appx I. ,  FORM 3. 
Fla. R. Civ. P. Form 3

FORM 3. MEDICAL MALPRACTICE  INTERROGATORIES TO
PLAINTIFF.

(These interrogatories should be used in conjunction with the General
Personal Injury Negligence Interrogatories to Plaintiff.)

23. Do you contend that you have experienced any injury or illness as a
result of any negligence of this defendant? If so, state the date that each such
injury occurred, a description of how the injury was caused, and the exact
nature of each such injury.

24. What condition, symptom, or illness caused you to obtain medical care
and treatment from this defendant?

25. Do you claim this defendant neglected to inform or instruct or warn
you of any risk relating to your condition, care, or treatment? If so, state of
what, in your opinion, the defendant failed to inform, instruct, or warn you.

26. If you contend that you were not properly informed by this defendant
regarding the risk of the treatment or the procedure performed, state what
alternative treatment or procedure, if any, you would have undergone had you
been properly informed.

27. State the date and place and a description of each complaint for which
you contend the defendant refused to attend or treat you.

28. State the date you became aware of the injuries sued on in this action,
and describe in detail the circumstances under which you became aware of
each such injury; state the date you became aware that the injuries sued on in
this action were caused or may have been caused by medical negligence; and
describe in detail the circumstances under which you became aware of the
cause of said injuries.

29. State the name and address of every person or organization to whom
you have given notice of the occurrence sued on in this case because you,
your agents, or your attorneys believe that person or organization may be
liable in whole or in part to you.



 Appx I. ,  FORM 4. 
Fla. R. Civ. P. Form 4

FORM 4. MEDICAL MALPRACTICE  INTERROGATORIES TO
DEFENDANT.

(These interrogatories should be used in conjunction with the General
Personal Injury Negligence Interrogatories to Defendant.)

NOTE: When the word Plaintiff is mentioned, these interrogatories are
directed to be answered regarding (name of plaintiff/patient).

16. Please give us your entire educational background, starting with your
college education and chronologically indicating by date and place each
school, college, course of study, title of seminars, length of study, and honors
received by you up to the present time, including internships, residencies,
degrees received, licenses earned or revoked, medical specialty training,
board memberships, authorship of any books, articles, or texts, including the
names of those writings and their location in medical journals, awards or
honors received, and continuing medical education.

17. Please give us your entire professional background up to the present
time, including dates of employment or association, the names of all
physicians with whom you have practiced, the form of employment or
business relationship such as whether by partnership, corporation, or sole
proprietorship, and the dates of the relationships, including hospital staff
privileges and positions, and teaching experience.

18. With respect to your office library or usual place of work, give us the
name, author, name of publisher, and date of publication of every medical
book or article, journal, or medical text to which you had access, which deals
with the overall subject matter described in paragraph [whatever paragraph
number that concerns negligence] of the complaint. (In lieu of answering this
interrogatory you may allow plaintiffs counsel to inspect your library at a
reasonable time.)

19. If you believe there was any risk to the treatment you rendered to the
plaintiff, state the nature of all risks, including whether the risks were
communicated to the plaintiff; when, where, and in what manner they were
communicated; and whether any of the risks in fact occurred.

20. Tell us your experience in giving the kind of treatment or examination



that you rendered to the plaintiff before it was given to the plaintiff, giving us
such information as the approximate number of times you have given similar
treatment or examinations, where the prior treatment or examinations took
place, and the successful or unsuccessful nature of the outcome of that
treatment or those examinations.

21. Please identify, with sufficient particularity to formulate the basis of a
request to produce, all medical records of any kind of which you are aware
which deal with the medical treatment or examinations furnished to the
plaintiff at any time, whether by you or another person or persons.

22. Please state whether any claim for medical malpractice has ever been
made against you alleging facts relating to the same or similar subject matter
as this lawsuit, and, if so, state as to each such claim the names of the parties,
the claim number, the date of the alleged incident, the ultimate disposition of
the claim, and the name of your attorney, if any.



 Appx I. ,  FORM 5. 
Fla. R. Civ. P. Form 5

FORM 5. AUTOMOBILE NEGLIGENCE  INTERROGATORIES
TO PLAINTIFF.

(These interrogatories should be used in conjunction with the General
Personal Injury Negligence Interrogatories to Plaintiff.)

23. At the time of the incident described in the complaint, were you
wearing a seat belt? If not, please state why not; where you were seated in the
vehicle; and whether the vehicle was equipped with a seat belt that was
operational and available for your use.

24. Did any mechanical defect in the motor vehicle in which you were
riding at the time of the incident described in the complaint contribute to the
incident? If so, describe the nature of the defect and how it contributed to the
incident.



 Appx I. ,  FORM 6. 
Fla. R. Civ. P. Form 6

FORM 6. AUTOMOBILE NEGLIGENCE  INTERROGATORIES
TO DEFENDANT.

(These interrogatories should be used in conjunction with the General
Personal Injury Negligence Interrogatories to Defendant.)

16. Do you wear glasses, contact lenses, or hearing aids? If so, who
prescribed them, when were they prescribed, when were your eyes or ears
last examined, and what is the name and address of the examiner?

17. Were you suffering from physical infirmity, disability, or sickness at
the time of the incident described in the complaint? If so, what was the nature
of the infirmity, disability, or sickness?

18. Did you consume any alcoholic beverages or take any drugs or
medications within 12 hours before the time of the incident described in the
complaint? If so, state the type and amount of alcoholic beverages, drugs, or
medication which were consumed, and when and where you consumed them.

19. Did any mechanical defect in the motor vehicle in which you were
riding at the time of the incident described in the complaint contribute to the
incident? If so, describe the nature of the defect and how it contributed to the
incident.

20. List the name and address of all persons, corporations, or entities who
were registered title owners or who had ownership interest in, or right to
control, the motor vehicle that the defendant driver was driving at the time of
the incident described in the complaint; and describe both the nature of the
ownership interest or right to control the vehicle, and the vehicle itself,
including the make, model, year, and vehicle identification number

21. At the time of the incident described in the complaint, did the driver of
the vehicle described in your answer to the preceding interrogatory have
permission to drive the vehicle? If so, state the names and addresses of all
persons who have such permission.

22. At the time of the incident described in the complaint, was the
defendant driver engaged in any mission or activity for any other person or
entity, including any employer? If so, state the name and address of that



person or entity and the nature of the mission or activity.
23. Was the motor vehicle that the defendant driver was driving at the time

of the incident described in the complaint damaged in the incident, and, if so,
what was the cost to repair the damage?



 Appx II. 
Fla. R. Civ. P., Appx. II

APPENDIX II. STATEWIDE UNIFORM GUIDELINES FOR
TAXATION OF COSTS IN CIVIL ACTIONS

Purpose and Application. These guidelines are advisory only. The taxation
of costs in any particular proceeding is within the broad discretion of the trial
court. The trial court should exercise that discretion in a manner that is
consistent with the policy of reducing the overall costs of litigation and of
keeping such costs as low as justice will permit. With this goal in mind, the
trial court should consider and reward utilization of innovative technologies
by a party which subsequently minimizes costs and reduce the award when
use of innovative technologies that were not used would have resulted in
lowering costs. In addition, these guidelines are not intended to (1) limit the
amount of costs recoverable under a contract or statute, or (2) prejudice the
rights of any litigant objecting to an assessment of costs on the basis that the
assessment is contrary to applicable substantive law.

Burden of Proof. Under these guidelines, it is the burden of the moving
party to show that all requested costs were reasonably necessary either to
defend or prosecute the case at the time the activity precipitating the cost was
undertaken.

I. Litigation Costs That Should Be Taxed. A. Depositions. 1. The original
and one copy of the deposition and court reporters per diem for all
depositions.

2. The original and/or one copy of the electronic deposition, including
audiovisually recorded depositions, and the cost of the services of a
technician for electronic depositions used at trial.

3. Telephone toll and electronic conferencing charges for the conduct of
telephone and electronic depositions.

B. Documents and Exhibits. 1. The costs of copies of documents filed (in
lieu of actually cited) with the court, which are reasonably necessary to
assist the court in reaching a conclusion.

2. The costs of copies obtained in discovery, even if the copies were not
used at trial.



C. Expert Witnesses. 1. A reasonable fee for deposition and/or court
testimony, and the costs of preparation of any court ordered report.

D. Witnesses. 1. Costs of subpoena, witness fee, and service of witnesses
for deposition and/or trial.

E. Court Reporting Costs Other than for Depositions. 1. Reasonable court
reporters per diem for the reporting of evidentiary hearings, trial and post-
trial hearings.

F. Reasonable Charges Incurred for Requiring Special Magistrates,
Guardians Ad Litem, and Attorneys Ad Litem.

G. Filing Fees and Service of Process Fees.
II. Litigation Costs That May Be Taxed as Costs.
A. Mediation/Nonbinding Arbitration Fees and Expenses. 1. Costs of

mediation, including mediator fees.
2. Costs of court-ordered nonbinding arbitration, including arbitrator fees.
B. Reasonable Travel Expenses. 1. Reasonable travel expenses of expert

when traveling in excess of 100 miles from the experts principal place of
business (not to include the experts time).

2. Reasonable travel expenses of witnesses.
C. Electronic Discovery Expenses. 1. The cost of producing copies of

relevant electronic media in response to a discovery request.
2. The cost of converting electronically stored information to a reasonably

usable format in response to a discovery request that seeks production in such
format.

D. Testifying Expert Witnesses. 1. A reasonable fee for conducting
examinations, investigations, tests, and research and preparing reports.

2. A reasonable fee for testimony at court-ordered nonbinding arbitration.
3. A reasonable fee for preparing for deposition, court-ordered nonbinding

arbitration, and/or court testimony.
III. Litigation Costs That Should Not Be Taxed as Costs.
A. The Cost of Long Distance Telephone Calls with Witnesses, both



Expert and Non-Expert (including conferences concerning scheduling of
depositions or requesting witnesses to attend trial).

B. Any Expenses Relating to Consulting But Non-Testifying Experts.
C. Cost Incurred in Connection with Any Matter Which Was Not

Reasonably Calculated to Lead to the Discovery of Admissible Evidence.
D. Travel Time. 1. Travel time of attorney(s).
2. Travel time of expert(s).
E. Travel Expenses of Attorney(s).



INDEX TO FLORIDA RULES OF CIVIL PROCEDURE
________

A

ACCORD AND SATISFACTION DEFENSE, FORM FOR, 1.967.
ACCOUNT.
Account stated, complaint form for, 1.933.
Open account, complaint form for, 1.932.
ACTIONS.
Class, 1.2201.222.
Consolidation of, 1.270(a).
Dismissal, 1.420.
Failure to state cause of, 1.140(b).
Forms of action abolished, 1.110(a).
Instrument on which brought attached to pleadings, 1.130(a).
One form, 1.040.
Separate trials, 1.170(i), 1.270(b).
Setting for trial, 1.440(c).
Testimony perpetuated by, 1.290(c).
Transfer, 1.060.
When at issue, 1.440(a).
When commenced, 1.050.
ADA NOTICE, 1.9101.913, 1.922, 1.982.
ADDITIONAL PARTIES, 1.170(h).
ADDITUR.
Motions for remittitur and additur, 1.530(h).
ADMISSIONS.



See REQUESTS FOR ADMISSION.
ADVERSE RULING, EXCEPTION UNNECESSARY TO APPEAL,

1.470(a).
AFFIRMATIVE DEFENSES, 1.110(d).
AGE.
Final judgment against infant, 1.500(e).
Minor parties, 1.210(b).
Subpoena, person serving, 1.410(d).
ALTER JUDGMENT, MOTION TO, 1.530(g).
ALTERNATE JURORS, 1.431(g).
ALTERNATIVE CAUSES OF ACTION OR DEFENSES, 1.110(g).
AMENDMENTS.
Complaint, 1.070(j).
Judgments, 1.530(g).
Pleadings, 1.190.
ANCILLARY PROCEEDINGS, COMMENCEMENT OF, 1.050.
ANSWER.
See PLEADINGS AND DOCUMENTS.
APPEAL.
Deposition pending, 1.290(b).
Exceptions not required for, 1.470.
APPLICABILITY TO CIVIL ACTIONS, 1.010.
ARBITRATION.
Arbitration and award as affirmative defense, 1.110(d).
Arbitrators, selection and compensation of, 1.810.
Exclusions from, 1.800.
Generally, 1.700.
Hearing procedure for non-binding, 1.820.



Motion for trial after, 1.820(h).
Voluntary binding, 1.830.
ARREST OF JUDGMENT, EXCEPTION UNNECESSARY TO

APPEAL, 1.470(c).
ASSUMPTION OF RISK.
Affirmative defense, 1.110(d).
Defense form, 1.972.
ATTACHMENT.
Foreclosure form, 1.906.
Writ form, 1.905.
ATTENDANCE AT DEPOSITION UPON ORAL EXAMINATION,

1.310(h)(1), 1.380(d).
ATTORNEYS FEES, 1.525.
Mortgage foreclosure.

Judgment, 1.996(a).
Lost note, reestablishment, 1.996(b).

AUDIOVISUAL RECORDINGS.
Depositions, 1.310(b)(4).

Subpoenas for taking depositions, 1.410(e).
AUDITA QUERELA ABOLISHED, 1.540(b).
AUTOMOBILE.
See NEGLIGENCE.



B

BILLS OF REVIEW ABOLISHED, 1.540(b).
BOND.
Conditions, 1.961.
General form, 1.960.
Judicial, proceedings against surety on, 1.625.
Magistrates, 1.490(e).
Receivers, 1.620(c).
Temporary injunctions, 1.610(b).
BUSINESS RECORDS, OPTION TO PRODUCE, 1.340(c).



C

CAPACITY.
See PARTIES.
CAPTION.
Contents, 1.100(c).
Form, 1.901.
CASE MANAGEMENT CONFERENCE, 1.200(a), 1.201.
CAUSE OF ACTION.
See ACTIONS.
CERTIFICATE OF SERVICE.
Interrogatories, 1.340(e).
CHALLENGE FOR CAUSE.
See JURY.
CHECKS, COMPLAINT FORM FOR, 1.942.
CHOICE OF FORUM, 1.061.
CIVIL ACTION AS SOLE FORM OF ACTION, 1.040.
CIVIL COVER SHEET, 1.100(d), 1.997.
CLAIMS.
Counterclaims.

See COUNTERCLAIMS.
Crossclaims.

See CROSSCLAIMS.
For relief, 1.110(b).
Separate trials, 1.270(b).
CLASS ACTIONS.
Condominium associations, 1.221.



Generally, 1.220.
Homeowners association, 1.221.
Mobile homeowners associations, 1.222.
CLERICAL ERRORS, 1.540(a).
COMMENCEMENT OF ACTION, 1.050.
COMMUNICATION TECHNOLOGY.
Depositions upon oral examination taken by, 1.310(b)(7).

Oath, witness under, 1.310(c).
Subpoena for taking depositions, 1.410(e).

Jury.
Participation of juror by communication technology, 1.430(d).

Notice for trial, contents, 1.440(b).
Mediation.

County court actions, 1.750.
Procedures, 1.720.

COMPLAINT.
Claims, 1.110(b).
Commencement of action, 1.050.
Demand for general relief, 1.110(b).
Eviction, 1.947.
Generally, 1.100(a).
Judgments, enforcement.

Supplementary proceedings to enforce final judgments, 1.570(e).
Notice to appear.

Affidavit of claimant in response to notice, form, 1.914(C).
Form, 1.914(B).

Pleadings.
See PLEADINGS AND DOCUMENTS.

Service.



See SERVICE OF PROCESS.
COMPLEX LITIGATION CASES.
Case management conference, 1.200(a)(3), 1.201(b).
Generally, 1.201.
Order designating, 1.999.
COMPULSORY COUNTERCLAIMS, 1.170(a).
COMPUTATION OF TIME, 1.090(a).
CONDITIONS OF BONDS, 1.961.
CONDITIONS PRECEDENT, AVERMENTS IN PLEADINGS OF,

1.120(c).
CONDOMINIUM ASSOCIATIONS, ACTIONS BY, 1.221.
CONSIDERATION, FAILURE OF.
Affirmative defense, 1.110(d).
Defense form, 1.968.
CONSISTENCY OF CAUSES OF ACTION AND DEFENSES, 1.110(g).
CONSOLIDATION OF ACTIONS, 1.270(a).
CONSTRUCTIVE SERVICE OF NOTICE OF ACTION.
No property, form when, 1.919.
Property, form when, 1.920.
CONTEMPT.
Discovery, failure to comply with order for, 1.380(b).
Failure to obey subpoena, 1.410(f).
Motion and notice of hearing, form for, 1.982.
CONTINUANCES, 1.460.
CONTINUING WRIT OF GARNISHMENT, 1.907(b).
CONTRIBUTORY NEGLIGENCE, MOTOR VEHICLE.
Affirmative defense, 1.110(d).
Defense form, 1.971.



CONVERSION COMPLAINT FORM, 1.939.
CORAM NOBIS ABOLISHED, 1.540(b).
CORAM VOBIS ABOLISHED, 1.540(b).
CORPORATIONS.
Depositions, 1.310(b)(6), 1.320(a).

Apex doctrine.
High-level government or corporate officers, depositions, 1.280(h).

Interrogatories, 1.340(a).
COSTS.
Discovery, 1.310(h), 1.380(a)(4).
Dismissed actions, 1.420(c).
Proposals for settlement, 1.442(h).
Protective orders, 1.280(c), 1.380(a)(4).
Statewide Uniform Guidelines for Taxation of, Appendix.
Transfer for improper venue, 1.060(b).
COUNTERCLAIMS.
Additional parties, 1.170(h).
Answer to, 1.140(a)(1).
Compulsory, 1.170(a).
Dismissal, 1.420(c).
Exceeding opposing claim, 1.170(c).
Generally, 1.100(a).
Government entities, against, 1.170(d).
Omitted, 1.170(f).
Permissive, 1.170(b).
Pleading requirements, 1.110(b).
Separate trials and judgment, 1.170(i), 1.270(b).
Supplemental pleading, 1.170(e).
Third-party practice, 1.180.



Transfer when jurisdiction exceeded, 1.170(j).
COUNTY CHARTER.
Constitutional challenge.

Notice of compliance, 1.975.
Notice to parties, 1.071.

COURTS, TRANSFER OF, 1.060(a), 1.170(j).
CROSSCLAIMS.
Adding parties, 1.170(h).
Answer to, 1.140(a)(1).
Content, 1.170(g).
Co-party, against, 1.170(g).
Dismissal, 1.420(c).
Generally, 1.100(a).
Omitted, 1.170(f).
Pleading requirements, 1.110(b).
Separate trial and judgment, 1.170(i), 1.270(b).
Service, 1.170(g).
Summons form, 1.903.
Third-party practice, 1.180(a).
Transfer when jurisdiction exceeded, 1.170(j).



D

DAMAGES.
Pleading special damages, 1.120(g).
DEATH OF PARTY, 1.260(a), 1.260(d).
DEFAULT.
Application for, service of, 1.500(b).
Entered by clerk, 1.500(a).
Entered by court, 1.500(b).
Final judgments, 1.500(e).
Judgment.

Following motion to strike, 1.150(a).
Form, 1.988.

Motion and entry, form for, 1.980.
Pleading rights, 1.500(c).
Setting aside, 1.500(d).
DEFENSES.
Accord and satisfaction form, 1.967.
Affirmative, 1.110(d).
Alternative, 1.110(g).
Answer, 1.110(c), 1.110(g).
Asserted in responsive pleadings, 1.140(b).
Assumption of risk form, 1.972.
Consistency, 1.110(g).
Consolidation, 1.140(g).
Contributory negligence, 1.971.
Failure of consideration form, 1.968.
Failure to state, 1.140(b).
Instruments cause of action attached to pleadings, 1.130(a).



Joinder of, 1.110(g).
Motions.

See MOTIONS.
Motor vehicle contributory negligence form, 1.971.
Payment form, 1.966.
Preliminary hearings, 1.140(d).
Release form, 1.970.
Responsive pleadings, asserted in, 1.140(b).
Service, 1.140(a).
Statute of frauds form, 1.969.
Statute of limitations form, 1.965.
Time for serving, 1.140(a)(b).
Waiver, 1.140(h).
DEPOSITIONS.
Apex doctrine.

High-level government or corporate officers, 1.280(h).
Audiovisual recording, 1.310(b)(4).

Subpoenas for taking depositions, 1.410(e).
Before action, 1.290(a).
Commissioners, before, 1.410(g).
Communication technology.

Depositions upon oral examination taken by, 1.310(b)(7).
Subpoena for taking depositions, 1.410(e).

Oath, witness under, 1.310(c).
Copies, obtaining, 1.310(g).
Effect of taking or using, 1.330(c).
Errors and irregularities in taking, notice, or return, 1.330(d).
Examiner, 1.360(b)(3).
Exhibits, 1.310(f).



Expert witnesses, 1.390(b).
Failure to attend, 1.310(h), 1.380(d).
Filing, 1.310(f).
In other states, 1.410(g).
Magistrates, use before, 1.490(g).
Minors, 1.310(b)(8).
Motion to terminate or limit, 1.310(d).
Notice of taking, 1.310(b).
Objections, 1.310(c), 1.330(d).
Oral examination, upon, 1.280(a), 1.310.
Pending appeal, 1.290(b).
Persons authorized to take, 1.300.
Subpoena.

Contempt, 1.410(f).
Failure to serve, 1.310(h).
Generally, 1.410(e).
In other states, 1.410(f).

Transcript, 1.310.
Use in court, 1.290(a)(4), 1.330.
Videotaped, 1.310(b)(4).
Witness review, 1.310(e).
Written questions, upon.

Corporations, 1.310(b)(6), 1.320(a).
Failure to make discovery or comply with order, 1.380.
Form of responses to written discovery requests, 1.280(i).
Generally, 1.310(c), 1.320.
Notice, 1.320(a).
Objections to form, 1.320(a).
Prisoners, 1.320(a).
Subpoena, 1.320(a), 1.410.



DEPOSITS IN COURT, 1.600.
DIRECTED VERDICT.
Motion for, 1.480(a).
Objections not necessary for appeal, 1.470(c).
DISABILITIES, PERSONS WITH.
Summons.

Form.
Eviction, residential.

Accommodation of disability, 1.923.
Personal service on natural person.

Accommodation of disability, 1.902(b).
DISCOVERY.
Apex doctrine.

High-level government or corporate officers, depositions, 1.280(h).
Costs of recording testimony, 1.310(b)(4).
Court, filing documents and discovery with, 1.280(g).

Depositions, 1.310(f).
Entry upon land, 1.350(d).
Interrogatories, 1.340(e).
Production of documents and things, 1.350(d).

Depositions.
See DEPOSITIONS.

Electronically stored information (ESI).
Limits on discovery of ESI, 1.280(d).
Production of documents and things, 1.350(b).
Sanctions, 1.380(e).
Scope of discovery, 1.280(b).

Entry upon land.
See ENTRY UPON LAND.



Examination.
See EXAMINATION.

Examiner, 1.360(b)(c).
Execution, in aid of, 1.560, 1.977.
Expert witnesses, 1.280(b)(5), 1.390(a).
Failure to make, sanctions for.

Attorneys fees, 1.380(d).
Court, 1.380(a)(1).
Evasive or incomplete answer, 1.380(a)(3).
Expenses, 1.380(b)(2), 1.380(c), 1.380(d).
Motion, 1.380(a)(2).
Order compelling discovery, 1.380(a)(2), 1.380(b).

Financial information about experts, 1.280(b)(5).
Frequency of methods, 1.280(a).
Inadmissible evidence, 1.280(b)(1).
Indemnity agreements, 1.280(b)(2).
Interrogatories.

See INTERROGATORIES TO PARTIES.
Judgments.

Enforcement.
Supplementary proceedings to enforce final judgments, 1.570(e).

Notice to appear.
Affidavit of claimant in response to notice, form, 1.914(C).
Form, 1.914(B).

Limiting at case management conference, 1.200(a)(4).
Mediation, during, 1.710(c).
Medical malpractice claims, 1.650(c).
Methods, 1.280(a).
Order to compel.

Case management conference, 1.200(a)(4).



Contempt, 1.380(b).
Failure to comply, 1.380(b).

Privileged materials, inadvertent disclosure, 1.285.
Production of documents and things.

See PRODUCTION OF DOCUMENTS AND THINGS.
Protective orders, 1.280(c), 1.380(a)(4).
Sanctions for failure to preserve electronically stored information,

1.380(e).
Scope, 1.280(b).
Sequence, 1.280(e).
Statement previously made, 1.280(b)(4).
Subpoenas.

See SUBPOENAS.
Supplementing responses, 1.280(f).
Timing, 1.280(e).
Trade secrets, 1.280(c).
Trial preparation, materials for, 1.280(b)(3), 1.280(b)(5).
Unsworn statements.

Medical malpractice claims, 1.650(c).
Work product, 1.280(b)(3).
Written questions.

Medical malpractice claims, 1.650(c).
DISMISSAL OF ACTIONS.
Costs, 1.420(d).
Counterclaims, 1.420(c).
Crossclaims, 1.420(c).
Failure to prosecute, 1.420.
Failure to timely serve, 1.070(i).
Involuntary, 1.420(b).



Lis pendens, effect on, 1.420(f).
Third-party claims, 1.420(c).
Voluntary, 1.420(a).
DISTRESS WRIT FORM, 1.909.
DOCUMENTARY EVIDENCE, 1.450, 1.490(g).
DUCES TECUM, SUBPOENAS.
See SUBPOENAS.



E

EJECTMENT COMPLAINT FORM, 1.940.
ELECTRONICALLY STORED INFORMATION (ESI).
Discovery.

Interrogatories, 1.340(c).
Limits on discovery of ESI, 1.280(d).
Production of documents and things, 1.350(b).
Sanctions, 1.380(e).
Scope of discovery, 1.280(b)(3).

Pretrial procedure.
Case management conference, 1.200(a)(5)-(7).
Form of for production, 1.410(c).

Subpoena for production of documentary evidence, 1.410(c).
Form of responses to written discovery requests, 1.280(i).

ENFORCEMENT OF JUDGMENTS, 1.570.
ENLARGEMENT OF TIME.
Depositions upon oral examination, 1.310(b)(3).
Generally, 1.090(b).
ENTRY UPON LAND.
Failure to make discovery, 1.380(a).
Failure to respond to request, 1.380(d).
Form of responses to written discovery requests, 1.280(i).
Persons not parties, 1.350(c).
Procedure, 1.350(b).
Scope of request, 1.350(a).
ERRORS AND MISTAKES.
Averments in pleading, 1.120(b).



Clerical, 1.540(a).
Depositions, 1.330(d).
Pleadings, 1.190(e).
Relief from in judgments, decrees, or orders based on, 1.540(a).
EVICTION.
Complaint form, 1.947.
Summons form, 1.923.
EVIDENCE.
Documentary, filing, 1.450(b).
Excluded, record of, 1.450(a).
Inadmissible, use in discovery of, 1.280(b)(1).
Magistrates, use before, 1.490(g).
Newly discovered, 1.540(b).
EXAMINATION.
Examiner as witness, 1.360(c).
Failure to comply with order, 1.380(b).
Medical malpractice actions, 1.650(c)(2)(C).
Minors, 1.360(a)(1)(C).
Notice, 1.360(a).
Oral.

See DEPOSITIONS.
Order for examination, 1.360(a).
Report of examiner, 1.360(b).
Request, 1.360(a).
Waiver of confidentiality privilege, 1.360(b)(2).
EXAMINER, REPORT OF, 1.360(b).
EXCEPTIONS UNNECESSARY, 1.470.
EXCLUDED EVIDENCE, 1.450(b).
EXECUTION.



Discovery in aid of, 1.560.
Form, 1.914(A).
Issuance of, 1.550(a).
Stay of, 1.550(b).
Supplementary proceedings to enforce final judgments, 1.570(e).

Notice to appear.
Affidavit of claimant in response to notice, form, 1.914(C).
Form, 1.914(B).

EXHIBITS.
Attached to pleadings, 1.130.
EXPERT WITNESSES, 1.280(b)(5), 1.390(a).
EXTRAORDINARY REMEDIES, 1.630.



F

FACT INFORMATION SHEET, 1.560, 1.977.
FACTS, ADMISSION OF.
Discovery generally.

See DISCOVERY.
Requests for admission.

See REQUESTS FOR ADMISSION.
FACTS, STATEMENT IN PLEADINGS OF, 1.110(b).
FAILURE OF CONSIDERATION.
Affirmative defense, 1.110(d).
Defense, form for, 1.968.
FAILURE TO COMPLY WITH DISCOVERY ORDER, 1.380(b).
FAILURE TO MAKE DISCOVERY, 1.380.
FAILURE TO PROSECUTE.
Form motion, notice, and order of dismissal, 1.989.
Generally, 1.420(e).
FAILURE TO STATE CAUSE OF ACTION, 1.140(b).
FALL-DOWN NEGLIGENCE COMPLAINT FORM, 1.951.
FEES.
Service of process, 1.070(g).
FINAL DISPOSITION FORM.
Form, 1.998.
Required, 1.545.
FINAL JUDGMENT.
Amendments, 1.530(g).
Default, after, 1.500(e).
Enforcement of, 1.570.



Forms.
See FORMS.

New trial, 1.530.
Rehearing, 1.530.
Relief from, 1.540.
FINAL PROCESS, 1.550.
FORCIBLE ENTRY AND DETENTION COMPLAINT FORM, 1.938.
FORECLOSURE.
Attachment form, 1.906.
Final judgment of foreclosure form, 1.944(c), 1.996(a).

Lost note, reestablishment, 1.996(b).
Motion for order to show cause for entry of final judgment, 1.944(c).
Order to show cause, 1.944(d).

Magistrates for residential foreclosure matters.
Appointment of magistrate to handle only residential mortgage

foreclosures, 1.490(a).
Filing, notice and exceptions to report, 1.491(f).
General magistrates, 1.491(a).
Hearings.

Provisions applicable to conduct and notice, 1.491(d).
Notice of hearings, 1.491(d).
Objection to referral, 1.490(c).
Powers and duties, 1.491(c).
Record required to accompany exceptions to report, 1.491(f).
Referral to magistrate, 1.491(b).
Report required, 1.491(e).

Mortgage complaint form.
Original note location known, 1.944(a).
Original note location not known, 1.944(b).



Motion to cancel and reschedule foreclosure sale form, 1.996(b), 1.996(c).
Pleading mortgage foreclosures, 1.115.
FORMS.
Accord and satisfaction defense, 1.967.
Account stated complaint, 1.933.
Affidavit of diligent search and inquiry, 1.924.
Assumption of risk defense, 1.972.
Attachment writ, 1.9051.906.
Bond, general, 1.960.
Bond conditions, 1.961.
Caption, 1.901.
Check complaint, 1.942.
Civil cover sheet, 1.997.
Complex case, order designating, 1.999.
Contempt motion and notice of hearing for, 1.982.
Contributory negligence defense, 1.971.
Conversion complaint, 1.939.
Crossclaim summons, 1.903.
Default.

Judgment, 1.988.
Motion, 1.980.

Defenses.
Accord and satisfaction, 1.967.
Assumption of risk, 1.972.
Failure of consideration, 1.968.
Payment, 1.966.
Release, 1.970.
Statute of frauds, 1.969.
Statute of limitations, 1.965.



Distress writ, 1.909.
Ejectment complaint, 1.940.
Eviction.

Complaint, 1.947.
Summons, 1.923.

Execution, 1.914(A).
Fact information sheet.

Business entities, 1.977(b).
Individual, 1.977(a).

Failure of consideration as defense, 1.968.
Final disposition, 1.998.
Final judgment.

For defendant.
Jury, 1.991.
Nonjury, 1.994.

Foreclosure, 1.996(a).
Lost note, reestablishment, 1.996(b).

For plaintiff.
Jury, 1.990.
Nonjury, 1.993.

Forcible entry and detention complaint, 1.938.
Foreclosure.

Complaint.
Original note location known, 1.944(a).
Original note location not known, 1.944(b).

Final judgment, 1.996(a).
Lost note, reestablishment, 1.996(b).

Motion to cancel and reschedule foreclosure sale, 1.996(b), 1.996(c).
Writ, 1.906.

Garnishment writ, 1.907.



Generally, 1.900.
Goods sold, complaint for, 1.935.
Implied warranty complaint, 1.949.
Interrogatories, 1.976, Appendix.
Judgment.

Action for damages.
Jury verdict for defendant, 1.991.
Jury verdict for plaintiff, 1.990.

After default, 1.988.
Nonjury for defendant, 1.994.
Nonjury for plaintiff, 1.993.
Satisfaction of, 1.981.

Juror questionnaires, 1.9831.984.
Lack of prosecution, notice and order of dismissal for, 1.989.
Lis pendens notice, 1.918.
Money lent, complaint for, 1.936.
Mortgage foreclosure complaint.

Original note location known, 1.944(a).
Original note location not known, 1.944(b).

Ne exeat writ, 1.917.
Negligence complaints, 1.9451.946, 1.951.
Notice of action, constructive service.

No property, 1.919.
Property, 1.920.

Notice of lack of prosecution, 1.989.
Notice of production from nonparty, 1.921.
Notice to appear, 1.914(B).

Affidavit of claimant in response to notice, 1.914(C).
Open account, complaint, 1.932.



Order of dismissal for lack of prosecution, 1.989.
Payment as defense, 1.966.
Promissory note complaint, 1.934.
Prosecution, notice and order of dismissal for lack of, 1.989.
Release as defense, 1.970.
Replevin.

Complaint, 1.937.
Final judgment, 1.995.
Order to show cause, 1.916.
Writ, 1.908.

Satisfaction of judgment, 1.981.
Specific performance complaint, 1.941.
Standard interrogatories, Appendix.
Statute of frauds defense, 1.969.
Statute of limitations defense, 1.965.
Subpoena.

For deposition, 1.912.
For trial, 1.910.

Subpoena duces tecum.
For deposition, 1.913.
For trial, 1.911.
Without deposition, 1.922.

Summons.
General form, 1.902(a).
Mail, service by, 1.902(c).
Personal service on natural person, 1.902(b).
Tenant eviction, 1.923.
Waiver, request for, 1.902(c).

Tenant eviction.
Complaint, 1.947.



Summons, 1.923.
Third-party complaint, 1.948.
Third-party summons, 1.904.
Verdicts, 1.986.
Voir dire questionnaire, 1.984.
Writ of possession, 1.915.
FORUM NON CONVENIENS, 1.061.
FRANCHISE.
Constitutional challenge.

Notice of compliance, 1.975.
Notice to parties, 1.071.

FRAUD.
Averment in pleadings, 1.120(b).
Relief from judgment, 1.540(b).



G

GARNISHMENT WRIT FORM, 1.907.
GOODS SOLD, COMPLAINT FORM FOR, 1.935.
GOVERNMENT ORGANIZATIONS, COUNTERCLAIMS AGAINST,

1.170(d).
GUARDIAN AND WARD AS PARTIES, 1.210(b).



H

HABEAS CORPUS, 1.630.
HEARINGS.
Arbitration, non-binding, 1.820.
Magistrates, 1.490(g).
Notice of, 1.100(b).
Preliminary on defenses, 1.140(d).
HOMEOWNERS ASSOCIATIONS, ACTIONS BY, 1.221.



I

IMPLIED WARRANTY COMPLAINT FORM, 1.949.
IMPROPER VENUE.
See VENUE.
INADMISSIBLE EVIDENCE, DISCOVERY OF, 1.280(b)(1).
INADVERTENCE, RELIEF FROM JUDGMENT FOR, 1.540(b).
INCOMPETENCY, 1.210(b), 1.260(b).
INCORPORATION OF ATTACHED INSTRUMENTS IN PLEADING,

1.130(a).
INDEMNITY AGREEMENTS, DISCOVERY OF, 1.280(b)(2).
INDISPENSABLE PARTIES, FAILURE TO JOIN, 1.140(b).
INFANTS, 1.120(a), 1.210(b), 1.310(b)(8), 1.360(a)(1)(C), 1.410(h),

1.650(c)(2)(A).
INJUNCTIONS.
Bond, 1.610(b).
Evidence, 1.610(a)(2).
Form of, 1.610(c).
Issuance, 1.610(a).
Motion to dissolve, 1.610(d).
Notice not required, when, 1.610(a)(1).
Scope, 1.610(c).
Temporary, 1.610(a).
INSPECTION.
See PRODUCTION OF DOCUMENTS AND THINGS.
INSTRUCTIONS TO JURIES.
Generally, 1.470.
INSTRUMENTS ATTACHED TO PLEADINGS, 1.130.



INSUFFICIENCY OF SERVICE OF PROCESS, 1.140(b).
INTENT AVERRED GENERALLY, 1.120(b).
INTEREST, TRANSFER OF DURING ACTION, 1.260(c).
INTERPLEADER, 1.240.
INTERROGATORIES TO PARTIES.
Answers, 1.340(a), 1.340(c), 1.340(e).
Availability, 1.340(a).
Certificate of service, 1.340(e).
Co-party, effect on, 1.340(d).
Corporations, 1.340(a).
Electronically stored information (ESI), 1.340(c).
Failure to make discovery, 1.380(a), 1.380(d).
Filing, 1.340(e).
Form, 1.340(e), 1.976, Appendix.
Medical malpractice, Appendix forms 34.
Negligence, Appendix forms 12, Appendix forms 56.
Notice of service, 1.340(e).
Number of, 1.340(a).
Objections, 1.340(a).
Option to produce records, 1.340(c).
Organizations, 1.340(a).
Procedure for use, 1.340(a).
Response.

Form of responses to written discovery requests, 1.280(i).
Scope, 1.340(b).
Service, 1.340(a).
Standard forms, 1.976, Appendix.
Time, 1.340(a).
Use at trial, 1.340(b).



Witnesss failure to answer or object, 1.380(d).
INTERVENTION, 1.230.
INTERVIEW OF JUROR, 1.431(h).
INVOLUNTARY DISMISSAL, 1.420(b).
ISSUE, ACTION AT, 1.440(a).



J

JOINDER.
Additional parties, 1.170(h).
Causes of action and defenses, 1.110(g).
Misjoinder, 1.250.
Nonjoinder, 1.250.
JUDGMENTS.
Amendment of, 1.530(g).
Averments in pleadings, 1.120(e).
Default, 1.500(e).
Demand in pleadings, 1.110(b).
Enforcement of, 1.570.

Notice to appear.
Affidavit of claimant in response to notice.

Form, 1.914(C).
Form, 1.914(B).

Errors in, 1.540(a).
Execution, 1.550(a).
Final.

See FINAL JUDGMENT.
Foreclosure.

Final judgment of foreclosure form, 1.996(a).
Lost note, reestablishment, 1.996(b).

Motion for order to show cause for entry of final judgment, 1.944(c).
Order to show cause, 1.944(d).

Forms.
See FORMS.

Non obstante veredicto, objection to not necessary for appeal, 1.470(c).



Offers of judgment.
See PROPOSALS FOR SETTLEMENT.

On the pleadings, motion for, 1.140(c).
Pleading, 1.120(e).
Relief from for mistakes, neglect, new evidence, fraud, etc., 1.540(b).
Stay of execution, 1.550(b).
Summary, 1.510.

New trial and rehearing, motions, 1.530(a).
JURISDICTION.
Demand exceeding, transfer of action when, 1.170(j).
Lack of, 1.140(b).
Motion for lack of, 1.140(b).
Statement in pleadings, 1.110(b).
JURY.
Alternate jurors, 1.431(g).
Cause, challenge for, 1.431(c).
Challenges, 1.431(c)(e).
Communication technology.

Participation of juror by communication technology, 1.430(d).
Notice for trial, contents, 1.440(b).

Communication with jury.
Exception for routine communication, 1.431(i)(2).
Instructions to jury to limit communication, 1.431(i)(3).
Notice of jury communication, 1.431(i)(4).
On the record, 1.431(i)(1).

Demand for trial by, 1.430(b).
Examination by parties, 1.431(b).
Instructions, 1.470.
Interview of juror, 1.431(h).



Notebooks, 1.200(b)(5), 1.455.
Peremptory challenges, 1.431(d), 1.431(g)(2).
Questionnaire.

Generally, 1.431(a).
Prospective juror, 1.983.
Voir dire, 1.984.

Questions by, 1.452.
Right to trial by, 1.430(a).
Specification of issues, 1.430(c).
Swearing of, 1.431(f).
Verdict.

Form judgment for defendant, 1.991.
Form judgment for plaintiff, 1.990.

View, 1.520.
Waiver of right to trial by, 1.430(e).



K

KNOWLEDGE AVERRED GENERALLY, 1.120(b).



L

LACK OF JURISDICTION OVER PERSON OR SUBJECT MATTER.
Asserted by motion, 1.140(b).
LANDLORD AND TENANT.
Eviction complaint form, 1.947.
Eviction summons form, 1.923.
LEAVE OF COURT, WHEN NECESSARY FOR DEPOSITION UPON

ORAL EXAMINATION, 1.310(a), 1.310(b)(2).
LETTERS ROGATORY, 1.300(b).
LIS PENDENS.
Dissolved by dismissal of action, 1.420(f).
Notice form, 1.918.



M

MAGISTRATES.
Accounts, form of, 1.490(g).
Bond, 1.490(e).
Case management conference, referral at, 1.200(a).
Consent of parties to reference to, 1.490(c).
Documents, 1.490(g).
Duties, 1.490(d).
Exceptions to report, 1.490(i)(j).
General, 1.490(a).
Hearings, 1.490(g).
Interrogatories, 1.490(g).
Mortgage foreclosure cases before magistrates.

Appointment of magistrate to handle only residential mortgage
foreclosures, 1.490(a).

General magistrates for residential foreclosure matters, 1.491.
Referral to magistrate, objection to, 1.490(c).

Notice of hearing, 1.490(f).
Powers, 1.490(d).
Procedure, 1.490(g).
Record to support exceptions to report, 1.490(j).
Reference to, 1.490(c).
Report, 1.490(h)(i).
Special, 1.490(b).
MALICE AVERRED GENERALLY, 1.120(b).
MANDAMUS, 1.630.
MEDIATION.
Completion of, 1.730.



County court actions, 1.750.
Effect on proposals for settlement, 1.442(j).
Generally, 1.700, 1.710.
Procedures, 1.720.
Small claims, 1.750(c).
MEDICAL MALPRACTICE.
Interrogatories, Appendix forms 34.
Presuit screening rules, 1.650.
MENTAL ATTITUDE AVERRED GENERALLY, 1.120(b).
MENTAL EXAMINATION.
See EXAMINATION.
MINIMIZATION OF FILING OF SENSITIVE INFORMATION, 1.020.
MINORS, 1.120(a), 1.210(b), 1.310(b)(8), 1.360(a)(1)(C), 1.410(h), 1.650(c)

(2)(A).
MISJOINDER, 1.250.
MISTAKES.
See ERRORS AND MISTAKES.
MOBILE HOMEOWNERS ASSOCIATIONS, ACTIONS BY, 1.222.
MONEY LENT, COMPLAINT FORM FOR, 1.936.
MORTGAGE FORECLOSURE CASES BEFORE MAGISTRATES.
Appointment of magistrate to handle only residential mortgage

foreclosures, 1.490(a).
General magistrates for residential foreclosure matters, 1.491.
Pleading mortgage foreclosures, 1.115.
Referral to magistrate, objection to, 1.490(c).
MORTGAGE FORECLOSURE FORMS.
Attachment, 1.906.
Complaint.



Original note location known, 1.944(a).
Original note location not known, 1.944(b).

Final judgment, 1.996(a).
Lost note, reestablishment, 1.996(b).

Motion to cancel and reschedule foreclosure sale, 1.996(b), 1.996(c).
MOTIONS.
Additur.

Motions for remittitur and additur, 1.530(h).
Alter or amend judgment, 1.530(g).
Attorneys fees, 1.525.
Contempt form, 1.982.
Continuances, 1.460.
Default form, 1.980.
Defenses made by, 1.140(b).
Directed verdict, 1.480.
Enlargement of time, 1.090(b).
Failure to state cause of action, defense of, 1.140(b).
Granted by clerk, 1.160.
Improper venue, defense of, 1.140(b).
Indispensable parties, defense of failure to join, 1.140(b).
Injunction, to dissolve, 1.610(d).
Insufficiency of service of process, defense of, 1.140(b).
Judgment on the pleadings, 1.140(c).
Lack of jurisdiction, defense of, 1.140(b).
Limitation or termination of oral examination, 1.310(d).
More definite statement, for, 1.140(c).
Mortgage foreclosure.

Judgment.
Show cause for entry of final judgment, 1.944(c).



New trial.
Arbitration, trial de novo after, 1.800.
Courts discretion, 1.530(d).
Joined with motion for directed verdict, 1.480(c).
Nonjury action, 1.530(e).
Objection to denial not required for appeal, 1.470(c).
Order, contents of, 1.530(f).
Service of affidavits, 1.530(c).
Time to serve, 1.530(b).
When granted, 1.530(a).

Notice of hearing, 1.100(b).
Order compelling discovery, 1.380(a)(2).
Rehearing, 1.530(a)(e).
Relief from judgment, decrees, or orders, 1.540.
Remittitur.

Motions for remittitur and additur, 1.530(h).
Service, 1.090(d).
Strike, to.

Contents, 1.150(b).
Effect of, 1.140(b), 1.140(f), 1.150(a)(b).
Time, 1.140(b), 1.140(f).

Summary judgment, 1.510.
Temporary injunction, to dissolve, 1.610(d).
Time for service, 1.090(d).
Written or oral, 1.100(b).
MOTOR VEHICLES.
Defenses.

See DEFENSES.
Negligence.



See NEGLIGENCE.
MUNICIPAL CHARTER.
Constitutional challenge.

Notice of compliance, 1.975.
Notice to parties, 1.071.



N

NE EXEAT WRIT FORM, 1.917.
NEGLECT.
Relief from judgment based on, 1.540(b).
NEGLIGENCE.
Fall-down, complaint form for, 1.951.
Interrogatories, Appendix forms 12.
Motor vehicles.

Complaint form, 1.945.
Contributory, form for defense of, 1.971.
Interrogatories to defendant, Appendix form 6.
Interrogatories to plaintiff, Appendix form 5.

Plaintiff unable to determine which defendant is responsible, complaint
form when, 1.946.

NEW TRIAL.
Motions.

See MOTIONS.
NONJOINDER, 1.250.
NONPARTIES, 1.590, 1.921.
NONVERIFICATION OF PLEADINGS, 1.030.
NOTE, COMPLAINT FORM FOR PROMISSORY, 1.934.
NOTICE.
Action at issue, 1.440(b).
Application for default, 1.500(b).
Case management conference, 1.200(c).
Constructive service.

No property at issue, form when, 1.919.



Property at issue, form when, 1.920.
Contempt form, 1.982.
Defaulting parties, on, 1.500(b).
Deposition.

Before action or pending appeal, 1.290(a)(2).
Filing, 1.320.
Upon oral examination, 1.310(b).

Hearings, 1.100(b).
Lis pendens form, 1.918.
Magistrates, notice of hearing before, 1.490(f).
Mediation, referral to, 1.700(a)(2).
Medical malpractice actions, 1.650(b).
Pretrial procedure, 1.200(c).
Production from nonparty, 1.921.
Trial, 1.440(b).



O

OBJECTIONS.
Depositions.

Admissibility, 1.330(b).
Disqualification of officer, 1.330(d)(2).
Notice, 1.330(d)(1).
Taking, 1.330(d)(3).
Waiver, 1.330(d).

Interrogatories, 1.340.
When unnecessary, 1.470(c).
OFFERS OF JUDGMENT.
See PROPOSALS FOR SETTLEMENT.
OMITTED COUNTERCLAIM OR CROSSCLAIM, 1.170(f).
OPEN ACCOUNT, COMPLAINT FORM FOR, 1.932.
ORAL EXAMINATION.
See DEPOSITIONS.
ORDERS.
Case management, 1.200(d), 1.201(c).
Compelling discovery, 1.380.
Complex case, designating, 1.999.
Depositions before actions or pending appeal, 1.290(a)(3).
Exceptions unnecessary, when, 1.470(c).
Foreclosure.

Order to show cause, 1.944(d).
New trial, 1.530(f).
Relief from for mistakes, neglect, new evidence, fraud, etc, 1.540(b).
Service of, 1.070(f).



Show cause in replevin action, 1.916.
ORDINANCES.
Constitutional challenge.

Notice of compliance, 1.975.
Notice to parties, 1.071.

ORGANIZATIONS.
Depositions of, 1.310(b)(6), 1.320(a).
Interrogatories, 1.340(a).



P

PAPERS.
See PLEADINGS AND DOCUMENTS.
PARTIES.
Adding, 1.250(c).
Affidavit of diligent search and inquiry, 1.924.
Capacity to sue and be sued, 1.120(a).
Death, 1.260(a).
Dropping, 1.250(b).
Failure to make discovery, 1.380(d).
Generally, 1.210(a).
Guardian ad litem, 1.210(b).
Incompetency, 1.210(b), 1.260(b).
Indispensable, failure to join, 1.140(b), 1.140(h)(2).
Infants, 1.210(b).
Joinder, 1.170(h).
Mediation.

Party representatives having authority to settle, 1.720.
Misjoinder, 1.250.
Nonjoinder, 1.250.
Nonparties, process for or on, 1.590.
Protective orders regarding discovery, 1.280(c).
Public officials, 1.260(d)(2).
Substitution, motion for, 1.260(a)(1).
Substitution of public officials, 1.260(d).
Survivorship, 1.260(a)(2).
Third-party practice, 1.180.
Transfer of interest, 1.260(c).



PAYMENT AS DEFENSE, FORM FOR, 1.966.
PEREMPTORY CHALLENGES, 1.431(d), 1.431(g)(2).
PERMISSIVE COUNTERCLAIMS, 1.170(b).
PERSONAL REPRESENTATIVES AS PARTIES, 1.210(a).
PETITION.
Caption form, 1.901(b).
Depositions before action or pending appeal, 1.290(a)(1).
PHYSICAL EXAMINATION.
See EXAMINATION.
PLEADINGS AND DOCUMENTS.
Affirmative defenses, 1.110(d).
Allowable, 1.100(a).
Amendments.

Conformity with evidence required, 1.190(b).
Generally, 1.190(a).
Relation back, 1.190(c).
Responses to, 1.140(a)(3).
Supplemental pleadings, 1.190(d).
Time, 1.190(e).

Answer.
Requirements of, 1.110(c).
Service, 1.140(a).

Capacity of party, 1.120(a).
Caption, 1.100(c).
Cause of action attached, 1.130(a).
Civil cover sheet, 1.100(d), 1.997.
Claims for relief, 1.110(b).
Complaint, 1.050.
Condition of mind, 1.120(b).



Conditions precedent, 1.120(c).
Damage, special, 1.120(g).
Default, application for, 1.500(b).
Defenses.

See DEFENSES.
Defined, 1.100(a).
Demand for judgment, 1.110(b).
Document or act, averment of in pleading, 1.120(d).
Exhibits, 1.130.
Failure to deny allegations, 1.110(e).
Filing, 1.080(b).
Final disposition form, 1.545, 1.998.
Forms.

See FORMS.
Forms of action abolished, 1.110(a).
Fraud, 1.120(b).
General rules, 1.100, 1.110.
Instruments attached, 1.130(a).
Interpleader, 1.240.
Intervention, 1.230.
Joinder, 1.110(g), 1.170(h).
Judgment or decree, 1.120(e).
Jurisdictional statement, 1.110(b).
Mistake, 1.120(b).
Mortgage foreclosures, 1.115.

Claims for relief, 1.115(a).
Delegated claims for relief, 1.115(b).

Lost, destroyed or stolen instruments, 1.115(d).
Possession of original promissory note, 1.115(c).
Verification, 1.115(e).



Official document or act, 1.120(d).
Responsive, defense presented, 1.140(b).
Scire facias, relief by, 1.100(e).
Separate statements of claim or defense required, 1.110(f).
Service.

By mail, 1.070(f).
Conformity with statute, 1.080(a).
Defenses, 1.140(a).
Fees, 1.070(g).
Notice of taking deposition upon written questions, 1.320(a).
Orders, 1.070(f).
Personal, 1.070(e).
Scheduling at case management conference, 1.200(a)(1).

Sham, 1.150.
Special damages, 1.120(g).
Special matters, 1.120.
Statement of facts, 1.110(b).
Statements adopted by reference, 1.130(b).
Subsequent pleadings, 1.110(h).
Supplemental, 1.170(e), 1.190(d)(e).
Time, computation of, 1.090.
Time and place, averments of, 1.120(f).
Types of, 1.100(a).
Writing, definition, 1.080(c).
POSSESSION, WRIT OF.
Form, 1.915.
Rule, 1.580.
PRELIMINARY HEARINGS ON DEFENSES, 1.140(d).
PRETRIAL PROCEDURE.



Case management conference.
Generally, 1.200(a).

Notice, 1.200(c).
Order, 1.200(d).
Pretrial conference, 1.200(b).
PRISONERS, DEPOSITIONS OF, 1.310(a), 1.320(a).
PRIVACY AND COURT RECORDS, 1.020.
PRIVILEGED MATERIALS.
Inadvertent disclosure, 1.285.
PROCESS.
See SERVICE OF PROCESS.
PRODUCTION OF DOCUMENTS AND THINGS.
Copies furnished to other parties, 1.351(e).
Electronically stored information (ESI), 1.350(a).
Failure to make discovery, 1.380(a).
Failure to serve written response, 1.380(d).
Filing, 1.350(d).
Form of responses to written discovery requests, 1.280(i).
From nonparties, 1.350(c), 1.351, 1.921.
Generally, 1.280(a), 1.280(b)(3).
Independent action, 1.351(f).
Inspection, 1.350(a).
Notice to nonparty, form for, 1.921.
Objection, 1.351(b), 1.351(d).
Procedure, 1.350(b).
Recordings, visual and audiovisual, 1.350(a).
Relief, 1.310, 1.351(c)(d).
Request, 1.310(b)(5), 1.350(a), 1.351.
Scope, 1.350(a).



Subpoena for, 1.351(c), 1.410(c).
Form of responses to written discovery requests, 1.280(i).

Without deposition, 1.351.
PROHIBITION, WRIT OF, 1.630.
PROMISSORY NOTE COMPLAINT FORM, 1.934.
PROPERTY, RECOVERY OF, 1.570(b), 1.570(d), 1.939.
PROPOSALS FOR SETTLEMENT.
Acceptance, 1.442(f).
Contents, 1.442(c)(2).
Costs and fees, 1.442(h).
Evidence of, 1.442(i).
Generally, 1.442(a).
Mediation, effect on, 1.442(j).
Rejection, 1.442(f).
Sanctions, 1.442(g).
Service and filing, 1.442(d).
Time requirements, 1.442(b).
Withdrawal, 1.442(e).
Writing, requirement that proposal be in, 1.442(c)(1).
PROSECUTION, LACK OF.
Form motion, notice, and judgment of dismissal, 1.989.
Generally, 1.420(e).
PROTECTIVE ORDERS REGARDING DISCOVERY, 1.280(c).
PUBLIC OFFICIALS, 1.260(d).
Depositions.

Apex doctrine.
High-level government or corporate officers, depositions, 1.280(h).

PUNITIVE DAMAGES.



Amended complaint, 1.190(f).
Verdicts, 1.481.



Q

QUO WARRANTO, WRIT OF, 1.630.



R

REAL PROPERTY, RECOVERY OF, 1.570(b), 1.570(d), 1.580, 1.938,
1.940.

RECEIVERS.
Bond, 1.620(c).
Notice of appointment, 1.620(a).
Report, 1.620(b).
RECORD.
Deposition, 1.320(b).
Excluded evidence, of, 1.450(a).
RECORDINGS, VISUAL AND AUDIOVISUAL.
Production of documents and things, 1.350(a).
RECORDING TESTIMONY, COSTS OF, 1.310(b)(4)(D).
REHEARING, MOTION FOR, 1.530(a), 1.530(e).
RELEASE AS DEFENSE, FORM FOR, 1.970.
REMITTITUR.
Motions for remittitur and additur, 1.530(h).
REPLEVIN.
Complaint form, 1.937.
Final judgment form, 1.995.
Order to show cause, form, 1.916.
Writ form, 1.908.
REQUEST FOR INSPECTION, 1.380(d).
REQUESTS FOR ADMISSION.
Amendment of admissions, 1.370(b).
Documents, genuineness of, 1.370(a).
Effect of admission, 1.370(b).



Expenses, 1.370(a), 1.380(a)(4), 1.380(c).
Failure to admit or deny, 1.370(a), 1.380(c).
Form of responses to written discovery requests, 1.280(i).
Limit on number, 1.370(a).
Motion to determine sufficiency of answers and objections, 1.370(a).
Objections, 1.370(a).
Service, 1.370(a).
Time, 1.370(a).
Withdrawal of admission, 1.370(b).



S

SATISFACTION DEFENSE, FORM FOR, 1.967.
SATISFACTION OF JUDGMENT, FORM FOR, 1.981.
SCIRE FACIAS, MOTION IN LIEU OF, 1.100(e).
SEPARATE TRIALS, 1.170(i), 1.270(b).
SERVICE OF PLEADINGS AND DOCUMENTS.
Generally.

See PLEADINGS AND DOCUMENTS.
SERVICE OF PLEADINGS OTHER THAN STATEMENT OF

CLAIM.
Affidavit of diligent search and inquiry, 1.924.
SERVICE OF PROCESS.
Constructive, 1.070(d)(e).
Fees, 1.070(g).
Long arm, 1.070(h).
Mail, 1.070(i).
Motion based on insufficiency of, 1.140(b).
Multiple defendants, 1.070(c).
Nonparties, 1.590.
Nonresidents, 1.070(h).
Orders, 1.070(f).
Personal, 1.070(e).
Persons authorized to serve, 1.070(b).
Pleadings, service of, 1.070(e).
Proof of service, 1.070(b).
Publication, 1.070(d)(e).
Subpoenas.



Age of process server, 1.410(d).
Deposition, 1.310(h)(2).
Generally, 1.351(c), 1.410(d).
Proof of service, 1.410(d).
Service as provided by law, 1.410(c).

Summons, issuance of, 1.070(a).
Time limit on service, 1.070(j).
Who may serve, 1.410(d).
SETTLEMENT, PROPOSALS FOR.
See PROPOSALS FOR SETTLEMENT.
SHAM PLEADINGS, 1.150.
SPECIAL DAMAGE, PLEADING, 1.120(g).
SPECIAL MATTERS, PLEADING, 1.120.
SPECIFIC PERFORMANCE, COMPLAINT FORM FOR, 1.941.
STANDARD INTERROGATORIES, Appendix.
STANDARD JURY INSTRUCTIONS.
Use, 1.470(b).
STATE, COUNTERCLAIM AGAINST, 1.170(d).
STATEMENT OF CLAIM.
Constitutional challenge.

Notice of compliance, 1.975.
State statute, charter, ordinance, or franchise, 1.071.

STATEWIDE UNIFORM GUIDELINES FOR TAXATION OF COSTS
IN CIVIL ACTIONS, Appendix.

STATUTE OF FRAUDS AS DEFENSE, FORM FOR, 1.969.
STATUTE OF LIMITATIONS, 1.650(d), 1.965.
STATUTE OF REPOSE, 1.650(d).
STATUTORY PROCEEDINGS, APPLICABILITY OF RULES TO,



1.010.
STAY OF EXECUTION, 1.550(b).
STIPULATIONS.
Case management conference, 1.200(a)(11).
Depositions, 1.300(c).
SUBPOENAS.
Attendance of witness, 1.410(b).
Contempt for failure to obey, 1.410(f).
Deposition.

Failure to serve for, 1.310(h)(2).
Foreign state, authorized by, 1.410(g).
Form, 1.912.
Generally, 1.320(a), 1.410(e).

Duces tecum.
For deposition, form, 1.913.
For trial, form, 1.911.
Generally, 1.310(b)(1), 1.410(e).
Without deposition, form, 1.922.

Failure to serve for deposition, 1.310(h)(2).
Generally, 1.410(a).
Minors, 1.410(h).
Production of documentary evidence, 1.410(c).

Form of responses to written discovery requests, 1.280(i).
Service.

See SERVICE OF PROCESS.
Trial, form for, 1.910.
SUBSTITUTION.
Parties, 1.260.
SUMMARY JUDGMENT, 1.510.



New trial and rehearing, motion, 1.530(a).
SUMMONS.
Crossclaim form, 1.903.
Eviction form, 1.923.
General form, 1.902(a).
Issued when action commenced, 1.070(a).
Mail, service by, 1.902(c).
Notice of lawsuit and request for waiver of service, 1.902(c).
Personal service on natural person, 1.902(b).
Third-party form, 1.904.
Time limit, 1.070(j).
Waiver, request for, 1.902(c).
SUPPLEMENTAL PLEADINGS.
Counterclaim, 1.170(e).
Generally, 1.190(d).
Time, 1.190(e).
SUPPLEMENTARY RESPONSES TO DISCOVERY REQUESTS,

1.280(f).
SURETY.
Proceedings against, 1.625.
SURVIVORSHIP OF PARTIES, 1.260(a)(2).



T

TAXATION OF COSTS IN CIVIL ACTIONS, GUIDELINES FOR,
Appendix.

TEMPORARY INJUNCTIONS.
See INJUNCTIONS.
TENANT.
Eviction complaint form, 1.947.
Eviction summons form, 1.923.
TESTIMONY, PERPETUATION OF, 1.290(c).
THIRD-PARTY PRACTICE.
Claim to property, 1.580.
Complaint.

Form, 1.948.
Generally, 1.100(a), 1.180.

Dismissal, 1.420(c).
Pleading claim, 1.110(b).
Separate trials, 1.270(b).
Summons form, 1.904.
TIME.
Court term, effect of expiration of, 1.090(c).
Defenses, service of, 1.140(a).
Depositions, 1.310(a), 1.310(b)(3), 1.320(a).
Motions and notices of hearing, service of, 1.090(d).
Service by mail, 1.070(i).
Summons, limit on service of, 1.070(j).
TRACING TABLE WITH FEDERAL RULES, Page CIV-13.
TRADE SECRETS, PROTECTIVE ORDERS REGARDING, 1.280(c).



TRANSCRIPT OF DEPOSITION, 1.310(e)(g).
TRANSFER OF ACTIONS.
Counterclaim or crossclaim, when demand in exceeds court jurisdiction,

1.170(j).
Interest, 1.260(c).
Method, 1.060(c).
Wrong court, 1.060(a), 1.140(b)(3).
Wrong venue, 1.060(b), 1.061.
TRIAL.
Action at issue, 1.440(a).
Consolidation of actions, 1.270(a).
Notice of trial, 1.440(b).
Notice that action is at issue, 1.440(b).
Separate trial ordered, 1.170(i), 1.270(b).
Setting action for, 1.200(a)(2), 1.440(c).
TRIAL PREPARATION.
See DISCOVERY.



V

VENUE.
Choice of venue, 1.061.
Improper, defense based on, 1.140(b).
Transfer of action when improper, 1.060(b)(c).
VERDICTS.
Forms, 1.986.
Punitive damages, 1.481.
VERIFICATION OF PLEADINGS NOT REQUIRED, 1.030.
Mortgage foreclosures, verification, 1.115(e).
VIEW BY JURY, 1.520.
VOIR DIRE QUESTIONNAIRE, 1.984.
VOLUNTARY DISMISSAL, 1.420(a).



W

WAIVER.
Defenses not presented, 1.140(h).
Jury trial, 1.430(e).
Objections as to depositions, 1.330(d).
WARRANTY, IMPLIED, 1.949.
WITNESSES.
Competency, 1.330(d)(3)(A).
Expert, 1.280(b)(5), 1.390(a).
Failure to make discovery, 1.380(d).
Refusal to be sworn, 1.380(b)(1).
Subpoenas, 1.410.
Testimony perpetuated by action, 1.290(c).
Without counsel at deposition, 1.310(b)(2).
WORK PRODUCT.
Generally, 1.280(b)(2), 1.280(b)(5).
Medical malpractice actions, 1.650(c)(3).
WRITS.
Attachment forms, 1.9051.906.
Audita querela abolished, 1.540(b).
Bills of review abolished, 1.540(b).
Distress, 1.909.
Extraordinary remedies, 1.630.
Garnishment, 1.907.
Possession, 1.580.
Replevin, 1.908.



Licensed to Otis K Pitts, Otis K Pitts

FLORIDA RULES 
OF 

GENERAL PRACTICE 
AND 

JUDICIAL 
ADMINISTRATION

2023 Edition

Rules reflect all changes through 47 FLW S283. Subsequent amendments, if
any, can be found at www.floridasupremecourt.org/decisions/rules.shtml. The
Florida Bar also updates the rules on its website at www.FloridaBar.org (on
the homepage click Rules Updates).

 
 
 

THE FLORIDA BAR 
TALLAHASSEE, FLORIDA 32399-2300



CITATIONS TO OPINIONS ADOPTING OR AMENDING
RULES

ORIGINAL ADOPTION, effective 7-1-78: 360 So.2d 1076.
OTHER   
OPINIONS:
Effective 1-1-79: 364 So.2d 466. Amended 2.070(f).
Effective 7-1-79: 372 So.2d 449. Amended 2.010-2.130.
Effective 2-21- 380 So.2d 1027. Amended 2.060(b).
80:
Effective 1-1-81: 389 So.2d 202. Four-year-cycle revision. Amended

2.050(e), 2.130.
Effective 1-1-81: 391 So.2d 214. Amended 2.040(b)(3), 2.050(c).
Effective 1-1-82: 403 So.2d 926. Added 2.075.
Effective 12-1- 442 So.2d 198. Added 2.035.
83:
Effective 2-23- 446 So.2d 87. Amended 2.035.
84:
Effective 1-1-85: 458 So.2d 1110. Four-year-cycle revision. Amended

2.140(b)(2); added 2.130(b)(5);
renumbered 2.130(b)(6).

Effective 1-1-85: 462 So.2d 444. Added 2.071.
Effective 3-1-85: 465 So.2d 1217. Added 2.125.
Effective 7-1-86: 493 So.2d 423. Added 2.085.
Effective 2-1-87: 500 So.2d 524. Amended 2.040(a)(2), 2.050(c).
Effective 7-1-87: 507 So.2d 1390. Amended 2.050(d), 2.070(e).
Effective 7-1-87: 509 So.2d 276. Amended 2.130(f).
Effective 1-1-88: 518 So.2d 258. Added 2.150.
Effective 1-1-89: 532 So.2d 667. See revised opinion at 536 So.2d

195.



Effective 1-1-89: 536 So.2d 195. Four-year-cycle revision. Amended
2.050(c), 2.060(d), (h)-(j), 2.070(h),
2.085(a), (c).

Effective 6-1-89: 543 So.2d 1244. Added 2.125(b)(1)(I), (b)(1)(J).
Effective 11-9- 552 So.2d 194. Added 2.125(b)(1)(K).
89:
Effective 1-11- 555 So.2d 848. Added 2.125(b)(1)(L).
90:
Effective 1-18- 550 So.2d 457. Added 2.055.
90:
Effective 6-15- 560 So.2d 786. Added 2.030(a)(3)(D).
90:
Effective 10-22- 607 So.2d 39. Amended 2.130(b)(3).
92:
Effective 10-29- 608 So.2d 472. Added 2.051.
92:
Effective 1-1-93: 609 So.2d 465. Four-year-cycle revision.

Substantively amended 2.040(b)(5),
2.055, 2.060, 2.071, 2.085, 2.130;
added 2.160, 2.170.

Effective 12-23- 634 So.2d 604. Amended 2.110(b).
93:
Effective 2-9-95: 650 So.2d 30. Amended 2.170.
Effective 2-23- 650 So.2d 38. Amended 2.070.
95:
Effective 3-23- 651 So.2d 1185. Amended 2.051.
95:
Effective 3-30- 652 So.2d 811. Amended 2.125.
95:
Effective 5-9-95: 654 So.2d 917. Amended 2.070(d)(2).
Effective 6-15- 656 So.2d 926. Amended 2.125.
95:
Effective 1-1-96: 661 So.2d 806. Amended 2.070(b).
Effective 1-1-96: 665 So.2d 218. Amended 2.035.



Effective 4-11- 672 So.2d 523. Amended 2.050(b)(4), 2.050(b)(7);
96: added 2.050(h).
Effective 6-27- 675 So.2d 1376. Added 2.072.
96:
Effective 8-29- 678 So.2d 1285. Added court commentary to 2.050.
96:
Effective 1-1-97: 681 So.2d 698. Added 2.060(f), renumbered

2.060(f)-(l); amended 2.075, 2.090.
Effective 1-1-97: 682 So.2d 89. Four-year-cycle revision. Added

2.030(a)(2)(B)(iv), 2.052, 2.065,
2.135, 2.180; amended 2.050(c), (e)
(1)(F), (e)(3), (h), 2.055(c), 2.125
(for style); deleted 2.055(e).

Effective 2-7-97: 688 So.2d 320. Added 2.050(b)(10).
Effective 7-17- 697 So.2d 144. Partially suspended application of
97: 2.055(c) until January 1, 1999.
Effective 1-1-98: 701 So.2d 1164. Amended 2.060(f), 2.090(c).
Effective 11-20- 701 So.2d 864. Amended 2.050(b)(10).
97:
Effective 1-1-99: 711 So.2d 29. Amended 2.055(c), added a new (d),

and redesignated former (d) as (e).
Effective 2-1-99: 746 So.2d 1073. Amended 2.051(c)(7).
Effective 5-25- 766 So.2d 999. Added 2.071(f).
00:
Effective 7-14- 772 So.2d 532. Added 2.070(i).
00:
Effective 12-1- 774 So.2d 625. Added 2.053.
00:
Effective 1-1-01: 780 So.2d 819. Four-year-cycle revision. Amended

2.020, 2.053(b)(1)(A), 2.060, 2.070,
2.071(d), 2.130(a), (c), (e)-(g);
added 2.061, 2.140(c).

Effective 7-1-01: 796 So.2d 477. Added 2.054.
Effective 10-1- 797 So.2d 1213. Amended 2.050(b).



01:
Effective 1-1-02: 812 So.2d 401. Amended 2.054(e).
Effective 3-7-02: 825 So.2d 889. Amended 2.030, 2.040, 2.051,

2.075; added 2.076 and Judicial
Branch Retention Schedule for
Administrative Records.

Effective 10-1- 826 So.2d 233. Amended 2.050, 2.052, 2.085.
02:
Effective 9-19- 828 So.2d 994. Amended 2.130.
02:
Effective 7-10- 851 So.2d 698. Amended 2.050, 2.053, 2.130.
03:
Effective 1-1-04: 851 So.2d 698. Two-year-cycle revision. Amended

2.060, 2.070, 2.085, 2.160, 2.170.
Effective 1-1-04: 860 So.2d 394. Amended 2.060.
Effective 10-14- 888 So.2d 614. Amended 2.035.
04:
Effective 1-1-05: 885 So.2d 870. Amended 2.160.
Effective 1-1-05: 889 So.2d 68. Amended 2.085.
Effective 5-12- 907 So.2d 1138. Amended 2.061.
05:
Effective 11-3- 915 So.2d 157. Two-year-cycle revision. Amended
05: 2.130.
Effective 1-1-06: 915 So.2d 157. Two-year-cycle revision. Amended

2.050, 2.051, 2.060, 2.071, 2.085.
Effective 1-1-06: 915 So.2d 145. Amended 2.030.
Effective 2-16- 921 So.2d 615. Adopted 2.036.
06:
Effective 3-2-06: 923 So.2d 1160. Amended 2.050.
Effective 7-1-06: 933 So.2d 504. Adopted 2.073(a)-(d), (f).
Effective 7-6-06: 933 So.2d 1136. Amended 2.035.
Effective 9-21- 939 So.2d 966. Reorganization of rules. Adopted
06: 2.140(g).
Effective 9-28- 939 So.2d 1051. Amended 2.235.



06:
Effective 4-5-07: 954 So.2d 16. Amended 2.420.
Effective 5-17- 957 So.2d 1168. Adopted 2.244.
07:
Effective 11-3- 915 So.2d 145. Amended 2.150(b)(3) [2.320(b)(3)].
07:
Effective 1-1-08: 967 So.2d 178. Adopted 2.256, 2.430(l)
Effective 1-17- 973 So.2d 437. Amended 2.430.
08:
Effective 1-31- 974 So.2d 1066. Amended 2.240.
08:
Effective 4-1-08: 978 So.2d 805. Amended 2.215.
Effective 7-1-08: 933 So.2d 504. Adopted 2.073(e) [2.560(e)].
Effective 10-1- 992 So.2d 237. Amended 2.215.
08:
Effective 1-1-09: 986 So.2d 560. Three-year-cycle revision. Amended

2.130, 2.140, 2.215, 2.330.
Effective 1-1-09: 991 So.2d 842. Amended 2.510.
Effective 7-16- 13 So.3d 1044. Amended 2.535.
09:
Effective 3-18- 31 So.3d 756. Amended 2.420.
10:
Effective 5-20- 41 So.3d 881. Amended 2.540.
10:
Effective 7-1-10: 41 So.3d 128. Adopted 2.236.
Effective 10-1- 31 So.3d 756. Amended 2.420(d).
10:
Effective 12-9- 51 So.3d 1151. Amended 2.320(a)(2).
10:
Effective 2-24- 75 So.3d 1241. Amended 2.215(b)(10)(C).
11:
Effective 7-7-11: 68 So.3d 228. Amended 2.420(d)(1)(B)(xx).
Effective 10-1- 80 So.3d 317. Adopted 2.425.



11:
Effective 10-6- 75 So.3d 203. Amended 2.545(d)(2).
11:
Effective 1-1-12: 73 So.3d 210. Three-year-cycle revision. Amended

2.505(f)(1), 2.510(a), (b)(2),
2.525(g), 2.530(d)(1); adopted
2.526.

Effective 2-9-12: 121 So.3d 1. Amended 2.205, 2.210, 2.215,
2.220, 2.225, 2.230, 2.235, 2.244.

Effective 7-12- 95 So.3d 115. Amended 2.425.
12:
Effective 9-1-12 102 So.3d 505. Amended 2.515, Adopted 2.516.
Effective 10-01- 95 So.3d 96. Adopted 2.514.
12:
Effective 6-21- 102 So.3d 451. Amended 2.430, 2.510, 2.516,
12: 2.520, 2.525, 2.535.
Effective 12-20- 119 So3d 1211. Amended 2.205, 2.220.
12:
Effective 2-7-13: 124 So.3d 807. Amended 2.140.
Effective 4-4-13 112 So.3d 1173. Amended 2.516.
Effective 5-1-13: 124 So.3d 819. Amended 2.420.
Effective 10-1- 118 So.3d 193. Adopted 2.451.
13:
Effective 10-31- 125 So.3d 754. Amended 2.220.
13:
Effective 11-14- 126 So.3d 222. Amended 2.515, 2.516, 2.525.
13:
Effective 11-14- 129 So.3d 358. Amended 2.240, 2.241.
13:
Effective 1-1-14: 125 So.3d 743. Amended 2.205, 2.210.
Effective 4-1-14: 132 So.3d 1114. Amended 2.545.
Effective 1-15- 148 So.3d 1171. Amended 2.215, 2.535.
15:
Effective 1-15- 150 So.3d 787. Amended 2.430, 2.510.



15:
Effective 1-1-15: 39 FLW S718. Amended 2.520. (Opinion

withdrawn; see below.)
Effective 1-22- 156 So.3d 499. Amended 2.420.
15:
Effective 4-2-15: 161 So.3d 1254. Amended 2.520.
Effective 9-10- 174 So.3d 991. Adopted 2.340.
15:
Effective 10-1- 176 So.3d 267. Amended 2.560, Adopted 2.565.
15:
Effective 2-4-16: 198 So.3d 592. Amended 2.425.
Effective 3-24- 190 So.3d 1053. Amended 2.535.
16:
Effective 4-16- 189 So.3d 141. Amended 2.516 and 2.525.
16:
Effective 4-21- 190 So.3d 1080. Amended 2.240.
16:
Effective 12-8- 206 So.3d 1. Amended 2.560 and 2.565.
16:
Effective 4-6-17: 214 So.3d 623. Amended 2.205.
Effective 1-1-18: 226 So.3d 223. Amended 2.140, 2.510, 2.516.
Effective 1-18- 233 So.3d 1022. Amended 2.420.
18:
Effective 7-1-18: 244 So.3d 1005. Amended 2.560 and 2.565.
Effective 7-6-18: 248 So.3d 1083. Amended 2.205.
Effective 1-1-19: 257 So.3d 66. Amended 2.514, 2.516.
Effective 7-1-19: 285 So.3d 870. Amended 2.420.
Effective 7-11- 276 So.3d 257. Amended 2.230.
19:
Effective 10-3- 280 So.3d 452. Amended 2.420.
19:
Effective 11-7- 284 So.3d 964. Amended 2.420.
19:



Effective 1-1-20: 285 So.3d 931. Amended 2.240.
Effective 1-1-20: 288 So.3d 512. Adopted 2.570.

Effective 3-13- 291 So.3d 899. Amended 2.205.
20:
Effective 4-1-20: 45 FLW S88. Adopted 2.270 and 2.580.
Effective 6-1-20: 289 So.3d 1264. Amended 2.140.
Effective 7-2-20: 302 So.3d 746. Amended 2.420.
Effective 9-10- 302 So.3d 315. Amended 2.220.
20:
Effective 1-21- 320 So.3d 626. Amended 2.420.
21:
Effective 1-21- 310 So.3d 374. Amended 2.110, 2.265, 2.330,
21: 2.505, 2.510.
Effective 1-28- 312 So.3d 445. Amended 2.270, 2.580.
21:
Effective 9-2-21: 327 So.3d 1198. Amended 2.244.
Effective 10-28- 344 So.3d 940. Amended 2.140, 2.215, 2.240,
21: 2.241, 2.420, 2.451, 2.514, 2.545.
Effective 11-18- 334 So.3d 292. Adopted 2.423.
21:
Effective 5-12- 346 So.3d 1097 Amended 2.215.
22:
Effective 7-14- 346 So.3d 1105 Amended 2.256, 2.451, 2.515,
22: 2.516, 2.530; Adopted 2.601-2603.
Effective 9-1-22: 347 So.3d 310 Amended 2.240.
Effective 11-17- 47 FLW S283 Amended 2.420.
22:
NOTE TO USERS: Rules reflect all changes through 47 FLW S283.
Subsequent amendments, if any, can be found at
www.floridasupremecourt.org/decisions/rules.shtml. The Florida Bar also
updates the rules on its website at www.FloridaBar.org (on the homepage
click Rules Updates).






TABLE OF CONTENTS

__________

PART I. GENERAL PROVISIONS

RULE
2.110. SCOPE AND PURPOSE
2.120. DEFINITIONS
2.130. PRIORITY OF FLORIDA RULES OF APPELLATE PROCEDURE
2.140. AMENDING RULES OF COURT

PART II. STATE COURT ADMINISTRATION

2.205. THE SUPREME COURT
2.210. DISTRICT COURTS OF APPEAL
2.215. TRIAL COURT ADMINISTRATION
2.220. CONFERENCES OF JUDGES
2.225. JUDICIAL MANAGEMENT COUNCIL
2.230. TRIAL COURT BUDGET COMMISSION
2.235. DISTRICT COURT OF APPEAL BUDGET COMMISSION
2.236. FLORIDA COURTS TECHNOLOGY COMMISSION
2.240. DETERMINATION OF NEED FOR ADDITIONAL JUDGES
2.241. DETERMINATION OF THE NECESSITY TO INCREASE,

DECREASE, OR REDEFINE JUDICIAL CIRCUITS AND
APPELLATE DISTRICTS

2.244. UNIFIED COMMITTEE ON JUDICIAL COMPENSATION.
2.245. CASE REPORTING SYSTEM FOR TRIAL COURTS
2.250. TIME STANDARDS FOR TRIAL AND APPELLATE COURTS



AND REPORTING 
REQUIREMENTS

2.255. STATEWIDE GRAND JURY
2.256. JUROR TIME MANAGEMENT
2.260. CHANGE OF VENUE
2.265. MUNICIPAL ORDINANCE VIOLATIONS
2.270. SUPREME COURT COMMITTEES ON STANDARD JURY

INSTRUCTIONS

PART III. JUDICIAL OFFICERS

2.310. JUDICIAL DISCIPLINE, REMOVAL, RETIREMENT, AND
SUSPENSION

2.320. CONTINUING JUDICIAL EDUCATION
2.330. DISQUALIFICATION OF TRIAL JUDGES
2.340. JUDICIAL ATTIRE

PART IV. JUDICIAL PROCEEDINGS AND RECORDS

2.410. POSSESSION OF COURT RECORDS
2.420. PUBLIC ACCESS TO AND PROTECTION OF JUDICIAL

BRANCH RECORDS
2.423. MARSYS LAW CRIME VICTIM INFORMATION WITHIN

COURT FILING
2.425. MINIMIZATION OF THE FILING OF SENSITIVE

INFORMATION
2.430. RETENTION OF COURT RECORDS
2.440. RETENTION OF JUDICIAL BRANCH ADMINISTRATIVE

RECORDS
2.450. TECHNOLOGICAL COVERAGE OF JUDICIAL PROCEEDINGS
2.451. USE OF ELECTRONIC DEVICES



PART V. PRACTICE OF LAW

A. ATTORNEYS

2.505. ATTORNEYS
2.510. FOREIGN ATTORNEYS

B. PRACTICE AND LITIGATION PROCEDURES

2.514. COMPUTING AND EXTENDING TIME
2.515. SIGNATURE AND CERTIFICATES OF ATTORNEYS AND

PARTIES
2.516. SERVICE OF PLEADINGS AND DOCUMENTS
2.520. DOCUMENTS
2.525. ELECTRONIC FILING
2.526. ACCESSIBILITY OF INFORMATION AND TECHNOLOGY
2.530. COMMUNICATION TECHNOLOGY
2.535. COURT REPORTING
2.540. REQUESTS FOR ACCOMMODATIONS BY PERSONS WITH

DISABILITIES
2.545. CASE MANAGEMENT
2.550. CALENDAR CONFLICTS
2.555. INITIATION OF CRIMINAL PROCEEDINGS
2.560. APPOINTMENT OF SPOKEN LANGUAGE COURT

INTERPRETERS FOR NON-ENGLISH-SPEAKING AND LIMITED-
ENGLISH-PROFICIENT PERSONS

2.565. RETENTION OF SPOKEN LANGUAGE COURT INTERPRETERS
FOR NON-ENGLISH-SPEAKING AND LIMITED-ENGLISH-
PROFICIENT PERSONS BY ATTORNEYS OR SELF-
REPRESENTED LITIGANTS

2.570. PARENTAL-LEAVE CONTINUANCE



2.580. STANDARD JURY INSTRUCTIONS
2.601. REQUEST TO BE EXCUSED FROM E-MAIL SERVICE BY A

PARTY NOT REPRESENTED BY AN ATTORNEY
2.602. DESIGNATION OF E-MAIL ADDRESS BY A PARTY NOT

REPRESENTED BY AN ATTORNEY
2.603. CHANGE OF MAILING ADDRESS OR DESIGNATED E-MAIL

ADDRESS
JUDICIAL BRANCH RECORDS RETENTION SCHEDULE FOR

ADMINISTRATIVE RECORDS
SUBJECT INDEX



FLORIDA RULES OF GENERAL PRACTICE & JUDICIAL
ADMINISTRATION

________
 Pt. I. 

Florida Rules of General Practice & Judicial Admin, Pt. I



PART I. GENERAL PROVISIONS
 Pt. I. ,  Rule 2.110. 

Fla. R. Gen. Prac. & Jud. Admin. 2.110

RULE 2.110. SCOPE AND PURPOSE.
These rules, cited as Florida Rules of General Practice and Judicial

Administration and abbreviated as Fla. R. Gen. Prac. & Jud. Admin., have
been in effect since 12:01 a.m. on July 1, 1979. They shall apply to
administrative matters in all courts to which the rules are applicable by their
terms. The rules shall be construed to secure the speedy and inexpensive
determination of every proceeding to which they are applicable. These rules
shall supersede all conflicting rules and statutes.



 Pt. I. ,  Rule 2.120. 
Fla. R. Gen. Prac. & Jud. Admin. 2.120

RULE 2.120. DEFINITIONS.
The following terms have the meanings shown as used in these rules:
(a) Court Rule: A rule of practice or procedure adopted to facilitate the

uniform conduct of litigation applicable to all proceedings, all parties, and all
attorneys.

(b) Local Court Rule:
(1) A rule of practice or procedure for circuit or county application only

that, because of local conditions, supplies an omission in or facilitates
application of a rule of statewide application and does not conflict
therewith.

(2) A rule that addresses other matters that are required by the Florida
Constitution, general law, rules of court, or a supreme court opinion to be
adopted by or in a local rule.
(c) Administrative Order: A directive necessary to administer properly

the courts affairs but not inconsistent with the constitution or with court
rules and administrative orders entered by the supreme court.



 Pt. I. ,  Rule 2.130. 
Fla. R. Gen. Prac. & Jud. Admin. 2.130

RULE 2.130. PRIORITY OF FLORIDA RULES OF APPELLATE
PROCEDURE.

The Florida Rules of Appellate Procedure shall control all proceedings in
the supreme court and the district courts, and all proceedings in which the
circuit courts exercise their appellate jurisdiction, notwithstanding any
conflicting rules of procedure.



 Pt. I. ,  Rule 2.140. 
Fla. R. Gen. Prac. & Jud. Admin. 2.140

RULE 2.140. AMENDING RULES OF COURT.
(a) Amendments Generally. The following procedure shall be followed

for consideration of rule amendments generally other than those adopted
under subdivisions (d), (e), (f), and (g):

(1) Suggestions for court rules, amendments to them, or abrogation of
them may be made by any person.

(2) Rules suggestions shall be submitted to the clerk of the supreme
court, the committee chair(s) of a Florida Bar committee listed in
subdivision (a)(3), or the Bar staff liaison of The Florida Bar in writing and
shall include a general description of the proposed rule change or a
specified proposed change in content. The clerk of the supreme court shall
refer proposals to the appropriate committee under subdivision (a)(3).

(3) The Florida Bar shall appoint the following committees to consider
rule proposals: Civil Procedure Rules Committee, Criminal Procedure
Rules Committee, Small Claims Rules Committee, Traffic Court Rules
Committee, Appellate Court Rules Committee, Juvenile Court Rules
Committee, Code and Rules of Evidence Committee, Rules of General
Practice and Judicial Administration Committee, Probate Rules
Committee, and Family Law Rules Committee.

(4) Each committee shall be composed of attorneys and judges with
extensive experience and training in the committees area of concentration.
Members of the Rules of General Practice and Judicial Administration
Committee shall also have previous rules committee experience or
substantial experience in the administration of the Florida court system.
The chair of each rules committee shall appoint one of its members to the
Rules of General Practice and Judicial Administration Committee to serve
as a regular member of the Rules of General Practice and Judicial
Administration Committee to facilitate and implement routine periodic
reporting by and to the Rules of General Practice and Judicial
Administration Committee on the development and progress of rule
proposals under consideration and their potential impact on other existing
or proposed rules. The members of each rules committee shall serve for 3-



year staggered terms, except members appointed by a rules committee
chair to the Rules of General Practice and Judicial Administration
Committee who shall serve at the pleasure of the respective rules
committee chairs. The president-elect of The Florida Bar shall appoint
sitting members of each rules committee to serve as chair(s) and vice
chair(s) for each successive year.

(5) The rules committees may originate proposals and shall regularly
review and reevaluate the rules to advance orderly and inexpensive
procedures for the administration of justice. The committees shall consider
and vote on each proposal. The rules committees may accept or reject
proposed amendments or may amend proposals. The rules committees
shall prepare meeting agendas and minutes reflecting the status of rules
proposals under consideration and actions taken. Copies of the minutes
shall be furnished to the clerk of the supreme court, to the board of
governors of The Florida Bar, and to the proponent of any proposal
considered at the meeting. Each rules committee shall furnish promptly
and timely to every other rules committee all meeting agendas and all
minutes or other record of action taken.

(6) The Rules of General Practice and Judicial Administration
Committee shall serve as the central rules coordinating committee. All
committees shall provide a copy of any proposed rules changes to the
Rules of General Practice and Judicial Administration Committee within
30 days of a committees affirmative vote to recommend the proposed
change to the supreme court. The Rules of General Practice and Judicial
Administration Committee shall then refer all proposed rules changes to
those rules committees that might be affected by the proposed change.

(7) Whenever the Rules of General Practice and Judicial Administration
Committee receives a request to coordinate the submission of a single
comprehensive report of proposed rule amendments on behalf of multiple
rules committees, the general procedure shall be as follows:

(A) The subcommittee chairs handling the matter for each committee
will constitute an ad hoc committee to discuss the various committees
recommendations and to formulate time frames for the joint response.
The chair of the ad hoc committee will be the assigned Rules of General
Practice and Judicial Administration Committee subcommittee chair.



(B) At the conclusion of the work of the ad hoc committee, a
proposed joint response will be prepared by the ad hoc committee and
distributed to the committee chairs for each committees review and
final comments.

(C) The Rules of General Practice and Judicial Administration
Committee shall be responsible for filing the comprehensive final report.

(b) Rules Proposals.
(1) Each rules committee may report proposed rule changes to the

supreme court whenever the committee determines rule changes are
needed.

(2) Before filing a report of proposed rule changes with the supreme
court, the committee report shall be furnished to the Speaker of the Florida
House of Representatives, the President of the Florida Senate, and the
chairs of the House and Senate committees as designated by the Speaker
and the President, and published on the website of The Florida Bar, and in
The Florida Bar News. Any person desiring to comment upon proposed
rule changes shall submit written comments to the appropriate committee
chair(s) as provided in the notice. The committee shall consider any
comments submitted. Any changes made shall be furnished to the Speaker
of the Florida House of Representatives, the President of the Florida
Senate, and the chairs of the House and Senate committees as designated
by the Speaker and the President, and published on the website of The
Florida Bar and in The Florida Bar News. Any person desiring to comment
thereafter shall submit written comments to the supreme court in
accordance with subdivision (b)(6).

(3) After review of comments received and prior to the filing of a report
by a committee, the board of governors shall consider the proposals and
shall vote on each proposal to recommend acceptance, rejection, or
amendment.

(4) The committee and the executive director of The Florida Bar shall
file the report of the proposed rule changes with the supreme court. The
committee may amend its recommendations to coincide with the
recommendations of the board of governors or may decline to do so or may
amend its recommendations in another manner. Any such amendments



also shall be reported to the supreme court. The report and proposed rule
changes must conform to the Guidelines for Rules Submissions approved
by administrative order and posted on the websites of the supreme court
and The Florida Bar. Consistent with the requirements that are fully set
forth in the Guidelines, the report shall include:

(A) a list of the proposed changes, together with a detailed
explanation of each proposal that includes a narrative description of how
each amendment changes the language of the rule and a thorough
discussion of the reason for each change;

(B) the final numerical voting record of the proposals in the
committee;

(C) the name and address of the proponent of each change, if other
than a member of the rules committee;

(D) a report of the action taken by the committee on comments
submitted in accordance with subdivision (b)(2);

(E) a report of the action and voting record of the board of governors;
(F) any dissenting views of the committee and, if available, of the

board; and
(G) an appendix containing all comments submitted to the committee,

all relevant background documents, the proposed amendments in
legislative format, and a two-column chart setting forth the proposed
changes in legislative format in the left column and a brief summary of
the explanation of each change given in the report in the right column.

The report and the proposed rule changes shall be filed with the supreme
court in an electronic format approved by the supreme court.

(5) If oral argument is deemed necessary, the supreme court shall
establish a date for oral argument on the proposals. Notice of the oral
argument on the proposals and a copy of the proposals shall be furnished to
the affected committee chair(s) and vice chair(s), the executive director
and staff liaison of The Florida Bar, all members of the Judicial
Management Council, the clerk and chief judge of each district court of
appeal, the clerk and chief judge of each judicial circuit, the Speaker of the
Florida House of Representatives, the President of the Florida Senate, the



chairs of the House and Senate committees as designated by the Speaker
and the President, and any person who has asked in writing filed with the
clerk of the supreme court for a copy of the notice. The clerk may provide
the notice electronically. The recommendations or a resume of them shall
be published on the websites of the supreme court and The Florida Bar and
in The Florida Bar News before the oral argument or consideration of the
proposals without oral argument. Notice of the oral argument, if scheduled,
shall also be published on the website of the supreme court.

(6) Within the time allowed for comments set by the supreme court, any
person may file comments concerning the proposals. All comments and
other submissions by interested persons shall be filed with the clerk of the
supreme court and served on the chair(s) of the appropriate rules
committee, the Bar staff liaison, and on the proponent of the rule change if
other than a member of the rules committee. The chair(s) of the rules
committee and the executive director of The Florida Bar shall file a
response to all comments within the time period set by the court. All
comments and other submissions regarding the rule change proposals shall
be filed in an approved electronic format with the supreme court. As soon
as practicable after the date of filing, the clerk of the supreme court shall
publish on the website of the supreme court all comments and the
responses of the chair(s) of the rules committee that have been filed
concerning the proposals. All requests or submissions by a rules committee
made in connection with a pending rule change proposal shall be filed with
the clerk of the supreme court and thereafter published by the clerk of the
supreme court on the websites of the supreme court and The Florida Bar.

(7) Rules changes adopted by the court shall be made effective either
July 1 of the year of their adoption or January 1 of the year following their
adoption or on such other date as may be requested by the committee or set
by the court. The supreme court may permit motions for rehearing to be
filed on behalf of any person who filed a comment, The Florida Bar, any
bar association, and the affected committee.
(c) Rejected Proposals. If a committee rejects a proposal, the proponent

may submit the proposed rule to the board of governors and shall notify the
chair(s) and vice chair(s) of the affected committee of the submission of the
proposed rule to the board of governors. Minority reports of committees are
allowed and may be submitted to both the board of governors and the



supreme court.
(d) Amendments by Court. The supreme court, with or without notice,

may change court rules, on its own motion, at any time without reference to a
rules committee for recommendations. The rule changes must conform to the
Rules Style Guide contained in the Guidelines for Rules Submissions
approved by administrative order and posted on the websites of the supreme
court and The Florida Bar. The change may become effective immediately or
at a future time. In either event, the court shall give notice of and fix a date
for further consideration of the change. Any person may file comments
concerning the change, seeking its abrogation or a delay in the effective date,
in accordance with the procedures set forth in subdivision (b)(6). The court
may allow oral argument on the proposal or change. Notice of the oral
argument, if scheduled, on the change and a copy of the change shall be
furnished to the affected committee chair(s) and vice chair(s), the executive
director and staff liaison of The Florida Bar, all members of the Judicial
Management Council, the clerk and chief judge of each district court of
appeal, the clerk and chief judge of each judicial circuit, the Speaker of the
Florida House of Representatives, the President of the Florida Senate, the
chairs of the House and Senate committees as designated by the Speaker and
the President, and any person who has asked in writing filed with the clerk of
the supreme court for a copy of the notice. The clerk may provide the notice
electronically. Notice of the change shall be published on the websites of the
supreme court and The Florida Bar, and in The Florida Bar News either
before or after the change is adopted. Notice of the oral argument, if
scheduled, shall also be published on the website of the supreme court.

(e) Expedited Proposals and Proposals in Response to Legislative
Changes by Rules Committees. If, in the opinion of a committee, a proposal
warrants expedited consideration or a rule amendment is necessary due to
changes in legislation, and the board of governors concurs, proposals may be
made to the supreme court using the committees fast-track procedures. The
report and proposed rule changes may be filed without prior publication for
comment and must conform to the Guidelines for Rules Submissions
approved by administrative order and posted on the websites of the supreme
court and The Florida Bar. The rules committees fast-track procedures shall
be used to address legislative changes to ensure that ordinarily any resulting
proposed rule amendments can be adopted by the court before the effective



date of the legislation. If the court agrees that a proposal warrants expedited
consideration or a rule change is necessary due to a legislative change, the
court may publish the rule amendment for comment after adopting it or may
set a time for oral argument or for consideration of the proposal without oral
argument. Notice of the oral argument on the proposals, if scheduled before
or after adoption, and a copy of the proposals shall be furnished to the
affected committee chair(s) and vice chair(s), the executive director and the
staff liaison of The Florida Bar, all members of the Judicial Management
Council, the clerk and chief judge of each district court of appeal, the clerk
and chief judge of each judicial circuit, the Speaker of the Florida House of
Representatives, the President of the Florida Senate, the chairs of the House
and Senate committees as designated by the Speaker and the President, and
any person who has asked in writing filed with the clerk of the supreme court
for a copy of the notice. The clerk may provide the notice electronically.
Prior to or after their adoption, the recommendations or a resume of them
shall be published on the websites of the supreme court and The Florida Bar,
and in The Florida Bar News. Any person may file comments concerning the
changes, in accordance with the procedures set forth in subdivision (b)(6).
Notice of the oral argument, if scheduled, shall also be published on the
website of the supreme court.

(f) Request by Court. The supreme court may refer a specific rules
proposal or issue to a rules committee for consideration and may require the
committee to report its recommendation with the recommendations of the
board of governors. All requests or submissions by a rules committee made in
connection with a request under this subdivision shall be filed with or
submitted to the clerk of the supreme court as provided in this subdivision.

(1) Recommended Rule Changes. A rule change recommended in
response to a request under this subdivision shall be reported to the
supreme court in accordance with subdivision (b), unless the court directs
or the committee determines and the board of governors agrees that a
proposed rule change warrants expedited consideration. If a recommended
change warrants expedited consideration, the subdivision (e) procedures
shall apply. A report filed under this subdivision shall state that it is filed in
response to a request by the court under this subdivision.

(2) No Action Recommendations. If the court refers a matter to a rules
committee for consideration only and does not direct the committee to



propose a rule change, and after considering the matter referred the
committee determines that no rule change is warranted, the committee
shall submit a no action report to the court explaining its
recommendation that no rule change is needed. A no action
recommendation should not be included in a report proposing rule changes
filed under any other subdivision of this rule. After the court considers the
recommendation, the clerk shall notify the rules committee chair(s) and the
executive director and the staff liaison of The Florida Bar whether any
further action is required of the committee.
(g) Amendments to the Rules of General Practice and Judicial

Administration.
(1) Amendments Without Referral to Rules Committee. Changes to

the Rules of General Practice and Judicial Administration contained in Part
II, State Court Administration, of these rules, and rules 2.310, and 2.320,
contained in Part III, Judicial Officers, generally will be considered and
adopted by the supreme court without reference to or proposal from the
Rules of General Practice and Judicial Administration Committee. The
supreme court may amend rules under this subdivision at any time, with or
without notice. If a change is made without notice, the court shall fix a date
for future consideration of the change and the change shall be published on
the websites of the supreme court and The Florida Bar, and in The Florida
Bar News. Any person may file comments concerning the change, in
accordance with the procedures set forth in subdivision (b)(6). The court
may hear oral argument on the change. Notice of the oral argument on the
change, if scheduled, and a copy of the change shall be provided in
accordance with subdivision (d).

(2) Other Amendments. Amendments to all other Rules of General
Practice and Judicial Administration shall be referred to or proposed by the
Rules of General Practice and Judicial Administration Committee and
adopted by the supreme court as provided in subdivisions (a), (b), (c), (d),
(e), and (f).
(h) Local Rules Proposed by Trial Courts. The foregoing procedure

shall not apply to local rules proposed by a majority of circuit and county
judges in the circuit. The chief justice of the supreme court may appoint a
Local Rule Advisory Committee to consider and make recommendations to



the court concerning local rules and administrative orders submitted pursuant
to rule 2.215(e).

COMMITTEE NOTES

1980 Amendment. Rule 2.130 [renumbered as 2.140 in 2006] is entirely
rewritten to codify the procedures for changes to all Florida rules of
procedure as set forth by this court in In re Rules of Court: Procedure for
Consideration of Proposals Concerning Practice and Procedure, 276 So.2d
467 (Fla.1972), and to update those procedures based on current practice. The
Supreme Court Rules Advisory Committee has been abolished, and the Local
Rules Advisory Committee has been established.



 Pt. II. 
Florida Rules of General Practice & Judicial Admin, Pt. II



PART II. STATE COURT ADMINISTRATION
 Pt. II. ,  Rule 2.205. 

Fla. R. Gen. Prac. & Jud. Admin. 2.205

RULE 2.205. THE SUPREME COURT.
(a) Internal Government.

(1) Exercise of Powers and Jurisdiction.
(A) The supreme court shall exercise its powers, including

establishing policy for the judicial branch, and jurisdiction en banc. Five
justices shall constitute a quorum and the concurrence of 4 shall be
necessary to a decision. In cases requiring only a panel of 5, if 4 of the 5
justices who consider the case do not concur, it shall be submitted to the
other 2 justices.

(B) Consistent with the authority of the supreme court to establish
policy, including recommending state budget and compensation
priorities for the judicial branch, no judge, supreme court created
committee, commission, task force, or similar group, and no conference
(Conference of District Court of Appeal Judges, Conference of Circuit
Court Judges, Conference of County Court Judges) is permitted to
recommend to any legislative or executive branch entity state budget
priorities, including compensation and benefits that have not been
approved by the supreme court, or any policy inconsistent with a policy
position adopted by the supreme court. This subdivision is not intended
to apply to judges expressing their personal views who affirmatively
state that they are not speaking on behalf of the judicial branch. No
resources of any judicial branch entity may be used to facilitate or
support the expression of such personal views.

(C) Newly created judicial branch commissions, committees, task
forces, work groups, and similar study or advisory groups must be
established by the supreme court, not solely by the chief justice. Such
study or advisory groups may be created and charged by rule adopted by
the court, or by administrative order issued by the chief justice in
accordance with court action. Members of such groups shall be
appointed by administrative order of the chief justice, after consultation



with the court. When practicable, ad hoc committees and other ad hoc
study or advisory groups, which should be used to address specific
problems, shall be established under the umbrella of an existing
committee or commission, which should be used to address long-term
problems.
(2) Chief Justice.

(A) The chief justice shall be chosen by majority vote of the justices
for a term of 2 years commencing on July 1, 2012. The selection of the
chief justice should be based on managerial, administrative, and
leadership abilities, without regard to seniority only. A chief justice may
serve successive terms limited to a total of 8 years. The chief justice may
be removed by a vote of 4 justices. If a vacancy occurs, a successor shall
be chosen promptly to serve the balance of the unexpired term.

(B) The chief justice shall be the administrative officer of the judicial
branch and of the supreme court and shall be responsible for the
dispatch of the business of the branch and of the court and direct the
implementation of policies and priorities as determined by the supreme
court for the operation of the branch and of the court. The administrative
powers and duties of the chief justice shall include, but not be limited to:

(i) the responsibility to serve as the primary spokesperson for the
judicial branch regarding policies and practices that have statewide
impact including, but not limited to, the judicial branchs
management, operation, strategic plan, legislative agenda and budget
priorities;

(ii) the power to act on requests for stays during the pendency of
proceedings, to order the consolidation of cases, to determine all
procedural motions and petitions relating to the time for filing and
size of briefs and other papers provided for under the rules of this
court, to advance or continue cases, and to rule on other procedural
matters relating to any proceeding or process in the court;

(iii) the power to assign active or retired county, circuit, or
appellate judges or justices to judicial service in this state, in
accordance with subdivisions (a)(3) and (a)(4) of this rule;

(iv) the power, upon request of the chief judge of any circuit or



district, or sua sponte, in the event of natural disaster, civil
disobedience, or other emergency situation requiring the closure of
courts or other circumstances inhibiting the ability of litigants to
comply with deadlines imposed by rules of procedure applicable in
the courts of this state, to enter such order or orders as may be
appropriate to suspend, toll, or otherwise grant relief from time
deadlines imposed by otherwise applicable statutes and rules of
procedure for such period as may be appropriate, including, without
limitation, those affecting speedy trial procedures in criminal and
juvenile proceedings, all civil process and proceedings, and all
appellate time limitations;

(v) the power, upon request of the chief judge of any circuit or
district, or sua sponte, in the event of a public health emergency that
requires mitigation of the effects of the emergency on the courts and
court participants, to enter such order or orders as may be appropriate:
to suspend, extend, toll, or otherwise change time deadlines or
standards, including, without limitation, those affecting speedy trial
procedures in criminal and juvenile proceedings; suspend the
application of or modify other requirements or limitations imposed by
rules of procedure, court orders, and opinions, including, without
limitation, those governing the use of communication equipment and
proceedings conducted by remote electronic means; and authorize
temporary implementation of procedures and other measures,
including, without limitation, the suspension or continuation of civil
and criminal jury trials and grand jury proceedings, which procedures
or measures may be inconsistent with applicable requirements, to
address the emergency situation or public necessity.

(vi) the authority to directly inform all judges on a regular basis by
any means, including, but not limited to, email on the state of the
judiciary, the state of the budget, issues of importance, priorities and
other matters of statewide interest; furthermore, the chief justice shall
routinely communicate with the chief judges and leaders of the
district courts, circuit and county court conferences by the appropriate
means;

(vii) the responsibility to exercise reasonable efforts to promote and
encourage diversity in the administration of justice; and



(viii) the power to perform such other administrative duties as may
be required and which are not otherwise provided for by law or rule.
(C) The chief justice shall be notified by all justices of any

contemplated absences from the court and the reasons therefor. When
the chief justice is to be temporarily absent, the chief justice shall select
the justice longest in continuous service as acting chief justice.

(D) If the chief justice dies, retires, or is unable to perform the duties
of the office, the justice longest in continuous service shall perform the
duties during the period of incapacity or until a successor chief justice is
elected.

(E) The chief justice shall meet on a regular basis with the chief
judges of the district courts and the chief judges of the circuit courts to
discuss and provide feedback for implementation of policies and
practices that have statewide impact including, but not limited to, the
judicial branchs management, operation, strategic plan, legislative
agenda and budget priorities. Such meetings shall, if practicable, occur
at least quarterly and be conducted in-person. At the discretion of the
chief justice, any of these meetings may be combined with other judicial
branch and leadership meetings and, where practicable include the
justices of the supreme court.
(3) Administration.

(A) The chief justice may, either upon request or when otherwise
necessary for the prompt dispatch of business in the courts of this state,
temporarily assign justices of the supreme court, judges of district courts
of appeal, circuit judges, and judges of county courts to any court for
which they are qualified to serve. Any consenting retired justice or judge
may be assigned to judicial service and receive compensation as
provided by law.

(B) For the purpose of judicial administration, a retired judge is
defined as a judge not engaged in the practice of law who has been a
judicial officer of this state. A retired judge shall comply with all
requirements that the supreme court deems necessary relating to the
recall of retired judges.

(C) When a judge who is eligible to draw retirement compensation



has entered the private practice of law, the judge may be eligible for
recall to judicial service upon cessation of the private practice of law and
approval of the judges application to the court. The application shall
state the period of time the judge has not engaged in the practice of law,
and must be approved by the court before the judge shall be eligible for
recall to judicial service.

(D) A senior judge is a retired judge who is eligible to serve on
assignment to temporary judicial duty.
(4) Assignments of Justices and Judges.

(A) When a justice of the supreme court is unable to perform the
duties of office, or when necessary for the prompt dispatch of the
business of the court, the chief justice may assign to the court any judge
who is qualified to serve, for such time as the chief justice may direct.
However, no retired justice who is eligible to serve on assignment to
temporary judicial duty or other judge who is qualified to serve may be
assigned to the supreme court, or continue in such assignment, after 7
sitting duly sworn justices are available and able to perform the duties of
office.

(B) When a judge of any district court of appeal is unable to perform
the duties of office, or when necessary for the prompt dispatch of the
business of the court, the chief judge shall advise the chief justice and
the chief justice may assign to the court any judge who is qualified to
serve, for such time or such proceedings as the chief justice may direct.

(C) When any circuit or county judge is unable to perform the duties
of office, or when necessary for the prompt dispatch of the business of
the court, the chief judge of the circuit may assign any judge in the
circuit to temporary service for which the judge is qualified, in
accordance with rule 2.215. If the chief judge deems it necessary, the
chief judge may request the chief justice to assign a judge to the court
for such time or such proceedings as the chief justice may direct.

(b) Clerk.
(1) Appointment. The supreme court shall appoint a clerk who shall

hold office at the pleasure of the court and perform such duties as the court
directs. The clerks compensation shall be fixed by law. The clerks office



shall be in the supreme court building. The clerk shall devote full time to
the duties of the office and shall not engage in the practice of law while in
office.

(2) Custody of Records, Files, and Seal. All court records and the seal
of the court shall be kept in the office and the custody of the clerk. The
clerk shall not allow any court record to be taken from the clerks office or
the courtroom, except by a justice of the court or upon the order of the
court.

(3) Records of Proceedings. The clerk shall keep such records as the
court may from time to time order or direct. The clerk shall keep a docket
or equivalent electronic record of all cases that are brought for review to,
or that originate in, the court. Each case shall be numbered in the order in
which the notice, petition, or other initial pleading originating the cause is
filed in the court.

(4) Filing Fee. In all cases filed in the court, the clerk shall require the
payment of a fee as provided by law when the notice, petition, or other
initial pleading is filed. The payment shall not be exacted in advance in
appeals in which a party has been adjudicated insolvent for the purpose of
an appeal or in appeals in which the state is the real party in interest as the
moving party. The payment of the fee shall not be required in habeas
corpus proceedings, or appeals therefrom, arising out of or in connection
with criminal actions.

(5) Issuance and Recall of Mandate; Recordation and Notification.
The clerk shall issue such mandates or process as may be directed by the
court. If, within 120 days after a mandate has been issued, the court directs
that a mandate be recalled, then the clerk shall recall the mandate. Upon
the issuance or recall of any mandate, the clerk shall record the issuance or
recall in a book or equivalent electronic record kept for that purpose, in
which the date of issuance or date of recall and the manner of transmittal of
the process shall be noted. In proceedings in which no mandate is issued,
upon final adjudication of the pending cause the clerk shall transmit to the
party affected thereby a copy of the courts order or judgment. The clerk
shall notify the attorneys of record of the issuance of any mandate, the
recall of any mandate, or the rendition of any final judgment. The clerk
shall furnish without charge to all attorneys of record in any cause a copy



of any order or written opinion rendered in such action.
(6) Return of Original Papers. Upon the conclusion of any proceeding

in the supreme court, the clerk shall return to the clerk of the lower court
the original papers or files transmitted to the court for use in the cause.
(c) Librarian.

(1) Appointment. The supreme court shall appoint a librarian of the
supreme court and such assistants as may be necessary. The supreme court
library shall be in the custody of the librarian, but under the exclusive
control of the court. The library shall be open to members of the bar of the
supreme court, to members of the legislature, to law officers of the
executive or other departments of the state, and to such other persons as
may be allowed to use the library by special permission of the court.

(2) Library Hours. The library shall be open during such times as the
reasonable needs of the bar require and shall be governed by regulations
made by the librarian with the approval of the court.

(3) Books. Books shall not be removed from the library except for use
by, or upon order of, any justice.
(d) Marshal.

(1) Appointment. The supreme court shall appoint a marshal who shall
hold office at the pleasure of the court and perform such duties as the court
directs. The marshals compensation shall be fixed by law.

(2) Duties. The marshal shall have power to execute process of the court
throughout the state and such other powers as may be conferred by law.
The marshal may deputize the sheriff or a deputy sheriff in any county to
execute process of the court and shall perform such clerical or ministerial
duties as the court may direct or as required by law. Subject to the
direction of the court, the marshal shall be custodian of the supreme court
building and grounds.
(e) State Courts Administrator.

(1) Appointment. The supreme court shall appoint a state courts
administrator who shall serve at the pleasure of the court and perform such
duties as the court directs. The state courts administrators compensation
shall be fixed by law.



(2) Duties. The state courts administrator shall supervise the
administrative office of the Florida courts, which shall be maintained at
such place as directed by the supreme court; shall employ such other
personnel as the court deems necessary to aid in the administration of the
state courts system; shall represent the state courts system before the
legislature and other bodies with respect to matters affecting the state
courts system and functions related to and serving the system; shall
supervise the preparation and submission to the supreme court, for review
and approval, of a tentative budget request for the state courts system and
shall appear before the legislature in accordance with the courts directions
in support of the final budget request on behalf of the system; shall inform
the judiciary of the state courts systems final budget request and any
proposed substantive law changes approved by the supreme court; shall
assist in the preparation of educational and training materials for the state
courts system and related personnel, and shall coordinate or assist in the
conduct of educational and training sessions for such personnel; shall assist
all courts in the development of improvements in the system, and submit to
the chief justice and the court appropriate recommendations to improve the
state courts system; and shall collect and compile uniform financial and
other statistical data or information reflective of the cost, workloads,
business, and other functions related to the state courts system. The state
courts administrator is the custodian of all records in the administrators
office.
(f) Open Sessions. All sessions of the court shall be open to the public,

except proceedings designated as confidential by the court and conference
sessions held for the discussion and consideration of pending cases, for the
formulation of opinions by the court, and for the discussion or resolution of
other matters related to the administration of the state courts system.

(g) Designation of Assigned Judges. When any judge of another court is
assigned for temporary service on the supreme court, that judge shall be
designated, as author or participant, by name and initials followed by the
words Associate Justice.



 Pt. II. ,  Rule 2.210. 
Fla. R. Gen. Prac. & Jud. Admin. 2.210

RULE 2.210. DISTRICT COURTS OF APPEAL.
(a) Internal Government.

(1) Exercise of Powers and Jurisdiction. Three judges shall constitute
a panel for and shall consider each case, and the concurrence of a majority
of the panel shall be necessary to a decision.

(2) Chief Judge.
(A) The selection of a chief judge should be based on managerial,

administrative, and leadership abilities, without regard to seniority only.
(B) The chief judge shall be the administrative officer of the court,

and shall, consistent with branch-wide policies, direct the formation and
implementation of policies and priorities for the operation of the court.
The chief judge shall exercise administrative supervision over all judges
and court personnel. The chief judge shall be responsible to the chief
justice of the supreme court. The chief judge may enter and sign
administrative orders. The administrative powers and duties of the chief
judge include, but are not limited to, the power to order consolidation of
cases, and to assign cases to the judges for the preparation of opinions,
orders, or judgments. The chief judge shall have the authority to require
all judges of the court, court officers and court personnel, to comply
with all court and judicial branch policies, administrative orders,
procedures, and administrative plans.

(C) The chief judge shall maintain liaison in all judicial administrative
matters with the chief justice of the supreme court, and shall,
considering available resources, ensure the efficient and proper
administration of the court. The chief judge shall develop an
administrative plan that shall include an administrative organization
capable of effecting the prompt disposition of cases, the assignment of
judges, other court officers, and court personnel, and the control of
dockets. The administrative plan shall include a consideration of the
statistical data developed by the case reporting system.

(D) All judges shall inform the chief judge of any contemplated



absences that will affect the progress of the courts business. If a judge
is temporarily absent, is disqualified in an action, or is unable to perform
the duties of the office, the chief judge or the chief judges designee may
assign a matter pending before the judge to any other judge or any
additional assigned judge of the same court. If it appears to the chief
judge that the speedy, efficient, and proper administration of justice so
requires, the chief judge shall request the chief justice of the supreme
court to assign temporarily an additional judge or judges from outside
the court to duty in the court requiring assistance, and shall advise the
chief justice whether or not the approval of the chief judge of the court
from which the assignment is to be made has been obtained. The
assigned judges shall be subject to administrative supervision of the
chief judge for all purposes of this rule. Nothing in this rule shall restrict
the constitutional powers of the chief justice of the supreme court to
make such assignments as the chief justice shall deem appropriate.

(E) The chief judge shall regulate the use of all court facilities,
regularly examine the dockets of the courts under the chief judges
administrative supervision, and require a report on the status of the
matters on the docket. The chief judge may take such action as may be
necessary to cause the docket to be made current.

(F) The chief judge shall be chosen by a majority of the active judges
of the court for a term commencing on July 1 of each odd-numbered
year, and shall serve for a term of 2 years. A chief judge may serve for
successive terms but in no event shall the total term as chief judge
exceed 8 years. In the event of a vacancy, a successor shall be chosen
promptly to serve the balance of the unexpired term. If the chief judge is
unable to discharge these duties, the judge longest in continuous service
or, as between judges with equal continuous service, the one having the
longest unexpired term and able to do so, shall perform the duties of
chief judge pending the chief judges return to duty. Judges shall notify
the chief judge of any contemplated absence from the court and the
reasons therefor. A chief judge may be removed as chief judge by the
supreme court, acting as the administrative supervisory body of all
courts, or by a two-thirds vote of the active judges.

(G) The failure of any judge to comply with an order or directive of
the chief judge shall be considered neglect of duty and may be reported



by the chief judge to the chief justice of the supreme court who shall
have the authority to take such corrective action as may be appropriate.
The chief judge may report the neglect of duty by a judge to the Judicial
Qualifications Commission or other appropriate person or body, or take
such other corrective action as may be appropriate.

(H) At the call of the chief justice, the chief judges of the circuit court
and district courts of appeal shall meet on a regular basis and with each
other and with the chief justice to discuss and provide feedback for
implementation of policies and practices that have statewide impact
including, but not limited to, the judicial branchs management,
operation, strategic plan, legislative agenda and budget priorities. Such
meetings shall, if practicable, occur at least quarterly and be conducted
in person. At the discretion of the chief justice, any of these meetings
may be combined with other judicial branch and leadership meetings.

(I) The chief judge shall have the responsibility to exercise reasonable
efforts to promote and encourage diversity in the administration of
justice.

(b) Clerk.
(1) Appointment. The court shall appoint a clerk who shall hold office

at the pleasure of the court and perform such duties as the court directs.
The clerks compensation shall be fixed by law. The clerks office shall be
in the headquarters of the court. The clerks time shall be devoted to the
duties of the office and the clerk shall not engage in the private practice of
law while serving as clerk. All court records and the seal of the court shall
be kept in the office and the custody of the clerk. The clerk shall not allow
any court record to be taken from the clerks office or the courtroom,
except by a judge of the court or upon order of the court.

(2) Records of Proceedings. The clerk shall keep such records as the
court may from time to time order or direct. The clerk shall keep a docket
or equivalent electronic record of all cases that are brought for review to,
or that originate in, the court. Each case shall be numbered in the order that
the notice, petition, other initial pleading originating the proceeding is filed
in the court.

(3) Filing Fee. In all cases filed in the court, the clerk shall require the



payment of a fee as provided by law at the time the notice, petition, or
other initial pleading is filed. The payment shall not be exacted in advance
in appeals in which a party has been adjudicated insolvent for the purpose
of an appeal or in appeals in which the state is the real party in interest as
the moving party. The payment of the fee shall not be required in habeas
corpus proceedings or appeals therefrom.

(4) Issuance and Recall of Mandate; Recordation and Notification.
The clerk shall issue such mandates or process as may be directed by the
court. If, within 120 days after a mandate has been issued, the court directs
that a mandate be recalled, then the clerk shall recall the mandate. If the
court directs that a mandate record shall be maintained, then upon the
issuance or recall of any mandate the clerk shall record the issuance or
recall in a book or equivalent electronic record kept for that purpose, in
which shall be noted the date of issuance or the date of recall and the
manner of transmittal of the process. In proceedings in which no mandate
is issued, upon final adjudication of the pending cause the clerk shall
transmit to the party affected thereby a copy of the courts order or
judgment. The clerk shall notify the attorneys of record of the issuance of
any mandate, the recall of any mandate, or the rendition of any final
judgment. The clerk shall furnish without charge to all attorneys of record
in any cause a copy of any order or written opinion rendered in such
action.

(5) Return of Original Papers. The clerk shall retain all original
papers, files, and exhibits transmitted to the court for a period of not less
than 30 days after rendition of the opinion or order denying any motion
pursuant to Florida Rule of Appellate Procedure 9.330, whichever is later.
If no discretionary review proceeding or appeal has been timely
commenced in the supreme court to review the courts decision within 30
days, the clerk shall transmit to the clerk of the trial court the original
papers, files, and exhibits. If a discretionary review proceeding or appeal
has been timely commenced in the supreme court to review the courts
decision, the original papers, files, and exhibits shall be retained by the
clerk until transmitted to the supreme court or, if not so transmitted, until
final disposition by the supreme court and final disposition by the court
pursuant to the mandate issued by the supreme court.
(c) Marshal.



(1) Appointment. The court shall appoint a marshal who shall hold
office at the pleasure of the court and perform such duties as the court
directs. The marshals compensation shall be fixed by law.

(2) Duties. The marshal shall have power to execute process of the court
throughout the district, and in any county therein may deputize the sheriff
or a deputy sheriff for such purpose. The marshal shall perform such
clerical or ministerial duties as the court may direct or as are required by
law. The marshal shall be custodian of the headquarters occupied by the
court, whether the headquarters is an entire building or a part of a building.
(d) Open Sessions. All sessions of the court shall be open to the public,

except conference sessions held for the discussion and consideration of
pending cases, for the formulation of opinions by the court, and for the
discussion or resolution of other matters related to the administration of the
court.

(e) Designation of Assigned Judges. When any justice or judge of another
court is assigned for temporary service on a district court of appeal, that
justice or judge shall be designated, as author or participant, by name and
initials followed by the words Associate Judge.



 Pt. II. ,  Rule 2.215. 
Fla. R. Gen. Prac. & Jud. Admin. 2.215

RULE 2.215. TRIAL COURT ADMINISTRATION.
(a) Purpose. The purpose of this rule is to fix administrative responsibility

in the chief judges of the circuit courts and the other judges that the chief
judges may designate. When these rules refer to the court, they shall be
construed to apply to a judge of the court when the context requires or
permits.

(b) Chief Judge.
(1) The chief judge shall be a circuit judge who possesses managerial,

administrative, and leadership abilities, and shall be selected without
regard to seniority only.

(2) The chief judge shall be the administrative officer of the courts
within the circuit and shall, consistent with branch-wide policies, direct the
formation and implementation of policies and priorities for the operation of
all courts and officers within the circuit. The chief judge shall exercise
administrative supervision over all judges and court personnel within the
judicial circuit. The chief judge shall be responsible to the chief justice of
the supreme court. The chief judge may enter and sign administrative
orders, except as otherwise provided by this rule. The chief judge shall
have the authority to require that all judges of the court, other court
officers, and court personnel comply with all court and judicial branch
policies, administrative orders, procedures and administrative plans.

(3) The chief judge shall maintain liaison in all judicial administrative
matters with the chief justice of the supreme court, and shall, considering
available resources, ensure the efficient and proper administration of all
courts within that circuit. The chief judge shall develop an administrative
plan that shall be filed with the supreme court and shall include an
administrative organization capable of effecting the prompt disposition of
cases; assignment of judges, other court officers, and all other court
personnel; control of dockets; regulation and use of courtrooms; and
mandatory periodic review of the status of the inmates of the county jail.
The plan shall be compatible with the development of the capabilities of
the judges in such a manner that each judge will be qualified to serve in



any division, thereby creating a judicial pool from which judges may be
assigned to various courts throughout the state. The administrative plan
shall include a consideration of the statistical data developed by the case
reporting system. Questions concerning the administration or management
of the courts of the circuit shall be directed to the chief justice of the
supreme court through the state courts administrator.

(4) The chief judge shall assign judges to the courts and divisions, and
shall determine the length of each assignment. The chief judge is
authorized to order consolidation of cases, and to assign cases to a judge or
judges for the preparation of opinions, orders, or judgments. All judges
shall inform the chief judge of any contemplated absences that will affect
the progress of the courts business. If a judge is temporarily absent, is
disqualified in an action, or is unable to perform the duties of the office,
the chief judge or the chief judges designee may assign a proceeding
pending before the judge to any other judge or any additional assigned
judge of the same court. The chief judge may assign any judge to
temporary service for which the judge is qualified in any court in the same
circuit. If it appears to the chief judge that the speedy, efficient, and proper
administration of justice so requires, the chief judge shall request the chief
justice of the supreme court to assign temporarily an additional judge or
judges from outside the circuit to duty in the court requiring assistance.
The assigned judges shall be subject to administrative supervision of the
chief judge for all purposes of this rule. When assigning a judge to hear
any type of postconviction or collateral relief proceeding brought by a
defendant who has been sentenced to death, the chief judge shall assign to
such cases a judge qualified to conduct such proceedings under subdivision
(b)(10) of this rule. Nothing in this rule shall restrict the constitutional
powers of the chief justice of the supreme court to make such assignments
as the chief justice shall deem appropriate.

(5) The chief judge may designate a judge in any court or court division
of circuit or county courts as administrative judge of any court or
division to assist with the administrative supervision of the court or
division. To the extent practical, the chief judge shall assign only one
administrative judge to supervise the family court. The designee shall be
responsible to the chief judge, shall have the power and duty to carry out
the responsibilities assigned by the chief judge, and shall serve at the



pleasure of the chief judge.
(6) The chief judge may require the attendance of prosecutors, public

defenders, clerks, bailiffs, and other officers of the courts, and may require
from the clerks of the courts, sheriffs, or other officers of the courts
periodic reports that the chief judge deems necessary.

(7) The chief judge shall regulate the use of all court facilities, regularly
examine the dockets of the courts under the chief judges administrative
supervision, and require a report on the status of the matters on the
dockets. The chief judge may take such action as may be necessary to
cause the dockets to be made current. The chief judge shall monitor the
status of all postconviction or collateral relief proceedings for defendants
who have been sentenced to death from the time that the mandate affirming
the death sentence has been issued by the supreme court and shall take the
necessary actions to assure that such cases proceed without undue delay.
On the first day of every January, April, July, and October, the chief judge
shall inform the chief justice of the supreme court of the status of all such
cases.

(8) The chief judge or the chief judges designee shall regularly examine
the status of every inmate of the county jail.

(9) The chief judge may authorize the clerks of the courts to maintain
branch county court facilities. When so authorized, clerks of court shall be
permitted to retain in such branch court facilities all county court
permanent records of pending cases, and may retain and destroy these
records in the manner provided by law.
(10)(A) The chief judge shall not assign a judge to preside over a capital
case in which the state is seeking the death penalty, or collateral
proceedings brought by a death row inmate, until that judge has become
qualified to do so by:

(i) presiding a minimum of 6 months in a felony criminal division
or in a division that includes felony criminal cases, and

(ii) successfully attending the Handling Capital Cases course
offered through the Florida Court Education Council. A judge whose
caseload includes felony criminal cases must attend the Handling
Capital Cases course as soon as practicable, or upon the direction of



the chief judge.
(B) The chief justice may waive these requirements in exceptional

circumstances at the request of the chief judge.
(C) Following attendance at the Handling Capital Cases course, a

judge shall remain qualified to preside over a capital case by attending a
Capital Case Refresher course once during each of the subsequent
continuing judicial education (CJE) reporting periods. A judge who has
attended the Handling Capital Cases course and who has not taken the
Capital Case Refresher course within any subsequent continuing
judicial education reporting period must requalify to preside over a
capital case by attending the refresher course.

(D) The refresher course shall be at least a 6-hour course and must be
approved by the Florida Court Education Council. The course must
contain instruction on the following topics: penalty phase, jury selection,
and proceedings brought pursuant to Florida Rule of Criminal Procedure
3.851.
(11) The failure of any judge to comply with an order or directive of the

chief judge shall be considered neglect of duty and may be reported by the
chief judge to the chief justice of the supreme court who shall have the
authority to take any corrective action as may be appropriate. The chief
judge may report the neglect of duty by a judge to the Judicial
Qualifications Commission or other appropriate person or body, or take
such other corrective action as may be appropriate.

(12) At the call of the chief justice, the chief judges of the circuit court
and district courts of appeal shall meet on a regular basis and with each
other and with the chief justice to discuss and provide feedback for
implementation of policies and practices that have statewide impact
including, but not limited to, the judicial branchs management, operation,
strategic plan, legislative agenda and budget priorities. Such meetings
shall, if practicable, occur at least quarterly and be conducted in person. At
the discretion of the chief justice, any of these meetings may be combined
with other judicial branch and leadership meetings.

(13) The chief judge shall have the responsibility to exercise reasonable
efforts to promote and encourage diversity in the administration of justice.



(c) Selection. The chief judge shall be chosen by a majority of the active
circuit and county court judges within the circuit for a term of 2 years
commencing on July 1 of each odd-numbered year, or if there is no majority,
by the chief justice, for a term of 2 years. The election for chief judge shall be
held no sooner than February 1 of the year during which the chief judges
term commences beginning July 1. All elections for chief judge shall be
conducted as follows:

(1) All ballots shall be secret.
(2) Any circuit or county judge may nominate a candidate for chief

judge.
(3) Proxy voting shall not be permitted.
(4) Any judge who will be absent from the election may vote by secret

absentee ballot obtained from and returned to the Trial Court
Administrator.
A chief judge may be removed as chief judge by the supreme court, acting
as the administrative supervisory body of all courts, or may be removed by
a two-thirds vote of the active judges. The purpose of this rule is to fix a 2-
year cycle for the selection of the chief judge in each circuit. A chief judge
may serve for successive terms but in no event shall the total term as chief
judge exceed 8 years. A chief judge who is to be temporarily absent shall
select an acting chief judge from among the circuit judges. If a chief judge
dies, retires, fails to appoint an acting chief judge during an absence, or is
unable to perform the duties of the office, the chief justice of the supreme
court shall appoint a circuit judge to act as chief judge during the absence
or disability, or until a successor chief judge is elected to serve the
unexpired term. When the office of chief judge is temporarily vacant
pending action within the scope of this paragraph, the duties of court
administration shall be performed by the circuit judge having the longest
continuous service as a judge or by another circuit judge designated by that
judge.
(d) Circuit Court Administrator. Each circuit court administrator shall

be selected or terminated by the chief judge subject to concurrence by a
majority vote of the circuit and county judges of the respective circuits.

(e) Local Rules and Administrative Orders.



(1) Local court rules as defined in rule 2.120 may be proposed by a
majority of the circuit and county judges in the circuit. The judges shall
notify the local bar within the circuit of the proposal, after which they shall
permit a representative of the local bar, and may permit any other
interested person, to be heard orally or in writing on the proposal before
submitting it to the supreme court for approval. When a proposed local rule
is submitted to the supreme court for approval, the following procedure
shall apply:

(A) Local court rule proposals shall be submitted to the supreme court
in January of each year. The supreme court may accept emergency
proposals submitted at other times.

(B) Not later than February 15 of each year, the clerk of the supreme
court shall submit all local court rule proposals to the Supreme Court
Local Rules Advisory Committee created by rule 2.140. At the same
time, the clerk of the supreme court shall send copies of the proposed
rules to the appropriate committees of The Florida Bar. The Florida Bar
committees, any interested local bar associations, and any other
interested person shall submit any comments or responses that they wish
to make to the Supreme Court Local Rules Advisory Committee on or
before March 15 of the year.

(C) The Supreme Court Local Rules Advisory Committee shall meet
on or before April 15 to consider the proposals and any comments
submitted by interested parties. The committee shall transmit its
recommendations to the supreme court concerning each proposal, with
the reasons for its recommendations, within 15 days after its meeting.

(D) The supreme court shall consider the recommendations of the
committee and may resubmit the proposals with modifications to the
committee for editorial comment only. The supreme court may set a
hearing on any proposals, or consider them on the recommendations and
comments as submitted. If a hearing is set, notice shall be given to the
chief judge of the circuit from which the proposals originated, the
executive director of The Florida Bar, the chair of the Rules of General
Practice and Judicial Administration Committee of The Florida Bar, any
local bar associations, and any interested persons who made comments
on the specific proposals to be considered. The supreme court shall act



on the proposals promptly after the recommendations are received or
heard.

(E) If a local court rule is approved by the supreme court, it shall
become effective on the date set by that court.

(F) A copy of all local court rules approved by the supreme court shall
be indexed and recorded by the clerk of the circuit court in each county
of the circuit where the rules are effective. A set of the recorded copies
shall be readily available for inspection as a public record, and copies
shall be provided to any requesting party for the cost of duplication. The
chief judge of the circuit may provide for the publication of the rules.
The clerk of the supreme court shall furnish copies of each approved
local court rule to the executive director of The Florida Bar.
(2) Any judge or member of The Florida Bar who believes that an

administrative order promulgated under subdivision (b)(2) of this rule is a
court rule or a local rule as defined in rule 2.120, rather than an
administrative order, may apply to the Supreme Court Local Rules
Advisory Committee for a decision on the question. The decisions of the
committee concerning the determination of the question shall be reported
to the supreme court, and the court shall follow the procedure set forth in
subdivision (D) above in considering the recommendation of the
committee.

(3) All administrative orders of a general and continuing nature, and all
others designated by the chief judge, shall be indexed and recorded by the
clerk of the circuit court in each county where the orders are effective. A
set of the recorded copies shall be readily available for inspection as a
public record, and copies shall be provided to any requesting party for the
cost of duplication. The chief judge shall, on an annual basis, direct a
review of all local administrative orders to ensure that the set of copies
maintained by the clerk remains current and does not conflict with supreme
court or local rules.

(4) All local court rules entered pursuant to this section shall be
numbered sequentially for each respective judicial circuit.
(f) Duty to Rule within a Reasonable Time. Every judge has a duty to

rule upon and announce an order or judgment on every matter submitted to



that judge within a reasonable time. Each judge shall maintain a log of cases
under advisement and inform the chief judge of the circuit at the end of each
calendar month of each case that has been held under advisement for more
than 60 days.

(g) Duty to Expedite Priority Cases. Every judge has a duty to expedite
priority cases to the extent reasonably possible. Priority cases are those cases
that have been assigned a priority status or assigned an expedited disposition
schedule by statute, rule of procedure, case law, or otherwise. Particular
attention shall be given to all juvenile dependency and termination of parental
rights cases, cases involving families and children in need of services,
challenges involving elections and proposed constitutional amendments, and
capital postconviction cases. As part of an effort to make capital
postconviction cases a priority, the chief judge shall have the discretion to
create a postconviction division to handle capital postconviction, as well as
non-capital postconviction cases, and may assign one or more judges to that
division.

(h) Neglect of Duty. The failure of any judge, clerk, prosecutor, public
defender, attorney, court reporter, or other officer of the court to comply with
an order or directive of the chief judge shall be considered neglect of duty
and shall be reported by the chief judge to the chief justice of the supreme
court. The chief justice may report the neglect of duty by a judge to the
Judicial Qualifications Commission, and neglect of duty by other officials to
the governor of Florida or other appropriate person or body.

(i) Status Conference After Compilation of Record in Death Case. In
any proceeding in which a defendant has been sentenced to death, the circuit
judge assigned to the case shall take such action as may be necessary to
ensure that a complete record on appeal has been properly prepared. To that
end, the judge shall convene a status conference with all counsel of record as
soon as possible after the record has been prepared pursuant to rule of
appellate procedure 9.200(d) but before the record has been transmitted. The
purpose of the status conference shall be to ensure that the record is
complete.

Criminal Court Steering Committee Notes
2014 Amendment. Capital postconviction cases were added to the list of



priority cases.

COMMITTEE NOTES

1996 Amendment. Rule 2.050(h) [renumbered as 2.215(h) in 2006]
should be read in conjunction with Florida Rule of Appellate Procedure
9.140(b)(4)(A).

1997 Amendment. [Rule 2.050(b)(10), renumbered as 2.215(b)(10) in
2006]. The refresher course may be a six-hour block during any Florida Court
Education Council approved course offering sponsored by any approved
Florida judicial education provider, including the Florida College of
Advanced Judicial Studies or the Florida Conference of Circuit Judges. The
block must contain instruction on the following topics: penalty phase, jury
selection, and rule 3.850 proceedings.

Failure to complete the refresher course during the three-year judicial
education reporting period will necessitate completion of the original
Handling Capital Cases course.

2002 Amendment. Recognizing the inherent differences in trial and
appellate court dockets, the last sentence of subdivision (g) is intended to
conform to the extent practicable with appellate rule 9.146(g), which requires
appellate courts to give priority to appeals in juvenile dependency and
termination of parental rights cases, and in cases involving families and
children in need of services.

2008 Amendment. The provisions in subdivision (g) of this rule should be
read in conjunction with the provisions of rule 2.545(c) governing priority
cases.



 Pt. II. ,  Rule 2.220. 
Fla. R. Gen. Prac. & Jud. Admin. 2.220

RULE 2.220. CONFERENCES OF JUDGES.
(a) Conference of County Court Judges.

(1) Creation. There shall be a Conference of County Court Judges of
Florida, consisting of the active and senior county court judges of the
State of Florida.

(2) Purpose. The purpose of the conference shall be:
(A) the betterment of the judicial system of the state;
(B) the improvement of procedure and practice in the several courts;
(C) to conduct conferences and institutes for continuing judicial

education and to provide forums in which the county court judges of
Florida may meet and discuss mutual problems and solutions; and

(D) to provide input to the Unified Committee on Judicial
Compensation on judicial compensation and benefit issues, and to assist
the judicial branch in soliciting support and resources on these issues.
(3) Officers. Management of the conference shall be vested in the

officers of the conference, an executive committee, and a board of
directors.

(A) The officers of the conference shall be:
(i) the president, president-elect, immediate past president,

secretary, and treasurer, who shall be elected at large; and
(ii) one vice-president elected from each appellate court district.

(B) The executive committee shall consist of the officers of the
conference and an executive secretary.

(C) The board of directors shall consist of the executive committee
and a member elected from each judicial circuit.

(D) There shall be an annual meeting of the conference.
(E) Between annual meetings of the conference, the affairs of the

conference shall be managed by the executive committee.



(4) Authority. The conference may adopt governance documents, the
provisions of which shall not be inconsistent with this rule.
(b) Conference of Circuit Court Judges.

(1) Organization. There shall be a Conference of Circuit Court Judges
of Florida, consisting of the active and retired circuit judges of the several
judicial circuits of the state, excluding retired judges practicing law.

(2) Purpose. The purpose of the conference shall be:
(A) the betterment of the judicial system of the state;
(B) the improvement of procedure and practice in the several courts;
(C) to conduct conferences and institutes for continuing judicial

education and to provide forums in which the circuit court judges of
Florida may meet and discuss mutual problems and solutions;

(D) to provide input to the Unified Committee on Judicial
Compensation on judicial compensation and benefit issues, and to assist
the judicial branch in soliciting support and resources on these issues;

(E) to report to the Florida Supreme Court recommendations as the
conference may have concerning the improvement of procedure and
practice in the several courts;

(F) to confer with the Florida Supreme Court regarding concerns the
conference may have concerning the laws of this state affecting the
administration of justice; and

(G) to provide to the Florida Legislature recommendations as the
conference may have concerning laws of this state affecting the
administration of justice.
(3) Officers. Management of the conference shall be vested in the

officers of the conference, an executive committee, and a board of
directors.

(A) The officers of the conference shall be the chair, chair-elect,
secretary, and treasurer.

(B) The executive committee shall consist of the officers of the
conference and such other members as the conference shall determine.



(C) The board of directors shall consist of the executive committee
and membership in one shall be identical to membership of the other.

(D) There shall be an annual meeting of the conference.
(E) Between annual meetings of the conference, the affairs of the

conference shall be managed by the executive committee.
(4) Authority. The conference may adopt governance documents, the

provisions of which shall not be inconsistent with this rule.
(c) Conference of District Court of Appeal Judges.

(1) Creation. There shall be a Florida Conference of District Court of
Appeal Judges, consisting of the active and senior district court of appeal
judges of the State of Florida.

(2) Purpose. The purpose of the conference shall be:
(A) the betterment of the judicial system of the state;
(B) the improvement of procedure and practice in the several courts;
(C) to conduct conferences and institutes for continuing judicial

education and to provide forums in which the district court of appeal
judges of Florida may meet and discuss mutual problems and solutions;
and

(D) to provide input to the Unified Committee on Judicial
Compensation on judicial compensation and benefit issues, and to assist
the judicial branch in soliciting support and resources on these issues.
(3) Officers. Management of the conference shall be vested in the

officers of the conference and an executive committee.
(A) The officers of the conference shall be the president, president-

elect, and secretary-treasurer.
(B) The executive committee shall consist of the president and

president-elect of the conference and the chief judge of each district
court of appeal.

(C) There shall be an annual meeting of the conference.
(D) Between annual meetings of the conference, the affairs of the

conference shall be managed by the executive committee.



(4) Authority. The conference may adopt governance documents, the
provisions of which shall not be inconsistent with this rule.
(d) Cooperation and Coordination. The conferences of judges shall

cooperate and coordinate with each other and the state courts administrator
on all matters that have implications for the branch as a whole, consistent
with their purpose of the betterment of the judicial system of the state and
subject to the direction of the chief justice as the chief administrative officer
of the judicial branch.



 Pt. II. ,  Rule 2.225. 
Fla. R. Gen. Prac. & Jud. Admin. 2.225

RULE 2.225. JUDICIAL MANAGEMENT COUNCIL.
(a) Creation and Responsibilities. There is hereby created the Judicial

Management Council of Florida, which shall meet at least quarterly, and be
charged with the following responsibilities:

(1) identifying potential crisis situations affecting the judicial branch and
developing strategy to timely and effectively address them;

(2) identifying and evaluating information that would assist in
improving the performance and effectiveness of the judicial branch (for
example, information including, but not limited to, internal operations for
cash flow and budget performance, and statistical information by court and
type of cases for (i) number of cases filed, (ii) aged inventory of cases 
the number and age of cases pending, (iii) time to disposition  the
percentage of cases disposed or otherwise resolved within established time
frames, and (iv) clearance rates  the number of outgoing cases as a
percentage of the number of incoming cases);

(3) developing and monitoring progress relating to long-range planning
for the judicial branch;

(4) reviewing the charges of the various court and Florida Bar
commissions and committees, recommending consolidation or revision of
the commissions and committees, and recommending a method for the
coordination of the work of those bodies based on the proposed revisions;
and

(5) addressing issues brought to the council by the supreme court.
(b) Referrals. The chief justice and the supreme court shall consider

referring significant new issues or problems with implications for judicial
branch policy to the Judicial Management Council prior to the creation of any
new committees.

(c) Supreme Court Action on Recommendations by the Judicial
Management Council. The supreme court may take any or all of the
following actions on recommendations made by the Judicial Management
Council:



(1) adopt the recommendation of the council in whole or in part, with or
without conditions, including but not limited to:

(A) directing that action be taken to influence or change
administrative policy, management practices, rules, or programs that are
the subject of the recommendations;

(B) including the recommendation in the judicial branchs legislative
agenda or budget requests;
(2) refer specific issues or questions back to the council for further study

or alternative recommendations;
(3) reject the recommendation or decision in whole or in part;
(4) refer the recommendation to other entities, such as the Florida

Legislature, the governor, the cabinet, executive branch agencies, or The
Florida Bar, as the supreme court deems appropriate; or

(5) take alternative action.
(d) Membership.

(1) The council shall consist of 15 voting members, including the chief
justice, who shall chair the council, an additional justice of the supreme
court, representatives from each level of court, and public members.

(2) All voting members shall be appointed by the supreme court. Each
member, other than the chief justice, will initially be appointed for a 2- or
4- year term, with the terms staggered to ensure continuity and experience
on the council and for 4-year terms thereafter.

(3) The state courts administrator shall be a nonvoting member. The
council may request other nonvoting persons to participate on an as-needed
temporary basis to gain expertise and experience in certain issues on
review.
(e) Staff Support and Funding. The Office of the State Courts

Administrator shall provide primary staff support to the Judicial Management
Council. Adequate staffing and other resources shall be made available to the
Office of the State Courts Administrator to ensure the effective and efficient
completion of tasks assigned to the Judicial Management Council. Sufficient
resources shall also be provided for meetings of the Judicial Management



Council and its committees or subcommittees, and other expenses necessary
to the satisfactory completion of its work.



 Pt. II. ,  Rule 2.230. 
Fla. R. Gen. Prac. & Jud. Admin. 2.230

RULE 2.230. TRIAL COURT BUDGET COMMISSION.
(a) Purpose. The purpose of this rule is to establish a Trial Court Budget

Commission that will have the responsibility for developing and overseeing
the administration of trial court budgets in a manner which ensures equity
and fairness in state funding among the 20 judicial circuits.

(b) Responsibilities. The Trial Court Budget Commission is charged with
specific responsibility to:

(1) establish budgeting and funding policies and procedures consistent
with judicial branch plans and policies, directions from the supreme court,
and in consideration of input from the Commission on Trial Court
Performance and Accountability and other supreme court committees and
from the Florida Conference of Circuit Court Judges and the Florida
Conference of County Court Judges;

(2) make recommendations to the supreme court on the trial court
component of the annual judicial branch budget request;

(3) advocate for the trial court component of the annual judicial branch
budget request and associated statutory changes;

(4) make recommendations to the supreme court on funding allocation
formulas and budget implementation and criteria as well as associated
accountability mechanisms based on actual legislative appropriations;

(5) monitor trial court expenditure trends and revenue collections to
identify unanticipated budget problems and to ensure the efficient use of
resources;

(6) recommend statutory and rule changes related to trial court budgets;
(7) develop recommended responses to findings on financial audits and

reports from the Supreme Court Inspector General, Auditor General,
Office of Program Policy Analysis and Government Accountability, and
other governmental entities charged with auditing responsibilities
regarding trial court budgeting when appropriate;

(8) recommend to the supreme court trial court budget reductions



required by the legislature;
(9) identify potential additional sources of revenue for the trial courts;
(10) recommend to the supreme court legislative pay plan issues for trial

court personnel, except the commission shall not make recommendations
as to pay or benefits for judges; and

(11) request input from the Commission on Trial Court Performance and
Accountability on recommendations from that commission that may
impact the trial court budget or require funding.
(c) Operational Procedures. The Trial Court Budget Commission will

establish operating procedures necessary to carry out its responsibilities as
outlined in subdivision (b), subject to final approval by the supreme court.
These procedures shall include:

(1) a method for ensuring input from interested constituencies, including
the chief judges and trial court administrators of the trial courts, other
members of the trial court judiciary, the Judicial Management Council, the
Commission on Trial Court Performance and Accountability, and other
judicial branch committees and commissions; and

(2) a method for appeal of the decisions of the Trial Court Budget
Commission. Appeals may be made only by a chief judge on behalf of a
circuit. Appeals may be heard only by the Trial Court Budget Commission
unless the appeal is based on the failure of the commission to adhere to its
operating procedures, in which case the appeal may be made to the
supreme court.
(d) Action by Supreme Court or Chief Justice on Recommendations of

Trial Court Budget Commission. The supreme court or chief justice, as
appropriate, may take any or all of the following actions on recommendations
made by the Trial Court Budget Commission:

(1) The adoption of the recommendations of the commission made in
accordance with the discharge of its responsibilities listed in subdivision
(b) in whole.

(2) The adoption of the recommendations in part and referral of specific
issues or questions back to the commission for further study or alternative
recommendations.



(e) Membership and Organization. The Trial Court Budget Commission
will be composed of 21 voting members appointed by the chief justice who
will be trial court judges and trial court administrators and who will represent
the interests of the trial courts generally rather than the individual interests of
a particular circuit, level of court, or division. The respective presidents of the
Conference of Circuit Court Judges and the Conference of County Court
Judges and the chair of the Commission on Trial Court Performance and
Accountability shall serve as ex officio nonvoting members of the
commission. The chief justice will make appointments to ensure that the
broad interests of the trial courts are represented by including members who
are from different levels of court (circuit or county), who have experience in
different divisions, who have expertise in court operations or administrative
matters, and who offer geographic, racial, ethnic, and gender diversity.

(1) The membership must include a minimum of 12 trial court judges
and a minimum of 5 trial court administrators.

(2) The chief justice will appoint 1 member to serve as chair and 1
member to serve as vice chair, each for a 2-year term.

(3) A supreme court justice will be appointed by the chief justice to
serve as supreme court liaison.

(4) No circuit will have more than 2 members on the commission.
(5) Voting members will each be appointed for a 6-year term and may

serve no more than two full terms. Notwithstanding that limitation, the
chief justice may appoint a member for additional terms if the supreme
court determines it is in the best interests of the trial courts. In the event of
a vacancy, the chief justice will appoint a new member to serve for the
remainder of the departing members term, which service shall not count
toward the limitation on the number of terms.

(6) The commission may establish subcommittees as necessary to
satisfactorily carry out its responsibilities. Subcommittees may make
recommendations only to the commission as a whole. The chair of the
commission may appoint a non-commission member to serve on a
subcommittee.
(f) Staff Support and Funding. The Office of the State Courts

Administrator will provide primary staff support to the commission.



Adequate staffing and resources will be made available to the Office of the
State Courts Administrator to ensure the commission is able to fulfill its
responsibilities as outlined in the rule. Sufficient resources will also be
provided for the commission and its subcommittees to meet and otherwise
complete its work.



 Pt. II. ,  Rule 2.235. 
Fla. R. Gen. Prac. & Jud. Admin. 2.235

RULE 2.235. DISTRICT COURT OF APPEAL BUDGET
COMMISSION.

(a) Purpose. The purpose of this rule is to establish a District Court of
Appeal Budget Commission with responsibility for developing and
overseeing the administration of district court budgets in a manner which
ensures equity and fairness in state funding among the 5 districts.

(b) Responsibilities. The District Court of Appeal Budget Commission is
charged with specific responsibility to:

(1) establish budgeting and funding policies and procedures consistent
with judicial branch plans and policies, directions from the supreme court,
and in consideration of input from the Commission on District Court of
Appeal Performance and Accountability, and other supreme court
committees;

(2) make recommendations to the supreme court on a unitary district
court component of the annual judicial branch budget request;

(3) advocate for the district court component of the annual judicial
branch budget request;

(4) make recommendations to the supreme court on funding allocation
formulas and/or criteria as well as associated accountability mechanisms
based on actual legislative appropriations;

(5) monitor district court expenditure trends and revenue collections to
identify unanticipated budget problems and to ensure the efficient use of
resources;

(6) recommend statutory and rule changes related to district court
budgets;

(7) develop recommended responses to findings on financial audits and
reports from the Supreme Court Inspector General, Auditor General,
Office of Program Policy Analysis and Government Accountability, and
other governmental entities charged with auditing responsibilities
regarding district court budgeting when appropriate;



(8) recommend to the supreme court district court budget reductions
required by the legislature;

(9) identify potential additional sources of revenue for the district courts;
(10) recommend to the supreme court legislative pay plan issues for

district court personnel, except the commission shall not make
recommendations as to pay or benefits for judges; and

(11) request input from the Commission on District Court of Appeal
Performance and Accountability on recommendations from that
commission that may impact the district court budget or require funding.
(c) Operational Procedures. The District Court of Appeal Budget

Commission will establish operating procedures necessary to carry out its
responsibilities as outlined in subdivision (b), subject to final approval by the
supreme court. These procedures shall include:

(1) a method for ensuring input from interested constituencies, including
the chief judges, marshals, and clerks of the district courts, other members
of the district court judiciary, the Judicial Management Council, the
Commission on District Court of Appeal Performance and Accountability,
and other judicial branch committees and commissions; and

(2) a method for appeal of the decisions of the District Court of Appeal
Budget Commission. Appeals may be made only by a chief judge on
behalf of the district. Appeals may be heard only by the District Court of
Appeal Budget Commission unless the appeal is based on the failure of the
commission to adhere to its operating procedures, in which case the appeal
may be made to the supreme court.
(d) Action by Supreme Court or Chief Justice on Recommendations of

the District Court of Appeal Budget Commission. The supreme court or
chief justice, as appropriate, may take any or all of the following actions on
recommendations made by the District Court of Appeal Budget Commission:

(1) The adoption of the recommendations of the commission made in
accordance with the discharge of its responsibilities listed in subdivision
(b) in whole.

(2) The adoption of the recommendations in part and referral of specific
issues or questions back to the commission for further study or alternative



recommendations.
(e) Membership and Organization. The District Court of Appeal Budget

Commission will be composed of 10 voting members appointed by the chief
justice who will represent the interests of the district courts generally rather
than the individual interests of a particular district.

(1) The membership shall include the chief judge of each district court
of appeal, who shall serve for his or her term as chief judge. The
membership shall also include one additional judge from each district court
of appeal, appointed by the chief justice, with advice from each chief
judge. The marshal of each district court of appeal shall serve as a
nonvoting member. Ex officio nonvoting members shall also include the
chairs of the District Court of Appeal Performance and Accountability
Commission and the Appellate Court Technology Committee, and the
president of the District Court of Appeal Judges Conference.

(2) The chief justice will appoint 1 member to serve as chair and 1
member to serve as vice chair, each for a four-year term, or until the
members term on the commission expires.

(3) The commission may establish subcommittees as necessary to
satisfactorily carry out its responsibilities. Subcommittees may make
recommendations only to the commission as a whole. The chair of the
commission may appoint a non-commission member to serve on a
subcommittee.

(4) Effective July 1, 2013, the commission shall be reconstituted with
staggered terms for voting members, as follows: (A) The chief judge of
each district will be appointed for his or her term as chief judge. (B) The
additional judge from each odd-numbered district will be appointed for a
four-year term. (C) The additional judge from each even-numbered district
will be appointed for a two-year term, and thereafter to four-year terms.
(D) Each nonvoting member will serve so long as he or she continues to
hold the office which entitles him or her to membership on the
commission.
(f) Staff Support and Funding. The Office of the State Courts

Administrator will provide primary staff support to the commission.
Adequate staffing and resources will be made available to the Office of the



State Courts Administrator to ensure the commission is able to fulfill its
responsibilities as outlined in this rule. Sufficient resources will also be
provided for the commission and its subcommittees to meet and otherwise
complete its work.



 Pt. II. ,  Rule 2.236. 
Fla. R. Gen. Prac. & Jud. Admin. 2.236

RULE 2.236. FLORIDA COURTS TECHNOLOGY COMMISSION.
(a) Purpose. The purpose of this rule is to establish a Florida Courts

Technology Commission with responsibility for overseeing, managing, and
directing the development and use of technology within the judicial branch
under the direction of the supreme court as specified in this rule. For the
purpose of this rule, the term judicial branch does not include The Florida
Bar, the Florida Board of Bar Examiners, or the Judicial Qualifications
Commission.

(b) Responsibilities. The Florida Courts Technology Commission is
charged with specific responsibility to:

(1) make recommendations to the supreme court on all matters of
technology policy impacting the judicial branch to allow the supreme court
to establish technology policy in the branch;

(2) make recommendations to the supreme court regarding policies for
public access to electronic court records;

(3) make recommendations to the supreme court about the relative
priorities of various technology projects within the judicial branch so that
the supreme court can establish priorities. The commission should
coordinate with the Trial Court Budget Commission and District Court of
Appeal Budget Commission to secure funds for allocation of those
priorities;

(4) direct and establish priorities for the work of all technology
committees in the judicial branch, including the Appellate Court
Technology Committee, and review and approve recommendations made
by any court committee concerning technology matters or otherwise
implicating court technology policy;

(5) establish, periodically review, and update technical standards for
technology used and to be used in the judicial branch to receive, manage,
maintain, use, secure, and distribute court records by electronic means,
consistent with the technology policies established by the supreme court.
These standards shall be coordinated with the strategic plans of the judicial



branch, rules of procedure, applicable law, and directions from the
supreme court, and shall incorporate input from the public, clerks of court,
supreme court committees and commissions, and other groups involved in
the application of current technology to the judicial branch;

(6) create procedures whereby courts and clerks and other applicable
entities can apply for approval of new systems, or modifications to existing
systems, that involve the application of technology to the receipt,
management, maintenance, use, securing, and distribution of court records
within the judicial branch, and between the public and the judicial branch;

(7) evaluate all such applications to determine whether they comply with
the technology policies established by the supreme court and the
procedures and standards created pursuant to this rule, and approve those
applications deemed to be effective and found to be in compliance;

(8) develop and maintain security policies that must be utilized to ensure
the integrity and availability of court technology systems and related data;

(9) ensure principles of accessibility are met for all court technology
projects, with consideration and application of the requirements of the
Americans with Disabilities Act of 1990 and any other applicable state or
federal disability laws;

(10) ensure that the technology utilized in the judicial branch is capable
of required integration;

(11) periodically review and evaluate all approved technology in the
judicial branch to determine its adherence to current supreme court
technology policies and standards;

(12) review annual and periodic reports on the status of court technology
systems and proposals for technology improvements and innovation
throughout the judicial branch;

(13) recommend statutory and rule changes or additions relating to court
technology and the receipt, maintenance, management, use, securing, and
distribution of court records by electronic means;

(14) identify technology issues that require attention in the judicial
branch upon:

(A) referral from the chief justice;



(B) referral from the supreme court; or
(C) identification by the Florida Courts Technology Commission on

its own initiative based on recommendations of the public, commission
members, judges, justice system partners, The Florida Bar, clerks of
court, the Florida Legislature (either informally or through the passage
of legislation), the Governor, the cabinet, or executive branch agencies;
and
(15) coordinate proposed amendments to rules of court procedure and

judicial administration necessary to effectuate the commissions charge
with appropriate Florida Bar rules committees.
If a program, system, or application is found not to comply with the
policies established by the supreme court or the standards and procedures
established by the commission, the commission may require that it be
terminated or modified or subject to such conditions as the commission
deems appropriate.
(c) Operational Procedures. The Florida Courts Technology Commission

shall establish operating procedures necessary to carry out its responsibilities
as outlined in subdivision (b), subject to final approval by the supreme court.
These procedures shall include:

(1) a method for ensuring input from all interested constituencies in the
state of Florida;

(2) a method for monitoring the development of new court technology
projects, reviewing reports on new technology projects, and reviewing the
annual reports;

(3) a method whereby courts and clerks and other applicable entities can
apply for approval of new technology systems or applications, or
modifications to existing systems or applications, that affect the receipt,
management, maintenance, use, securing, and distribution of court records;

(4) a system to evaluate all applications for new or modified technology
systems to determine whether they comply with the policies and technical
standards established by the supreme court and the procedures created
pursuant to this rule, and are otherwise appropriate to implement in the
judicial branch;



(5) a process for making decisions on all applications for new or
modified technology systems and communicating those decisions to
interested parties. If an application is found to comply with technology
policies and standards, the commission may approve the application and its
written approval shall authorize the applicant to proceed. For all
applications that are not approved, the commission shall assist the
applicant in remedying any deficiencies that the commission identifies;

(6) a method to monitor all technology programs, systems, and
applications used in the judicial branch to ensure that such programs,
systems, and applications are operating in accordance with the technology
policies established by the supreme court and technical standards
established by the commission. The commission may ask any operator of a
program, system, or application to appear before it for examination into
whether the program, system, or application complies with technology
policies and standards;

(7) a process to conduct the limited, short-term work of the commission
through work groups that it may constitute from time to time. Work groups
may make recommendations to the commission as a whole. The chair of
the commission may appoint non-commission members to serve on any
work group; and

(8) a process to conduct substantial work of the commission requiring
long-term commitment through subcommittees. Subcommittees may make
recommendations to the commission as a whole. The chair of the
commission may appoint non-commission members to serve on any
subcommittee.
(d) Action by Supreme Court or Chief Justice on Recommendations of

or Decisions by Florida Courts Technology Commission. The supreme
court or chief justice, as appropriate, may take any of the following actions
on recommendations or decisions made by the Florida Courts Technology
Commission:

(1) Adopt the recommendation or decision of the commission in whole
or in part, with or without conditions.

(2) Refer specific issues or questions back to the commission for further
study or alternative recommendations.



(3) Reject the recommendation or decision in whole or in part.
(4) Take alternative action.

(e) Membership and Organization.
(1) The Florida Courts Technology Commission shall be composed of

25 voting members appointed by the chief justice after consultation with
the court. All members shall represent the interests of the public and of
Florida courts generally rather than the separate interests of any particular
district, circuit, county, division, or other organization. The membership
shall include members who have experience in different divisions of
courts, in court operations, and in using technology in court for case
processing, management, and administrative purposes, and shall provide
geographic, racial, ethnic, gender, and other diversity.

(2) The membership shall include 2 district court judges, 5 circuit court
judges (1 of whom must be a chief judge), 2 county court judges, 3 court
administrators, 3 court technology officers, 4 clerks of court (1 of whom
must be a clerk of an appellate court), 4 members of The Florida Bar (1 of
whom must be a member of the Board of Governors of The Florida Bar),
and 2 members of the public at large.

(3) The members of the commission who are judicial officers, court
technology officers, and court administrators must constitute a majority of
the commission and must constitute a majority of any quorum at all
meetings of the commission.

(4) A supreme court justice shall be appointed by the chief justice to
serve as supreme court liaison to the commission.

(5) Each member will be initially appointed for a 1-, 2-, or 3-year term,
with the terms staggered to ensure continuity and experience on the
commission and for three year terms thereafter. Retention and
reappointment of each member will be at the discretion of the chief justice.

(6) The chief justice shall appoint 1 member to serve as chair for a two-
year term.
(f) Schedule of Reports. The Florida Courts Technology Commission

shall prepare an annual report of its activities, which shall include its
recommendations for changes or additions to the technology policies or



standards of Florida courts, its recommendations for setting or changing
priorities among the programs within the responsibility of the commission to
assist with budget resources available, its recommendations for changes to
rules, statutes, or regulations that affect technology in Florida courts and the
work of the commission. The report also shall include recommendations of
the Appellate Court Technology Committee that implicate court technology
policy and the action taken on those recommendations by the commission.
This report shall be submitted to the supreme court on April 1 of each year.

(g) Appellate Court Technology Committee.
(1) Purpose. The purpose of this subdivision is to establish the

Appellate Court Technology Committee as a standing committee of the
Florida Courts Technology Commission responsible for providing
technical guidance and consultation to the commission regarding
information systems development and operational policies and procedures
relating to automation in the district courts of appeal.

(2) Responsibilities. The Appellate Court Technology Committee is
charged with specific responsibility to:

(A) coordinate with and provide advice to the Florida Courts
Technology Commission regarding the development of standards and
policies for implementing new technologies, system security, public
access to district court information, and system support;

(B) develop, recommend, and implement policy and procedures
consistent with the overall policy of the supreme court relating to
technology issues affecting the district courts of appeal;

(C) recommend and coordinate the purchase and upgrade of hardware
and software in relation to the district courts office automation systems
and networks;

(D) oversee and direct expenditures of designated state court system
trust funds for technology needs in the district courts;

(E) promote orientation and education programs on technology and its
effective utilization in the district court environment;

(F) ensure principles of accessibility are met for all court technology
projects, with consideration and application of the requirements of the



Americans with Disabilities Act of 1990 and any other applicable state
or federal disability laws;

(G) propose amendments to rules of court procedure and judicial
administration necessary to effectuate the committees charge, after
coordination with appropriate Florida Bar rules committees; and

(H) identify budget issues and funding sources and coordinate with
the District Court of Appeal Budget Commission on recommendations
requiring additional funding or resources for implementation in the
district courts of appeal.
(3) Membership and Terms.

(A) The chief justice will select the chair of the committee from
among the judges of the district courts, with input from the chief judges.

(B) The chief judges of the remaining district courts will designate a
representative from each of their courts to serve as member of the
committee.

(C) The chair and members will serve 3-year terms. Retention and
reappointment of the chair will be at the discretion of the chief justice.
Retention and reappointment of the representative from each district
court will be at the discretion of the district court chief judge.
(4) Commission Approval and Reporting of Policy

Recommendations. Committee recommendations that implicate court
technology policy must be reviewed and approved by the commission. The
commission will report the committees policy recommendations and the
action taken on them by the commission to the supreme court. The
committee may submit to the court a companion report on its
recommendations, supporting or opposing the action taken by the
commission.
(h) Staff Support and Funding. The Office of the State Courts

Administrator shall provide primary staff support to the Florida Courts
Technology Commission and the Appellate Court Technology Committee.
Adequate staffing and resources shall be made available by the Office of the
State Courts Administrator to ensure that the commission and committee are
able to fulfill their responsibilities under this rule.



 Pt. II. ,  Rule 2.240. 
Fla. R. Gen. Prac. & Jud. Admin. 2.240

RULE 2.240. DETERMINATION OF NEED FOR ADDITIONAL
JUDGES.

(a) Purpose. The purpose of this rule is to set forth uniform criteria used
by the supreme court in determining the need for additional judges, except
supreme court justices, and the necessity for decreasing the number of judges,
pursuant to article V, section 9, Florida Constitution. These criteria form the
primary basis for the supreme courts determination of need for additional
judges. Unforeseen developments, however, may have an impact upon the
judiciary resulting in needs which cannot be foreseen or predicted by
statistical projections. The supreme court, therefore, may also consider any
additional information found by it to be relevant to the process. In
establishing criteria for the need for additional appellate court judges,
substantial reliance has been placed on the findings and recommendations of
the Commission on District Court of Appeal Performance and
Accountability. See In re Report of the Commn on Dist. Court of Appeal
Performance and AccountabilityRule of Judicial Admin. 2.035, 933 So.2d
1136 (Fla. 2006).

(b) Criteria.
(1) Trial Courts.

(A) Assessment of judicial need at the trial court level is based
primarily upon the application of case weights to circuit and county
court caseload statistics supplied to the Office of the State Courts
Administrator by the clerks of the circuit courts, pursuant to rule 2.245,
Florida Rules of General Practice and Judicial Administration. Such
case weights provide a quantified measure of judicial time spent on
case-related activity, translating judicial caseloads into judicial workload
by factoring in the relative complexity by case type in the following
manner:

(i) The circuit court case weights are applied to forecasted case
filings, which include circuit criminal (includes felony, drug court,
and worthless check cases), circuit civil (includes matters involving
claims of $15,000.01 and above), family (includes domestic relations,



juvenile dependency, and juvenile delinquency cases), and probate
(includes guardianship, mental health, and trust cases).

(ii) The county court case weights are applied to forecasted filings,
which include county criminal (includes misdemeanor, violations of
county and municipal ordinance, worthless check, driving under the
influence, and other criminal traffic cases), and county civil (includes
small claims, matters involving claims ranging from $5,000.01 to
$15,000, landlord-tenant, and civil traffic infraction cases).
(B) Other factors may be utilized in the determination of the need for

one or more additional judges. These factors include, but are not limited
to, the following:

(i) The availability and use of county court judges in circuit court.
(ii) The availability and use of senior judges to serve on a particular

court.
(iii) The availability and use of magistrates and hearing officers.
(iv) The extent of use of alternative dispute resolution.
(v) The number of jury trials.
(vi) Foreign language interpretations.
(vii) The geographic size and composition of a circuit, including

travel times between courthouses in a particular jurisdiction and the
presence of community facilities such as correctional facilities,
medical facilities, and universities.

(viii) Prosecutorial practices and law enforcement activities in the
courts jurisdiction, including any substantial commitment of
additional resources for state attorneys, public defenders, and local
law enforcement.

(ix) The availability and use of case-related support staff and case
management policies and practices.

(x) Caseload trends.
(C) The Commission on Trial Court Performance and Accountability

shall review the trial court workload trends and case weights and



consider adjustments no less than every five years.
(2) District Courts of Appeal.

(A) The criteria for determining the need to certify the need for
increasing or decreasing the number of judges on a district court of
appeal shall include the following factors:

(i) workload factors to be considered include: trends in case filings;
trends in changes in case mix; trends in the backlog of cases ready for
assignment and disposition; trends in the relative weight of cases
disposed on the merits per judge; and changes in statutes, rules of
court, and case law that directly or indirectly impact judicial
workload.

(ii) efficiency factors to be considered include: a courts ability to
stay current with its caseload, as indicated by measurements such as
trend in clearance rate; trends in a courts percentage of cases
disposed within the time standards set forth in the Rules of General
Practice and Judicial Administration and explanation/justification for
cases not resolved within the time standards; and a courts utilization
of resources, case management techniques and technologies to
maximize the efficient adjudication of cases, research of legal issues,
and preparation and distribution of decisions.

(iii) effectiveness factors to be considered include the extent to
which each judge has adequate time to: thoroughly research legal
issues, review briefs and memoranda of law, participate in court
conferences on pending cases, hear and dispose of motions, and
prepare correspondence, orders, judgments and opinions; expedite
appropriate cases; prepare written opinions when warranted; develop,
clarify, and maintain consistency in the law within that district;
review all decisions rendered by the court; perform administrative
duties relating to the court; and participate in the administration of the
justice system through work in statewide committees.

(iv) professionalism factors to be considered include: the extent to
which judges report that they have time to participate, including
teaching, in education programs designed to increase the competency
and efficiency of the judiciary and justice system as well as the



competency of lawyers; provide guidance and instruction for the
professional development of court support staff; and participate in
appropriate activities of the legal profession at both the state and local
levels to improve the relationship between the bench and bar, to
enhance lawyer professionalism, and to improve the administration of
justice.
(B) The court will presume that there is a need for an additional

appellate court judgeship in any district for which a request is made and
where the relative weight of cases disposed on the merits per judge
would have exceeded the weighted case disposition threshold after
application of the proposed additional judge(s).

(i) The relative weight of cases disposed on the merits shall be
determined based upon case disposition statistics supplied to the state
courts administrator by the clerks of the district courts of appeal,
multiplied by the relative case weights established pursuant to
subdivision (b)(2)(B)(ii), and divided by 100.

(ii) The Commission on District Court of Appeal Performance and
Accountability shall review the workload trends of the district courts
of appeal and consider adjustments in the relative case weights and
the weighted case disposition threshold every four years. Any such
recommended adjustment shall be subject to the approval of the
supreme court.

(c) Additional Trial Court Workload Factors. Because summary
statistics reflective of the above criteria do not fully measure judicial
workload, the supreme court will receive and consider, among other things,
information about the time to perform and volume of the following activities,
which also comprise the judicial workload of a particular jurisdiction:

(1) review appellate court decisions;
(2) research legal issues;
(3) review briefs and memoranda of law;
(4) participate in court conferences on pending cases;
(5) hear and dispose of motions;
(6) prepare correspondence, orders, judgments, and decisional opinions;



(7) review presentence investigative reports and predispositional reports
in delinquency and dependency cases;

(8) review petitions and motions for post-conviction relief;
(9) perform administrative duties relating to the court;
(10) participate in meetings with those involved in the justice system;
(11) participate in educational programs designed to increase the

competency and efficiency of the judiciary;
(12) preside over problem-solving courts;
(13) use, as well as participate in the development of and training on,

technology systems; and
(14) participate in election canvassing boards.

(d) Certification Process. The process by which certification of the need
to increase or decrease the number of judges shall include:

(1) The state courts administrator will distribute a compilation of
summary statistics and projections to each chief judge at a time designated
by the chief justice.

(2) Each chief judge shall submit to the chief justice a request for any
increase or decrease in the number of judges in accordance with the
following:

(A) Trial Courts. Each chief judge will then consider these criteria,
additional workload factors, and summary statistics, and submit to the
chief justice a request for any increases or decreases under article V,
section 9, of the Florida Constitution that the chief judge feels are
required.

(B) District Courts. Each chief judge will then consider the criteria of
this rule and the summary statistics; if a new judge is requested, the
chief judge shall prepare a report showing the need for a new judge
based upon the application of the criteria in this rule.

(i) Any request for a new district court judge shall be submitted to
the District Court of Appeal Budget Commission for review and
approval.



(ii) The chief judge of a district court of appeal shall submit the
report showing the need together with the approval of the District
Court of Appeal Budget Commission to the chief justice.

(3) The chief justice and the state courts administrator may then confer
with the chief judge and other representatives of the court submitting the
request as well as representatives of The Florida Bar and the public to
gather additional information and clarification about the need in the
particular jurisdiction.

(4) The chief justice will submit recommendations to the supreme court,
which will thereafter certify to the legislature its findings and
recommendations concerning such need.

(5) The supreme court, in conjunction with the certification process
under this rule, shall also consider the necessity for increasing, decreasing,
or redefining appellate districts and judicial circuits as required by article
V, section 9, of the Florida Constitution and as set forth in Florida Rule of
General Practice and Judicial Administration 2.241.

COURT COMMENTARY

1983 Adoption. Article V, section 9, of the Florida Constitution authorizes
the establishment, by rule, of uniform criteria for the determination of the
need for additional judges, except supreme court justices, the necessity for
decreasing the number of judges and for increasing, decreasing, or redefining
appellate districts and judicial circuits. Each year since the adoption of article
V in 1972, this court, pursuant to section 9, has certified its determination of
need to the legislature based upon factors and criteria set forth in our
certification decisions. This rule is intended to set forth criteria and workload
factors previously developed, adopted, and used in this certification process,
as summarized and specifically set forth in In re Certificate of Judicial
Manpower, 428 So. 2d 229 (Fla. 1983); In re Certificate of Judicial
Manpower, 396 So. 2d 172 (Fla. 1981); and In re Certification, 370 So. 2d
365 (Fla. 1979).

2004 Amendment. Subdivision (b)(2) was amended to provide more
specific criteria and workload factors to be used in determining the need for
increasing or decreasing the number of judges on the District Courts of
Appeal. In addition, the caseload level at which the court will presume that



there is a need for an additional appellate judge has been increased from 250
to 350 filings per judge.

2006 Amendment. Subdivision (a) is amended to be consistent with the
2006 adoption of rule 2.036 relating to the criteria for determining the
necessity and for increasing, decreasing, or redefining appellate districts and
judicial circuits, pursuant to article V, section 9, Florida Constitution. The
Court adopts the Commission on District Court of Appeal Performance and
Accountabilitys conclusion that a single case filing threshold is insufficient
to capture the intricacies that make up judicial workload in the district courts.
The Commissions alternative to the 350-filings-per-judge threshold is a
weighted case dispositions per judge, which the Commission determined to
be a meaningful measure of judicial workload.

The relative weighted caseload is determined by surveying a representative
sample of judges on the relative degree of judicial effort put into each
category of cases based upon an agreed typical case having a value of 100.
Each category was assigned a relative weight number based upon the
statewide average of the weight calculated through the survey. These weights
were then applied to each courts dispositions on the merits to determine the
weighted caseload value and divided by 100.

This approach accommodates the important distinction between the
number of cases filed and the judicial effort required to dispose of those
cases. While the number of cases continues to increase, trends in the types of
cases filed have dramatically changed the nature of the work that the district
court judges handle. The weighted caseload approach not only accommodates
the differences in types of cases by measuring their relative workload
demands for judges, but it also accommodates the work performed by legal
support staff.

Subdivision (b)(2)(B) establishes a presumption that the relative weight of
cases disposed on the merits should fall below 280 per judge. Chief judges
must consider the impact that the addition of a judge would have on this
measure when applied to their courts dispositions on the merits for the
previous year.

Every four years the Commission will measure the relative judicial effort
associated with the cases disposed on the merits for the year immediately
preceding. This will be accomplished by asking a representative sample of



judges to approximate the relative weight of cases in relation to a mid-ranked
case. The resulting weights will then be applied to each courts dispositions
on the merits to determine the weighted caseload value per judge.

Subdivision (d)(5) was added to ensure the certification process under rule
2.240(d) is conducted in conjunction with the related process for
determinations regarding increases, decreases, or redefinition of appellate
districts and judicial circuits under Florida Rule of General Practice and
Judicial Administration 2.241.



 Pt. II. ,  Rule 2.241. 
Fla. R. Gen. Prac. & Jud. Admin. 2.241

RULE 2.241. DETERMINATION OF THE NECESSITY TO
INCREASE, DECREASE, OR REDEFINE JUDICIAL CIRCUITS
AND APPELLATE DISTRICTS.

(a) Purpose. The purpose of this rule is to establish uniform criteria for the
supreme courts determination of the necessity for increasing, decreasing, or
redefining judicial circuits and appellate districts as required by article V,
section 9, of the Florida Constitution. This rule also provides for an
assessment committee and a certification process to assist the court in
certifying to the legislature its findings and recommendations concerning
such need.

(b) Certification Process. A certification process shall be completed in
conjunction with the supreme courts annual determination regarding the
need for judges under Florida Rule of General Practice and Judicial
Administration 2.240(d) and in accordance with the following:

(1) The supreme court shall certify a necessity to increase, decrease, or
redefine judicial circuits and appellate districts when it determines that the
judicial process is adversely affected by circumstances that present a
compelling need for the certified change.

(2) The supreme court may certify a necessity to increase, decrease, or
redefine judicial circuits and appellate districts when it determines that the
judicial process would be improved significantly by the certified change.

(3) The state courts administrator will distribute a compilation of
summary statistics and projections to each chief judge at a time designated
by the chief justice.

(4) Each chief judge shall consider criteria as may apply under rules
2.241(c) and 2.241(d), as well as any other relevant factors, and shall
inform the chief justice of any perceived need to increase, decrease, or
redefine the states judicial circuits or appellate districts.

(5) Having been advised in these matters by the chief justice and taking
into consideration other relevant factors, the supreme court, finding cause
for further inquiry, may appoint an assessment committee to consider the



capacity of the courts to effectively fulfill their constitutional and statutory
responsibilities as well as any attendant need to increase, decrease, or
redefine appellate districts and judicial circuits.

(6) If an assessment committee is appointed, the committee shall confer
with the chief judges and other representatives of appellate districts and
judicial circuits, district court of appeal and/or trial court budget
commissions, The Florida Bar, and the public for purposes of gathering
additional information regarding matters within its charge and shall submit
written recommendations to the supreme court.

(7) The supreme court shall consider the assessment committees
recommendations within a time frame it deems appropriate.

(8) Whether or not an assessment committee is appointed, the supreme
court shall balance the potential impact and disruption caused by changes
in judicial circuits and appellate districts against the need to address
circumstances that limit the quality and efficiency of, and public
confidence in, the judicial process. Given the impact and disruption that
can arise from any alteration in judicial structure, prior to recommending a
change in judicial circuits or appellate districts, the supreme court shall
consider less disruptive adjustments including, but not limited to, the
addition of judges, the creation of branch locations, geographic or subject-
matter divisions within judicial circuits or appellate districts, deployment
of new technologies, and increased ratios of support staff per judge.
(c) Criteria for Judicial Circuits. The following criteria shall be

considered when determining the necessity for increasing, decreasing, or
redefining judicial circuits as required by article V, section 9, of the Florida
Constitution:

(1) Effectiveness. Factors to be considered for this criterion include the
extent to which each court:

(A) expedites appropriate cases;
(B) handles its workload in a manner permitting its judges to prepare

written decisions when warranted;
(C) is capable of accommodating changes in statutes or case law

impacting workload or court operations; and



(D) handles its workload in a manner permitting its judges to serve on
committees for the judicial system.
(2) Efficiency. Factors to be considered for this criterion are the extent

to which each court:
(A) stays current with its caseload, as indicated by measurements such

as the clearance rate;
(B) adjudicates a high percentage of its cases within the time

standards set forth in the Rules of General Practice and Judicial
Administration and has adequate procedures to ensure efficient, timely
disposition of its cases; and

(C) uses its resources, case management techniques, and technologies
to improve the efficient adjudication of cases, research of legal issues,
and issuance of decisions.
(3) Access to Courts. Factors to be considered for this criterion are the

extent to which:
(A) litigants, including self-represented litigants, have meaningful

access consistent with due process; and
(B) decisions of a court are available in a timely and efficient manner.

(4) Professionalism. Factors to be considered for this criterion are the
extent to which each court:

(A) handles workload issues in a manner permitting its judges
adequate time and resources to participate in continuing judicial
education and to stay abreast of the law in order to maintain a qualified
judiciary;

(B) is capable of recruiting and retaining qualified staff; and
(C) affords staff adequate time to participate in continuing education

and specialized training.
(5) Public Trust and Confidence. Factors to be considered for this

criterion are the extent to which each court:
(A) handles workload in a manner permitting its judges adequate time

for community involvement;



(B) affords access to open court and other public proceedings for the
general public;

(C) fosters public trust and confidence given its geography and
demographic composition; and

(D) attracts a diverse group of well-qualified applicants for judicial
vacancies, including applicants from all counties within the circuit.
(6) Additional criteria. Such other factors as are regularly considered

when making a determination with respect to the need for additional judges
under Florida Rule of General Practice and Judicial Administration
2.240(b)(1) and (c).
(d) Criteria for District Courts. The following criteria shall be

considered when determining the necessity for increasing, decreasing, or
redefine/ng appellate districts as required by article V, section 9, of the
Florida Constitution:

(1) Effectiveness. Factors to be considered for this criterion are the
extent to which each court:

(A) expedites appropriate cases;
(B) handles workload in a manner permitting its judges to prepare

written opinions when warranted;
(C) functions in a collegial manner;
(D) handles workload in a manner permitting its judges to develop,

clarify, and maintain consistency in the law within that district,
including consistency between written opinions and per curiam
affirmances without written opinions;

(E) handles its workload in a manner permitting its judges to
harmonize decisions of their court with those of other district courts or
to certify conflict when appropriate;

(F) handles its workload in a manner permitting its judges to have
adequate time to review all decisions rendered by the court;

(G) is capable of accommodating changes in statutes or case law
impacting workload or court operations; and



(H) handles its workload in a manner permitting its judges to serve on
committees for the judicial system.
(2) Efficiency. Factors to be considered for this criterion are the extent

to which each court:
(A) stays current with its caseload, as indicated by measurements such

as the clearance rate;
(B) adjudicates a high percentage of its cases within the time

standards set forth in the Rules of General Practice and Judicial
Administration and has adequate procedures to ensure efficient, timely
disposition of its cases; and

(C) uses its resources, case management techniques, and other
technologies to improve the efficient adjudication of cases, research of
legal issues, and preparation and distribution of decisions.
(3) Access to Appellate Review. Factors to be considered for this

criterion are the extent to which:
(A) litigants, including self-represented litigants, have meaningful

access to a district court for mandatory and discretionary review of
cases, consistent with due process;

(B) litigants are afforded efficient access to the court for the filing of
pleadings and for oral argument when appropriate; and

(C) orders and opinions of a court are available in a timely and
efficient manner.
(4) Professionalism. Factors to be considered for this criterion are the

extent to which each court:
(A) handles its workload in a manner permitting its judges adequate

time and resources to participate in continuing judicial education
opportunities and to stay abreast of the law in order to maintain a
qualified judiciary;

(B) is capable of recruiting and retaining qualified staff; and
(C) affords staff adequate time to participate in continuing education

and specialized training



(5) Public Trust and Confidence. Factors to be considered for this
criterion are the extent to which each court:

(A) handles its workload in a manner permitting its judges adequate
time for community involvement;

(B) provides adequate access to oral arguments and other public
proceedings for the general public within its district;

(C) fosters public trust and confidence given its geography and
demographic composition and;

(D) attracts diverse group of well-qualified applicants for judicial
vacancies, including applicants from all circuits within the district.

(e) Results of determination. Only upon the supreme courts finding that
a need exists for increasing, decreasing, or redefining appellate districts and
judicial circuits, shall the court, acting prior to the next regular session of the
legislature, certify to the legislature its findings and recommendations
concerning such need.

COMMITTEE NOTES

District Court of Appeal Workload and Jurisdiction Committee Notes
2006 Adoption. Article V, section 9 of the Florida constitution states that:

The supreme court shall establish by rule uniform criteria for the
determination of the need for additional judges except supreme court justices,
the necessity for decreasing the number of judges and for increasing,
decreasing or redefining appellate districts. If the supreme court finds that a
need exists for . . . increasing, decreasing or redefining appellate districts . . .,
it shall, prior to the next regular session of the legislature, certify to the
legislature its findings and recommen dations concerning such need.

(Emphasis added.) Thus, the constitution uses only need when
describing the uniform criteria for certifying additional judges, but uses both
necessity and need when describing the uniform criteria for increasing,
decreasing, or redefining appellate districts. The supreme court has never
determined whether this language compels differing tests for the two
certifications. Subdivision (c) of this rule uses the phrase certify a
necessity. The Committee on District Court of Appeal Workload and



Jurisdiction determined that the two standards set forth in that subdivision
recognize the supreme courts obligation to recommend a change to the
structure of the district courts when circumstances reach the level of necessity
that compels a change, but also recognize the courts discretion to
recommend a change to the structure of the district courts when
improvements are needed.

The criteria set forth in this rule are based on studies of the workload,
jurisdiction, and performance of the appellate courts, and the work of the
Committee on District Court of Appeal Workload and Jurisdiction in 2005. In
establishing these criteria, substantial reliance was placed on empirical
research conducted by judicial branch committees and on other statistical data
concerning cases, caseloads, timeliness of case processing, and manner for
disposition of cases, collected by the Office of the State Courts Administrator
Office as required by section 25.075, Florida Statutes (2004), and Florida
Rule of Judicial Administration 2.030(e)(2).

The workload and jurisdiction committee considered the impact of
computer technology on appellate districts. It is clear that, at this time or in
the future, technology can be deployed to allow litigants efficient access to a
court for filing of pleadings and for participation in oral argument, and that it
can expand the general publics access to the courts. It is possible that
technology will substantially alter the appellate review process in the future
and that appellate courts may find that technology permits or even requires
different districting techniques. This rule was designed to allow these issues
to be addressed by the assessment committee and the supreme court without
mandating any specific approach.

The five basic criteria in subdivision (d) are not listed in any order of
priority. Thus, for example, the workload and jurisdiction committee did not
intend efficiency to be a more important criterion than engendering public
trust and confidence.

Subdivision (d)(2)(A) recognizes that the court currently provides the
legislature with an annual measurement of the appellate courts clearance
rate, which is the ratio between the number of cases that are resolved during
a fiscal year and the new cases that are filed during the same period. Thus, a
clearance rate of one hundred percent reflects a court that is disposing of
pending cases at approximately the same rate that new cases arrive. Given



that other measurements may be selected in the future, the rule does not
mandate sole reliance on this measurement.

Subdivision (d)(5)(E) recognizes that a district courts geographic territory
may be so large that it limits or discourages applicants for judicial vacancies
from throughout the district and creates the perception that a courts judges
do not reflect the makeup of the territory.

COURT COMMENTARY

2013 Amendment. The rule has been amended so the supreme courts
annual certification process will include an analysis of the need to increase,
decrease, or redefine judicial circuits. The requirement for an assessment
committee to analyze, once every eight years, the capacity of the district
courts to fulfill their duties has been deleted. Instead, the chief judges of the
trial and appellate courts will review annual statistics provided by the state
courts administrator, along with the criteria set forth in the rule and any other
relevant factors, and inform the chief justice of any perceived need. Taking
these and other concerns into consideration, the supreme court may appoint
an assessment committee to make further inquiry. If an assessment committee
is appointed, the supreme court will consider the committees
recommendations and will certify to the legislature its own findings and
recommendations concerning such need.



 Pt. II. ,  Rule 2.244. 
Fla. R. Gen. Prac. & Jud. Admin. 2.244

RULE 2.244. UNIFIED COMMITTEE ON JUDICIAL
COMPENSATION.

(a) Creation. There shall be created a Unified Committee on Judicial
Compensation to address judicial pay and benefits issues.

(b) Purpose. The purpose of the Unified Committee on Judicial
Compensation shall be to:

(1) develop and recommend to the supreme court judicial pay and
benefits priorities; and

(2) advocate for judicial pay and benefits issues approved by the
supreme court for inclusion in the annual judicial branch budget request.
(c) Membership. The membership shall include the chief justice of the

supreme court, the presidents and presidents-elect of the Conference of
District Court of Appeal Judges, the Conference of Circuit Court Judges, and
the Conference of County Court Judges, and the chairs and vice-chairs of the
District Court Budget Commission and the Trial Court Budget Commission.

(d) Staffing. The Office of the State Courts Administrator will provide
primary staff support to the committee.



 Pt. II. ,  Rule 2.245. 
Fla. R. Gen. Prac. & Jud. Admin. 2.245

RULE 2.245. CASE REPORTING SYSTEM FOR TRIAL COURTS.
(a) Reporting. The clerk of the circuit court shall report the activity of all

cases before all courts within the clerks jurisdiction to the supreme court in
the manner and on the forms established by the office of the state courts
administrator and approved by order of the court. In those jurisdictions where
separate offices of the clerk of the circuit court and clerk of the county court
have been established by law, the clerk of the circuit court shall report the
activity of all cases before the circuit court, and the clerk of the county court
shall report the activity of all cases before the county court.

(b) Uniform Case Numbering System.
(1) The clerk of the circuit court and the clerk of the county court, where

that separate office exists, shall use the Uniform Case Numbering System.
The uniform case number shall appear upon the case file, the docket and
minute books (or their electronic equivalent), and the complaint.

(2) The office of the state courts administrator shall distribute to the
respective clerks of the circuit and county courts appropriate instructions
regarding the nature and use of the Uniform Case Numbering System.



 Pt. II. ,  Rule 2.250. 
Fla. R. Gen. Prac. & Jud. Admin. 2.250

RULE 2.250. TIME STANDARDS FOR TRIAL AND APPELLATE
COURTS AND REPORTING REQUIREMENTS.

(a) Time Standards. The following time standards are hereby established
as a presumptively reasonable time period for the completion of cases in the
trial and appellate courts of this state. It is recognized that there are cases that,
because of their complexity, present problems that cause reasonable delays.
However, most cases should be completed within the following time periods:

(1) Trial Court Time Standards.
(A) Criminal.

Felony180 days (arrest to final disposition)
Misdemeanor90 days (arrest to final disposition)

(B) Civil.
Jury cases18 months (filing to final disposition)
Non-jury cases12 months (filing to final disposition)
Small Claims95 days (filing to final disposition)

(C) Domestic Relations.
Uncontested90 days (filing to final disposition)
Contested180 days filing to final disposition)

(D) Probate.
Uncontested, no federal estate tax return12 months (from issuance of

letters of administration to final discharge)
Uncontested, with federal estate tax return12 months (from the returns

due date to final discharge)
Contested24 months (from filing to final discharge)

(E) Juvenile Delinquency.
Disposition hearing120 days (filing of petition or child being taken into



custody to hearing)
Disposition hearing (child detained)36 days (date of detention to

hearing)
(F) Juvenile Dependency.

Disposition hearing (child sheltered)88 days (shelter hearing to
disposition)

Disposition hearing (child not sheltered)120 days (filing of petition for
dependency to hearing)

(G) Permanency Proceedings.
Permanency hearing12 months (date child is sheltered to hearing)

(2) Supreme Court and District Courts of Appeal Time Standards.
Rendering a decision  within 180 days of either oral argument or the
submission of the case to the court panel for a decision without oral
argument, except in juvenile dependency or termination of parental rights
cases, in which a decision should be rendered within 60 days of either oral
argument or submission of the case to the court panel for a decision
without oral argument.

(3) Florida Bar Referee Time Standards: Report of refereewithin
180 days of being assigned to hear the case

(4) Circuit Court Acting as Appellate Court:
Ninety days from submission of the case to the judge for review
(b) Reporting of Cases. The time standards require that the following

monitoring procedures be implemented:
All pending cases in circuit and district courts of appeal exceeding the time

standards shall be listed separately on a report submitted quarterly to the chief
justice. The report shall include for each case listed the case number, type of
case, case status (active or inactive for civil cases and contested or
uncontested for domestic relations and probate cases), the date of arrest in
criminal cases, and the original filing date in civil cases. The Office of the
State Courts Administrator will provide the necessary forms for submission
of this data. The report will be due on the 15th day of the month following
the last day of the quarter.



 Pt. II. ,  Rule 2.255. 
Fla. R. Gen. Prac. & Jud. Admin. 2.255

RULE 2.255. STATEWIDE GRAND JURY.
(a) Procedure. The chief judge of each judicial circuit shall cause a list of

those persons whose names have been drawn and certified for jury duty in
each of the counties within that circuit to be compiled. The lists shall be taken
from the male and female population over the age of 18 years and having the
other constitutional and statutory qualifications for jury duty in this state not
later than the last day of the first week of December of each year. From the
lists so compiled, the chief judge shall cause to be selected, by lot and at
random, and by any authorized method including mechanical, electronic, or
electrical device, a list of prospective grand jurors from each county whose
number shall be determined on the basis of 3 jurors for each 3,000 residents
or a fraction thereof in each county. The lists from which the names are
drawn may be, but are not required to be, the same lists from which petit and
grand juries are drawn in each county and circuit. After compilation, the
statewide grand jury lists shall be submitted to the state courts administrator
not later than February 15 of each year.

(b) Population. For the purposes of this rule, the population of each
county shall be in accordance with the latest United States Decennial Census
as set forth in the Florida Statutes.

(c) Excuses.
(1) The judge appointed to preside over the statewide grand jury may

issue an order appointing the chief judge of the judicial circuit where a
prospective grand juror resides to determine whether service on the
statewide grand jury will result in an unreasonable personal or financial
hardship because of the location or projected length of the grand jury
investigation.

(2) The chief judge of the circuit shall determine whether a prospective
grand juror fails to meet the qualifications of a juror in the county where
the person resides. The determination shall be made only for those
prospective grand jurors who contact the chief judge and request
disqualification.

(3) The chief judge of the circuit shall excuse any prospective grand



juror who requests and is qualified for exemption from grand jury service
pursuant to general law, or from service as a juror in the county where the
person resides. The chief judge shall inform the judge appointed to preside
over the statewide grand jury without delay of any determination.



 Pt. II. ,  Rule 2.256. 
Fla. R. Gen. Prac. & Jud. Admin. 2.256

RULE 2.256. JUROR TIME MANAGEMENT.
(a) Optimum Use. The services of prospective jurors should be employed

so as to achieve optimum use with a minimum of inconvenience to jurors.
(b) Minimum Number. A minimally sufficient number of jurors needed

to accommodate trial activity should be determined. This information and
appropriate management techniques should be used to adjust both the number
of individuals summoned for jury duty and the number assigned to jury
panels, consistent with any administrative orders issued by the Chief Justice.

(c) Assignment. Each prospective juror who has reported for jury duty
should be assigned for voir dire before any prospective juror is assigned a
second time.

(d) Calendar Coordination. Jury management and calendar management
should be coordinated to make effective use of jurors.



 Pt. II. ,  Rule 2.260. 
Fla. R. Gen. Prac. & Jud. Admin. 2.260

RULE 2.260. CHANGE OF VENUE.
(a) Preliminary Procedures. Prior to entering an order to change venue to

a particular circuit in a criminal case or in any other case in which change of
venue will likely create an unusual burden for the transferee circuit, the chief
judge in the circuit in which the case originated shall contact the chief judge
in the circuit to which the case is intended to be moved to determine the
receiving countys ability to accommodate the change of venue. It is the
intent of this rule that the county identified to receive the case shall do so
unless the physical facilities or other resources in that county are such that
moving the case to that county would either create an unsafe situation or
adversely affect the operations of that court. Any conflict between the circuits
regarding a potential change of venue shall be referred to the chief justice of
the Florida Supreme Court for resolution.

(b) Presiding Judge. The presiding judge from the originating court shall
accompany the change of venue case, unless the originating and receiving
courts agree otherwise.

(c) Reimbursement of Costs. As a general policy the county in which an
action originated shall reimburse the county receiving the change of venue
case for any ordinary expenditure and any extraordinary but reasonable and
necessary expenditure that would not otherwise have been incurred by the
receiving county. For purposes of this section, ordinary expenditure,
extraordinary expenditure, and nonreimbursable expenditure are defined as
follows:

(1) Ordinary expenditures include:
(A) juror expenses not reimbursed by the State of Florida;
(B) court reporter expenses, including appearances by either official

or freelance reporters, transcripts, and other expenses associated with the
creation of a court record;

(C) court interpreters;
(D) maintenance of evidence, including the cost of handling, storing,

or maintaining the evidence beyond the expenses normally incurred by



the receiving county;
(E) services and supplies purchased as a result of the change of venue;
(F) overtime expenditures for regular court and clerk staff attributable

to the change of venue; and
(G) trial-related expenses, including conflict attorney fees; all expert,

law enforcement, or ordinary witness costs and expenses; and
investigator expenses.
(2) Extraordinary but reasonable and necessary expenses include:

(A) security-related expenditures, including overtime for security
personnel;

(B) facility remodeling or renovation; and
(C) leasing or renting of space or equipment.

Except in emergencies or unless it is impracticable to do so, a receiving
county should give notice to the chief judge and clerk of the county in
which the action originated before incurring any extraordinary
expenditures.

(3) Nonreimbursable expenses include:
(A) normal operating expenses, including the overhead of the

receiving county; and
(B) equipment that is purchased and kept by the receiving county that

can be used for other purposes or cases.
(d) Documentation of Costs. No expenses shall be submitted for

reimbursement without supporting documentation, such as a claim, invoice,
bill, statement, or time sheet. Any required court order or approval of costs
shall also be sent to the originating court.

(e) Timing of Reimbursement. Unless both counties agree to other terms,
reimbursement of all expenses by the originating county shall be paid or
disputed in writing on or before the sixtieth day after the receipt of the claim
for reimbursement. Payment of a disputed amount shall be made on or before
the sixtieth day after the resolution of this dispute. Any amount subject to
dispute shall be expeditiously resolved by authorized representatives of the



court administrators office of the originating and receiving counties.
(f) Media Relations. Procedures to accommodate the media shall be

developed by the receiving county immediately upon notice of the change of
venue when the change of venue is reasonably expected to generate an
unusual amount of publicity. These procedures must be approved by the chief
judge of the receiving circuit and implemented pursuant to administrative
order by the presiding judge. The presiding judge shall obtain the
concurrence of the chief judge before entering any orders that vary from or
conflict with existing administrative orders of the receiving circuit.

(g) Case File. The clerk of the circuit court in the originating county shall
forward the original case file to the clerk in the receiving county. The
receiving clerk shall maintain the file and keep it secure until the trial has
been concluded. During the trial, any documents or exhibits that have been
added shall be properly marked and added to the file in a manner consistent
with the policy and procedures of the receiving county. After the conclusion
of the trial, the file shall be returned to the clerk in the county of origin.



 Pt. II. ,  Rule 2.265. 
Fla. R. Gen. Prac. & Jud. Admin. 2.265

RULE 2.265. MUNICIPAL ORDINANCE VIOLATIONS.
(a) References to Abolished Municipal Courts. All references to a

municipal court or municipal judge in rules promulgated by the supreme
court, in the Florida Statutes, and in any municipal ordinance shall be deemed
to refer, respectively, to the county court or county court judge.

(b) Costs in County Courts. The chief judge of a circuit shall by
administrative order establish a schedule of costs, in conformity with any
provisions of law, to be assessed against a defendant in the county court and
paid to the county for violations of municipal ordinances which are
prosecuted in county court. The costs shall be assessed as a set dollar amount
per conviction, not to exceed $50 excluding any other statutory costs.

(c) Collection of Outstanding Fines. All cases for which outstanding
fines, civil penalties, and costs are being collected by a municipality shall be
retained by the municipality until collected or until the offender defaults on
payment. If a default occurs, the municipality may institute summary claims
proceedings to collect the outstanding fines.

(d) Style of Municipal Ordinance Cases. All prosecutions for violations
of municipal ordinances in county court shall have the following style: City
of _________ v. _________.



 Pt. II. ,  Rule 2.270. 
Fla. R. Gen. Prac. & Jud. Admin. 2.270

RULE 2.270. SUPREME COURT COMMITTEES ON STANDARD
JURY INSTRUCTIONS.

(a) Creation and Authority. The supreme court created the Supreme
Court Committee on Standard Jury Instructions in Civil Cases, the Supreme
Court Committee on Standard Jury Instructions in Criminal Cases (with
responsibility for the standard jury instructions in criminal and in involuntary
civil commitment of sexually violent predator cases and for the grand jury
instructions), and the Supreme Court Committee on Standard Jury
Instructions in Contract and Business Cases to serve as standing committees
responsible for preparing standard jury instructions for use in their respective
case types. See In re Standard Jury Instructions, 198 So. 2d 319, 320 (Fla.
1967); In re Standard Jury Instructions in Criminal Cases, 240 So. 2d 472,
474 (Fla. 1970); In re Supreme Court Committee on Standard Jury
Instruction-Contract and Business Cases, Fla. Admin. Order No. AOSC06-
47 (Sept. 15, 2006). This rule authorizes those committees to develop and
approve new and amended standard jury instructions to be published for use
in the committees respective case types. Standard jury instructions approved
for publication and use under this rule are not approved or otherwise
specifically authorized for use by the supreme court and their approval under
this rule shall not be construed as an adjudicative determination on the legal
correctness of the instructions, which must await an actual case and
controversy.

(b) Responsibilities. The standing supreme court committees on standard
jury instructions are charged with the following responsibilities:

(1) Developing and approving for publication and use, in the
committees respective case types, new and amended standard jury
instructions in response to statutory changes, judicial decisions, or other
events that affect the presentation of those case types to juries.

(2) Continuously reviewing the standard jury instructions, in the
committees respective case types, for errors or inaccuracies and amending
the instructions as necessary to correct any errors or inaccuracies found.

(3) Addressing specific requests from the supreme court concerning the



need for new or amended standard jury instructions.
(4) Considering modified instructions given by a trial court sent to a

committee as required by rule 2.580 to determine whether amendments to
the standard jury instructions are warranted.

(5) Considering changes to the standard jury instructions suggested to
the committee by judges, members of the Bar, and other interested persons.
(c) Procedures. Each committee on standard jury instructions shall adopt

operating procedures necessary to carry out its responsibilities. The operating
procedures must comply with the following requirements, which shall govern
the development and approval of standard jury instructions under this rule:

(1) All new and amended standard jury instructions being considered by
a committee must be published for comment on the jury instructions page
of The Florida Bars website and in The Florida Bar News. The committee
must consider all comments received before taking a final vote on the
changes.

(2) If the committee makes substantial revisions to a new or amended
instruction that was published for comment, the revisions also must be
published for comment in accordance with subdivision (c)(1) of this rule.
Minor revisions to a published instruction change may be made without
republication.

(3) A two-thirds committee vote in favor of a new or amended standard
instruction is required before an instruction may be considered approved
for publication and use.

(4) The committees may establish subcommittees as necessary to carry
out their responsibilities. However, new or amended standard instructions
recommended by a subcommittee must be voted on by the committee
before they are considered approved for publication and use.
(d) Membership and Organization.

(1) Each supreme court committee on standard jury instructions shall be
composed of up to 36 members appointed by the chief justice, for
staggered three-year terms, as follows:

(A) The membership of each committee shall include at least one-
third current or former district, circuit, or county court judges. The



remainder of the members shall be attorneys who are in good standing
with The Florida Bar, with a balance in the various practice areas
addressed by the committee to which the attorney members are being
appointed.

(B) a committee member may serve no more than two consecutive
three-year terms, unless:

(i) a committee determines that it is in the best interest of the
committee for a member to serve an additional term; or

(ii) additional slots remain open due to lack of applications to the
committee.
(C) The chief justice shall appoint 1 member of each committee to

serve as chair and 1 member to serve as vice-chair, each for a one-year
term subject to reappointment.

(e) Staff Support.
(1) The Florida Bar. The Florida Bar will provide staff support for the

Supreme Court Committee on Standard Jury Instructions in Civil Cases
and the Supreme Court Committee on Standard Jury Instructions in
Contract and Business Cases.

(2) The Office of the State Courts Administrator. The Office of the
State Courts Administrator will provide staff support for the Supreme
Court Committee on Standard Jury Instructions in Criminal Cases.
(f) Publication of Approved Instructions. All standard jury instructions

approved for publication and use under this rule shall be published on the
jury instructions page of The Florida Bars website.



 Pt. III. 
Florida Rules of General Practice & Judicial Admin, Pt. III



PART III. JUDICIAL OFFICERS
 Pt. III. ,  Rule 2.310. 

Fla. R. Gen. Prac. & Jud. Admin. 2.310

RULE 2.310. JUDICIAL DISCIPLINE, REMOVAL, RETIREMENT,
AND SUSPENSION.

(a) Filing. Any recommendations to the supreme court from the Judicial
Qualifications Commission pursuant to article V, section 12, of the Florida
Constitution shall be in writing. The original and 7 copies shall be filed with
the clerk of the court, and a copy shall be served expeditiously on the justice
or judge against whom action is sought.

(b) Procedure.
(1) Promptly upon the filing of a recommendation from the commission,

the court shall determine whether the commissions recommendation
complies with all requirements of the constitution and the commissions
rules. Upon determining that the recommendation so complies, and unless
the court otherwise directs, an order shall issue directing the justice or
judge to show cause in writing why the recommended action should not be
taken.

(2) The justice or judge may file a response in writing within the time
set by the court in its order to show cause, and the commission may serve a
reply within 20 days from service of the response.

(3) If requested by the commission, or by a justice or judge at the time
of filing a response, the court may allow oral argument on the
commissions recommendation.
(c) Costs. The supreme court may award reasonable and necessary costs,

including costs of investigation and prosecution, to the prevailing party.
Neither attorneys fees nor travel expenses of commission personnel shall be
included in an award of costs. Taxable costs may include:

(1) court reporters fees, including per diem fees, deposition costs, and
costs associated with the preparation of the transcript and record; and

(2) witness expenses, including travel and out-of-pocket expenses.



 Pt. III. ,  Rule 2.320. 
Fla. R. Gen. Prac. & Jud. Admin. 2.320

RULE 2.320. CONTINUING JUDICIAL EDUCATION.
(a) Purpose. This rule sets forth the continuing education requirement for

all judges in the state judicial system.
(b) Education Requirements.

(1) Applicability. All Florida county, circuit, and appellate judges and
Florida supreme court justices shall comply with these judicial education
requirements. Retired judges who have been approved by the supreme
court to be assigned to temporary active duty as authorized by section
25.073, Florida Statutes (1991), shall also comply with the judicial
education requirements.

(2) Minimum Requirements. Each judge and justice shall complete a
minimum of 30 credit hours of approved judicial education programs every
3 years. Beginning January 1, 2012, 4 hours must be in the area of judicial
ethics; prior to that date, 2 hours in the area of judicial ethics are required.
Approved courses in fairness and diversity also can be used to fulfill the
judicial ethics requirement. In addition to the 30-hour requirement, every
judge new to a level of trial court must complete the Florida Judicial
College program in that judges first year of judicial service following
selection to that level of court; every new appellate court judge or justice
must, within 2 years following selection to that level of court, complete an
approved appellate-judge program. Every new appellate judge who has
never been a trial judge or who has never attended Phase I of the Florida
Judicial College as a magistrate must also attend Phase I of the Florida
Judicial College in that judges first year of judicial service following the
judges appointment. Credit for teaching a course for which mandatory
judicial education credit is available will be allowed on the basis of 21/2
hours credit for each instructional hour taught, up to a maximum of 5
hours per year.

(3) Mediation Training. Prior to conducting any mediation, a senior
judge shall have completed a minimum of one judicial education course
offered by the Florida Court Education Council. The course shall
specifically focus on the areas where the Code of Judicial Conduct or the



Florida Rules for Certified and Court-Appointed Mediators could be
violated.
(c) Course Approval. The Florida Court Education Council, in

consultation with the judicial conferences, shall develop approved courses for
each state court jurisdiction. Courses offered by other judicial and legal
education entities must be approved by the council before they may be
submitted for credit.

(d) Waiver. The Florida Court Education Council is responsible for
establishing a procedure for considering and acting upon waiver and
extension requests on an individual basis.

(e) Reporting Requirements and Sanctions. The Florida Court Education
Council shall establish a procedure for reporting annually to the chief justice
on compliance with this rule. Each judge shall submit to the Court Education
Division of the Office of the State Courts Administrator an annual report
showing the judges attendance at approved courses. Failure to comply with
the requirements of this rule will be reported to the chief justice of the Florida
supreme court for such administrative action as deemed necessary. The chief
justice may consider a judges or justices failure to comply as neglect of
duty and report the matter to the Judicial Qualifications Commission.



 Pt. III. ,  Rule 2.330. 
Fla. R. Gen. Prac. & Jud. Admin. 2.330

RULE 2.330. DISQUALIFICATION OF TRIAL JUDGES.
(a) Application. This rule applies only to county and circuit judges in all

matters in all divisions of court when acting alone as the sole judicial officer
in a trial or appellate proceeding. It does not apply to justices, appellate-level
judges, or county and circuit judges sitting on a multi-judge appellate panel.

(b) Parties. Any party, including the state, may move to disqualify the
judge assigned to the case on grounds provided by rule, statute, the Code of
Conduct, or general law, and in accordance with the procedural provisions of
this rule.

(c) Motion. A motion to disqualify shall:
(1) be in writing;
(2) allege specifically the facts and reasons upon which the movant

relies as the grounds for disqualification, and identify the precise date
when the facts constituting the grounds for the motion were discovered by
the party or the partys counsel, whichever is earlier;

(3) be sworn to or affirmed by the party by signing the motion or by
attaching a separate affidavit;

(4) include the dates of all previously granted motions to disqualify filed
under this rule in the case and the dates of the orders granting those
motions; and

(5) include a separate certification by the attorney for the party, if any,
that the motion and the clients statements are made in good faith.
(d) Service. In addition to filing with the clerk, the movant shall promptly

serve a copy of the motion on the subject judge as set forth in rule 2.516.
(e) Grounds. A motion to disqualify shall set forth all specific and

material facts upon which the judges impartiality might reasonably be
questioned, including but not limited to the following circumstances:

(1) the party reasonably fears that he or she will not receive a fair trial or
hearing because of specifically described prejudice or bias of the judge; or



(2) the judge, the judges spouse or domestic partner, or a person within
the third degree of relationship to either of them, or the spouse or domestic
partner of such a person:

(A) has more than a de minimis economic interest in the subject
matter in controversy or is a party to the proceeding, or an officer,
director, or trustee of a party;

(B) is acting as a lawyer in the proceeding;
(C) has more than a de minimis interest that could be substantially

affected by the proceeding; or
(D) is likely to be a material witness or expert in the proceeding.

(3) The judge served as a lawyer or was the lower court judge in the
matter in controversy, or a lawyer with whom the judge previously
practiced law served during such association as a lawyer concerning the
matter; or

(4) The judge has prior personal knowledge of or bias regarding
disputed evidentiary facts concerning the proceeding.
(f) Prohibition Against Creation of Grounds for Disqualification Based

Upon Appearance of Substitute or Additional Counsel. Upon the addition
of new substitute counsel or additional counsel in a case, the party
represented by such newly appearing counsel is prohibited from filing a
motion for disqualification of the judge based upon the new attorneys
involvement in the case. This subdivision shall not apply, however, to a
motion to disqualify a successor judge who was not the presiding judge at the
time of the new attorneys first appearance in the case.

(g) Time. A motion to disqualify shall be filed within a reasonable time
not to exceed 20 days after discovery by the party or partys counsel,
whichever is earlier, of the facts constituting the grounds for the motion. The
motion shall be promptly served on the subject judge as set forth in
subdivision (d). Any motion for disqualification made during a hearing or
trial must be based on facts discovered during the hearing or trial and may be
stated on the record, provided that it is also promptly reduced to writing in
compliance with subdivision (c)(1) and promptly filed. A motion made
during hearing or trial shall be ruled on immediately.



(h) Determination  Initial Motion. The judge against whom an initial
motion to disqualify under subdivision (e) is directed may determine only the
legal sufficiency of the motion and shall not pass on the truth of the facts
alleged. If any motion is legally insufficient, an order denying the motion
shall immediately be entered. No other reason for denial shall be stated, and
an order of denial shall not take issue with the motion. If the motion is legally
sufficient, the judge shall immediately enter an order granting disqualification
and proceed no further in the action. Such an order does not constitute
acknowledgement that the allegations are true.

(i) Determination  Successive Motions. If a judge has been previously
disqualified on motion for alleged prejudice or partiality under subdivision
(e), a successor judge cannot be disqualified based on a successive motion by
the same party unless the successor judge rules that he or she is in fact not
fair or impartial in the case. Such a successor judge may rule on the truth of
the facts alleged in support of the motion.

(j) Prior Rulings. Prior factual or legal rulings by a disqualified judge may
be reconsidered and vacated or amended by a successor judge based upon a
motion for reconsideration, which must be filed within 30 days of the order
of disqualification, unless good cause is shown for a delay in moving for
reconsideration or other grounds for reconsideration exist.

(k) Recusal Upon Judges Initiative. Nothing in this rule limits the
judges authority to enter an order of recusal.

(l) Time for Determination. The judge against whom the motion for
disqualification has been filed shall take action on the motion immediately,
but no later than 30 days after the service of the motion as set forth in
subdivision (d). If the motion is not denied within 30 days of service, the
motion is deemed granted and the moving party may seek an order from the
court directing the clerk to reassign the case.



 Pt. III. ,  Rule 2.340. 
Fla. R. Gen. Prac. & Jud. Admin. 2.340

RULE 2.340. JUDICIAL ATTIRE.
During any judicial proceeding, robes worn by a judge must be solid black

with no embellishment.



 Pt. IV. 
Florida Rules of General Practice & Judicial Admin, Pt. IV



PART IV. JUDICIAL PROCEEDINGS AND RECORDS
 Pt. IV. ,  Rule 2.410. 

Fla. R. Gen. Prac. & Jud. Admin. 2.410

RULE 2.410. POSSESSION OF COURT RECORDS.
No person other than judges and authorized court employees shall remove

court records as defined in rule 2.430 from the clerks office except by order
of the chief judge or chief justice upon a showing of good cause.

COURT COMMENTARY

1996 Adoption. This rule was written as a result of the problems being
encountered in the removal of files from clerks offices. While the purpose of
the rule is to discourage the removal of court files, it is not intended to
prohibit chief judges or the chief justice from issuing for good cause a
general order providing that attorneys or authorized individuals may be
allowed to check out files on a routine basis to assist in the administrative
efficiency of a court. We note that section 28.13, Florida Statutes (1995),
similarly prohibits the removal of files from clerks offices.



 Pt. IV. ,  Rule 2.420. 
Fla. R. Gen. Prac. & Jud. Admin. 2.420

RULE 2.420. PUBLIC ACCESS TO AND PROTECTION OF
JUDICIAL BRANCH RECORDS.

(a) Scope and Purpose. Subject to the rulemaking power of the Florida
Supreme Court provided by article V, section 2, Florida Constitution, the
following rule shall govern public access to and the protection of the records
of the judicial branch of government. The public shall have access to all
records of the judicial branch of government, except as provided below.
Access to all electronic and other court records shall be governed by the
Standards for Access to Electronic Court Records and Access Security
Matrix, as adopted by the supreme court in Administrative Order AOSC14-
19 or the then-current Standards for Access. Remote access to electronic
court records shall be permitted in counties where the supreme courts
conditions for release of such records are met.

(b) Definitions.
(1) Records of the judicial branch are all records, regardless of

physical form, characteristics, or means of transmission, made or received
in connection with the transaction of official business by any judicial
branch entity and consist of:

(A) court records, which are the contents of the court file, including
the progress docket and other similar records generated to document
activity in a case, transcripts filed with the clerk, documentary exhibits
in the custody of the clerk, and electronic records, videotapes, or
stenographic tapes of depositions or other proceedings filed with the
clerk, and electronic records, videotapes, or stenographic tapes of court
proceedings; and

(B) administrative records, which are all other records made or
received pursuant to court rule, law, or ordinance, or in connection with
the transaction of official business by any judicial branch entity.
(2) Judicial branch means the judicial branch of government, which

includes the state courts system, the clerk of court when acting as an arm
of the court, The Florida Bar, the Florida Board of Bar Examiners, the
Judicial Qualifications Commission, and all other entities established by or



operating under the authority of the supreme court or the chief justice.
(3) Custodian. The custodian of all administrative records of any court

is the chief justice or chief judge of that court, except that each justice or
judge is the custodian of all records that are solely within the possession of
that justice or judge. At the conclusion of service on a court, each justice or
judge shall deliver to the courts chief justice or chief judge any records of
the judicial branch in the possession of the departing justice or judge. As to
all other records, the custodian is the official charged with the
responsibility for the care, safekeeping, and supervision of such records.
All references to custodian mean the custodian or the custodians
designee.

(4) Confidential, as applied to information contained within a record
of the judicial branch, means that such information is exempt from the
public right of access under article I, section 24(a) of the Florida
Constitution and may be released only to the persons or organizations
designated by law, statute, or court order. As applied to information
contained within a court record, the term exempt means that such
information is confidential. Confidential information includes information
that is confidential under this rule or under a court order entered pursuant
to this rule. To the extent reasonably practicable, restriction of access to
confidential information shall be implemented in a manner that does not
restrict access to any portion of the record that is not confidential.

(5) Affected non-party means any non-party identified by name in a
court record that contains confidential information pertaining to that non-
party.

(6) Filer means any person who files a document in court records,
except filer does not include the clerk of court or designee of the clerk, a
judge, magistrate, hearing officer, or designee of a judge, magistrate, or
hearing officer.
(c) Confidential and Exempt Records. The following records of the

judicial branch shall be confidential:
(1) Trial and appellate court memoranda, drafts of opinions and orders,

court conference records, notes, and other written materials of a similar
nature prepared by judges or court staff acting on behalf of or at the



direction of the court as part of the courts judicial decision-making
process utilized in disposing of cases and controversies before Florida
courts unless filed as a part of the court record;

(2) Memoranda or advisory opinions that relate to the administration of
the court and that require confidentiality to protect a compelling
governmental interest, including, but not limited to, maintaining court
security, facilitating a criminal investigation, or protecting public safety,
which cannot be adequately protected by less restrictive measures. The
degree, duration, and manner of confidentiality imposed shall be no
broader than necessary to protect the compelling governmental interest
involved, and a finding shall be made that no less restrictive measures are
available to protect this interest. The decision that confidentiality is
required with respect to such administrative memorandum or written
advisory opinion shall be made by the chief judge;
(3)(A) Complaints alleging misconduct against judges until probable cause
is established;

(B) Complaints alleging misconduct against other entities or
individuals licensed or regulated by the courts, until a finding of
probable cause or no probable cause is established, unless otherwise
provided. Such finding should be made within the time limit set by law
or rule. If no time limit is set, the finding should be made within a
reasonable period of time;
(4) Periodic evaluations implemented solely to assist judges in

improving their performance, all information gathered to form the bases
for the evaluations, and the results generated therefrom;

(5) Only the names and qualifications of persons applying to serve or
serving as unpaid volunteers to assist the court, at the courts request and
direction, shall be accessible to the public. All other information contained
in the applications by and evaluations of persons applying to serve or
serving as unpaid volunteers shall be confidential unless made public by
court order based upon a showing of materiality in a pending court
proceeding or upon a showing of good cause;

(6) Copies of arrest and search warrants and supporting affidavits
retained by judges, clerks, or other court personnel until execution of said



warrants or until a determination is made by law enforcement authorities
that execution cannot be made;

(7) All records made confidential under the Florida and United States
Constitutions and Florida and federal law;

(8) All records presently deemed to be confidential by court rule,
including the Rules for Admission to the Bar, by Florida Statutes, by prior
case law of the State of Florida, and by the rules of the Judicial
Qualifications Commission;

(9) Any court record determined to be confidential in case decision or
court rule on the grounds that:

(A) confidentiality is required to:
(i) prevent a serious and imminent threat to the fair, impartial, and

orderly administration of justice;
(ii) protect trade secrets;
(iii) protect a compelling governmental interest;
(iv) obtain evidence to determine legal issues in a case;
(v) avoid substantial injury to innocent third parties;
(vi) avoid substantial injury to a party by disclosure of matters

protected by a common law or privacy right not generally inherent in
the specific type of proceeding sought to be closed;

(vii) comply with established public policy set forth in the Florida
or United States Constitution or statutes or Florida rules or case law;
(B) the degree, duration, and manner of confidentiality ordered by the

court shall be no broader than necessary to protect the interests set forth
in subdivision (c)(9)(A); and

(C) no less restrictive measures are available to protect the interests
set forth in subdivision (c)(9)(A).
(10) The names and any identifying information of judges mentioned in

an advisory opinion of the Judicial Ethics Advisory Committee.
(d) Procedures for Determining Confidentiality of Court Records.



(1) Except as provided in subdivision (d)(1)(C), the clerk of the court
shall designate and maintain the confidentiality of any information
contained within a court record that is described in subdivision (d)(1)(A) or
(d)(1)(B) of this rule.

(A) The clerk of the court shall maintain as confidential information
described by any of subdivisions (c)(1) through (c)(6) of this rule;

(B) Except as provided by court order, the clerk of the court shall
maintain as confidential information subject to subdivision (c)(7) or (c)
(8) of this rule that is currently confidential or exempt from section
119.07, Florida Statutes, and article I, section 24(a) of the Florida
Constitution as specifically stated in any of the following statutes or as
they may be amended or renumbered:

(i) Chapter 39 records relating to dependency matters, termination
of parental rights, guardians ad litem, child abuse, neglect, and
abandonment.  39.0132(3), 39.0132(4)(a), 39.202, Fla. Stat.

(ii) Adoption records.  63.162, Fla. Stat.
(iii) Social Security, bank account, charge, debit, and credit card

numbers.  119.0714(1)(i)-(j), (2)(a)-(e), Fla. Stat. (Unless redaction
is requested pursuant to  119.0714(2), Fla. Stat., this information is
exempt only as of January 1, 2012.)

(iv) HIV test results and the identity of any person upon whom an
HIV test has been performed.  381.004(2)(e), Fla. Stat.

(v) Records, including test results, held by the Department of
Health or its authorized representatives relating to sexually
transmissible diseases.  384.29, Fla. Stat.

(vi) Birth records and portions of death and fetal death records. 
382.008(6), 382.025(1), Fla. Stat.

(vii) Information that can be used to identify a minor petitioning for
a waiver of parental or guardian notice or consent when seeking to
terminate pregnancy.  390.01116, 390.01118, Fla. Stat.

(viii) Clinical records under the Baker Act,  394.4615(7), Fla.
Stat., and all petitions, court orders, and related records under the
Baker Act, including all personal identifying information of a person



subject to the Act,  394.464, Fla. Stat.
(ix) Records of substance abuse service providers which pertain to

the identity, diagnosis, and prognosis of and service provision to
individuals,  397.501(7), Fla. Stat., and all petitions, court orders,
and related records for involuntary assessment and stabilization of an
individual,  397.6760, Fla. Stat.

(x) Clinical records of criminal defendants found incompetent to
proceed or acquitted by reason of insanity.  916.107(8), Fla. Stat.

(xi) Estate inventories and accountings.  733.604(1), Fla. Stat.
(xii) The victims address in a domestic violence action on

petitioners request.  741.30(3)(b), Fla. Stat.
(xiii) Protected information regarding victims of child abuse or

sexual offenses.  119.071(2)(h), 119.0714(1)(h), Fla. Stat.
(xiv) Gestational surrogacy records.  742.16(9), Fla. Stat.
(xv) Guardianship reports, orders appointing court monitors, and

orders relating to findings of no probable cause in guardianship cases.
 744.1076, 744.3701, Fla. Stat.

(xvi) Grand jury records.  905.17, 905.28(1), Fla. Stat.
(xvii) Records acquired by courts and law enforcement regarding

family services for children.  984.06(3)-(4), Fla. Stat.
(xviii) Juvenile delinquency records.  985.04(1), 985.045(2), Fla.

Stat.
(xix) Records disclosing the identity of persons subject to

tuberculosis proceedings and records held by the Department of
Health or its authorized representatives relating to known or suspected
cases of tuberculosis or exposure to tuberculosis.  392.545, 392.65,
Fla. Stat.

(xx) Complete presentence investigation reports. Fla. R. Crim. P.
3.712.

(xxi) Forensic behavioral health evaluations under Chapter 916. 
916.1065, Fla. Stat.



(xxii) Eligibility screening, substance abuse screening, behavioral
health evaluations, and treatment status reports for defendants referred
to or considered for referral to a drug court program.  397.334(10)
(a), Fla. Stat.

(xxiii) Information that can be used to identify a petitioner or
respondent in a petition for an injunction against domestic violence,
repeat violence, dating violence, sexual violence, stalking, or cyber
stalking, and any affidavits, notice of hearing, and temporary
injunction until the respondent has been personally served with a copy
of the petition for injunction, affidavits, notice of hearing, and
temporary injunction.  119.0714(1)(k)3., Fla. Stat.
(C) In civil cases, the clerk of the court shall not be required to

designate and maintain information as confidential unless the filer
follows the notice procedures set forth in subdivision (d)(2), the filer
files a Motion to Determine Confidentiality of Court Records as set forth
in subdivision (d)(3), the filing is deemed confidential by court order, or
the case itself is confidential by law. Civil cases as used in this rule
includes only civil case types in the circuit, county, or small claims
courts (identified by the Court Type Designator CA, CC, and SC in the
uniform case numbering system), except those case types listed as
Viewable on Request (VOR) in the Standards for Access to Electronic
Court Records and Access Security Matrix, as adopted by the supreme
court in Administrative Order AOSC14-19 or the then-current standards
for access.
(2) The filer of any document containing confidential information

described in subdivision (d)(1)(B) shall, at the time of filing, file with the
clerk a Notice of Confidential Information within Court Filing in order
to indicate that confidential information described in subdivision (d)(1)(B)
of this rule is included within the document being filed and also indicate
that either the entire document is confidential or identify the precise
location of the confidential information within the document being filed. If
an entire court file is maintained as confidential, the filer of a document in
such a file is not required to file the notice form. A form Notice of
Confidential Information within Court Filing accompanies this rule.

(A) If any document in a court file contains confidential information



as described in subdivision (d)(1)(B), the filer, a party, or any affected
non-party may file the Notice of Confidential Information within Court
Filing if the document was not initially filed with a Notice of
Confidential Information within Court Filing and the confidential
information is not maintained as confidential by the clerk. The Notice of
Confidential Information within Court Filing filed pursuant to this
subdivision must also state the title and type of document, date of filing
(if known), date of document, docket entry number, indicate that either
the entire document is confidential or identify the precise location of the
confidential information within the document, and provide any other
information the clerk may require to locate the confidential information.

(B) The clerk of court shall review filings identified as containing
confidential information to determine whether the purported confidential
information is facially subject to confidentiality under subdivision (d)(1)
(B). If the clerk determines that filed information is not subject to
confidentiality under subdivision (d)(1)(B), the clerk shall notify the
filer of the Notice of Confidential Information within Court Filing in
writing within 5 days of filing the notice and thereafter shall maintain
the information as confidential for 10 days from the date such
notification by the clerk is served. The information shall not be held as
confidential for more than that 10-day period, unless a motion has been
filed pursuant to subdivision (d)(3).
(3) The filer of a document with the court shall ascertain whether any

information contained within the document may be confidential under
subdivision (c) of this rule notwithstanding that such information is not
itemized at subdivision (d)(1) of this rule. If the filer believes in good faith
that information is confidential but is not described in subdivision (d)(1) of
this rule, the filer shall request that the information be maintained as
confidential by filing a Motion to Determine Confidentiality of Court
Records under the procedures set forth in subdivision (e), (f), or (g),
unless:

(A) the filer is the only individual whose confidential information is
included in the document to be filed or is the attorney representing all
such individuals; and

(B) a knowing waiver of the confidential status of that information is



intended by the filer. Any interested person may request that information
within a court file be maintained as confidential by filing a motion as
provided in subdivision (e), (f), or (g).
(4) If a notice of confidential information is filed pursuant to subdivision

(d)(2), or a motion is filed pursuant to subdivision (e)(1) or (g)(1) seeking
to determine that information contained in court records is confidential, or
pursuant to subdivision (e)(5) or (g)(5) seeking to vacate an order that has
determined that information in a court record is confidential or seeking to
unseal information designated as confidential by the clerk of court, then
the person filing the notice or motion shall give notice of such filing to any
affected non-party. Notice pursuant to this provision must:

(A) be filed with the court;
(B) identify the case by docket number;
(C) describe the confidential information with as much specificity as

possible without revealing the confidential information, including
specifying the precise location of the information within the court
record; and

(D) include:
(i) in the case of a motion to determine confidentiality of court

records, a statement that if the motion is denied then the subject
material will not be treated as confidential by the clerk; and

(ii) in the case of a motion to unseal confidential records or a
motion to vacate an order deeming records confidential, a statement
that if the motion is granted, the subject material will no longer be
treated as confidential by the clerk.

Any notice described herein must be served pursuant to subdivision (k), if
applicable, together with the motion that gave rise to the notice in
accordance with subdivision (e)(5) or (g)(5).

(5) Except when the entire court file is maintained as confidential, if a
judge, magistrate, or hearing officer files any document containing
confidential information, the confidential information within the document
must be identified as confidential and the title of the document must
include the word confidential. The clerk must maintain the



confidentiality of the identified confidential information. A copy of the
document edited to omit the confidential information shall be provided to
the clerk for filing and recording purposes.
(e) Request to Determine Confidentiality of Trial Court Records in

Noncriminal Cases.
(1) A request to determine the confidentiality of trial court records in

noncriminal cases under subdivision (c) must be made in the form of a
written motion captioned Motion to Determine Confidentiality of Court
Records. A motion made under this subdivision must:

(A) identify the particular court records or a portion of a record that
the movant seeks to have determined as confidential with as much
specificity as possible without revealing the information subject to the
confidentiality determination;

(B) specify the bases for determining that such court records are
confidential without revealing confidential information; and

(C) set forth the specific legal authority and any applicable legal
standards for determining such court records to be confidential without
revealing confidential information.

Any written motion made under this subdivision must include a signed
certification by the party or the attorney for the party making the request
that the motion is made in good faith and is supported by a sound factual
and legal basis. Information that is subject to such a motion must be treated
as confidential by the clerk pending the courts ruling on the motion. A
response to a written motion filed under this subdivision may be served
within 10 days of service of the motion. Notwithstanding any of the
foregoing, the court may not determine that the case number, docket
number, or other number used by the clerks office to identify the case file
is confidential.

(2) Except when a motion filed under subdivision (e)(1) represents that
all parties agree to all of the relief requested, the court must, as soon as
practicable but no later than 30 days after the filing of a motion under this
subdivision, hold a hearing before ruling on the motion. Whether or not
any motion filed under subdivision (e)(1) is agreed to by the parties, the
court may in its discretion hold a hearing on such motion. Any hearing



held under this subdivision must be an open proceeding, except that any
person may request that the court conduct all or part of the hearing in
camera to protect the interests set forth in subdivision (c). Any person may
request expedited consideration of and ruling on the motion. The movant
shall be responsible for ensuring that a complete record of any hearing held
pursuant to this subdivision is created, either by use of a court reporter or
by any recording device that is provided as a matter of right by the court.
The court may in its discretion require prior public notice of the hearing on
such a motion in accordance with the procedure for providing public notice
of court orders set forth in subdivision (e)(4) or by providing such other
public notice as the court deems appropriate. The court must issue a ruling
on the motion within 30 days of the hearing.

(3) Any order granting in whole or in part a motion filed under
subdivision (e) must state the following with as much specificity as
possible without revealing the confidential information:

(A) the type of case in which the order is being entered;
(B) the particular grounds under subdivision (c) for determining the

information is confidential;
(C) whether any partys name is determined to be confidential and, if

so, the particular pseudonym or other term to be substituted for the
partys name;

(D) whether the progress docket or similar records generated to
document activity in the case are determined to be confidential;

(E) the particular information that is determined to be confidential;
(F) identification of persons who are permitted to view the

confidential information;
(G) that the court finds that: (i) the degree, duration, and manner of

confidentiality ordered by the court are no broader than necessary to
protect the interests set forth in subdivision (c); and (ii) no less
restrictive measures are available to protect the interests set forth in
subdivision (c); and

(H) that the clerk of the court is directed to publish the order in
accordance with subdivision (e)(4).



(4) Except as provided by law or court rule, notice must be given of any
written order granting in whole or in part a motion made under subdivision
(e)(1) as follows:

(A) within 10 days following the entry of the order, the clerk of court
must post a copy of the order on the clerks website and in a prominent
public location in the courthouse; and

(B) the order must remain posted in both locations for no less than 30
days. This subdivision shall not apply to orders determining that court
records are confidential under subdivision (c)(7) or (c)(8).
(5) If a nonparty requests that the court vacate all or part of an order

issued under subdivision (e) or requests that the court order the unsealing
of records designated as confidential under subdivision (d), the request
must be made by a written motion, filed in that court, that states with as
much specificity as possible the bases for the motion. The motion must set
forth the specific legal authority and any applicable legal standards
supporting the motion. The movant must serve all parties and all affected
non-parties with a copy of the motion. Except when a motion filed under
this subdivision represents that all parties and affected non-parties agree to
all of the relief requested, the court must, as soon as practicable but no later
than 30 days after the filing of a motion under this subdivision, hold a
hearing on the motion. Regardless of whether any motion filed under this
subdivision is agreed to by the parties and affected non-parties, the court
may in its discretion hold a hearing on such motion. Any person may
request expedited consideration of and ruling on the motion. Any hearing
held under this subdivision must be an open proceeding, except that any
person may request that the court conduct all or part of the hearing in
camera to protect the interests set forth in subdivision (c). The court must
issue a ruling on the motion within 30 days of the hearing. The movant
shall be responsible for ensuring that a complete record of any hearing held
under this subdivision be created, either by use of a court reporter or by
any recording device that is provided as a matter of right by the court. This
subdivision shall not apply to orders determining that court records are
confidential under subdivision (c)(7) or (c)(8).
(f) Request to Determine Confidentiality of Court Records in Criminal

Cases.



(1) Subdivisions (e) and (h) shall apply to any motion by the state, a
defendant, or an affected non-party to determine the confidentiality of trial
court records in criminal cases under subdivision (c), except as provided in
subdivision (f)(3). As to any motion filed in the trial court under
subdivision (f)(3), the following procedure shall apply:

(A) Unless the motion represents that the state, defendant(s), and all
affected non-parties subject to the motion agree to all of the relief
requested, the court must hold a hearing on the motion filed under this
subdivision within 15 days of the filing of the motion. Any hearing held
under this subdivision must be an open proceeding, except that any
person may request that the court conduct all or part of the hearing in
camera to protect the interests set forth in subdivision (c)(9)(A).

(B) The court shall issue a written ruling on a motion filed under this
subdivision within 10 days of the hearing on a contested motion or
within 10 days of the filing of an agreed motion.
(2) Subdivision (g) shall apply to any motion to determine the

confidentiality of appellate court records under subdivision (c), except as
provided in subdivision (f)(3). As to any motion filed in the appellate court
under subdivision (f)(3), the following procedure shall apply:

(A) The motion may be made with respect to a record that was
presented or presentable to a lower tribunal, but no determination
concerning confidentiality was made by the lower tribunal, or a record
presented to an appellate court in an original proceeding.

(B) A response to a motion filed under this subdivision may be served
within 10 days of service of the motion.

(C) The court shall issue a written ruling on a motion filed under this
subdivision within 10 days of the filing of a response on a contested
motion or within 10 days of the filing of an uncontested motion.
(3) Any motion to determine whether a court record that pertains to a

plea agreement, substantial assistance agreement, or other court record that
reveals the identity of a confidential informant or active criminal
investigative information is confidential under subdivision (c)(9)(A)(i), (c)
(9)(A)(iii), (c)(9)(A)(v), or (c)(9)(A)(vii) of this rule may be made in the
form of a written motion captioned Motion to Determine Confidentiality



of Court Records. Any motion made pursuant to this subdivision must be
treated as confidential and indicated on the docket by generic title only,
pending a ruling on the motion or further order of the court. As to any
motion made under this subdivision, the following procedure shall apply:

(A) Information that is the subject of such motion must be treated as
confidential by the clerk pending the courts ruling on the motion.
Filings containing the information must be indicated on the docket in a
manner that does not reveal the confidential nature of the information.

(B) The provisions of subdivisions (e)(3)(A)-(G), (g)(7), (h), and (j),
shall apply to motions made under this subdivision. The provisions of
subdivisions (e)(1), (e)(2), (e)(3)(H), (e)(4), and (e)(5) shall not apply to
motions made under this subdivision.

(C) No order entered under this subdivision may authorize or approve
the sealing of court records for any period longer than is necessary to
achieve the objective of the motion, and in no event longer than 120
days. Extensions of an order issued hereunder may be granted for 60-
day periods, but each such extension may be ordered only upon the
filing of another motion in accordance with the procedures set forth
under this subdivision. In the event of an appeal or review of a matter in
which an order is entered under this subdivision, the lower tribunal shall
retain jurisdiction to consider motions to extend orders issued hereunder
during the course of the appeal or review proceeding.

(D) The clerk of the court shall not publish any order of the court
issued hereunder in accordance with subdivision (e)(4) or (g)(4) unless
directed by the court. The docket shall indicate only the entry of the
order.
(4) This subdivision does not authorize the falsification of court records

or progress dockets.
(g) Request to Determine Confidentiality of Appellate Court Records

in Noncriminal Cases.
(1) Subdivision (e)(1) shall apply to any motion filed in the appellate

court to determine the confidentiality of appellate court records in
noncriminal cases under subdivision (c). Such a motion may be made with
respect to a record that was presented or presentable to a lower tribunal,



but no determination concerning confidentiality was made by the lower
tribunal, or a record presented to an appellate court in an original
proceeding.

(2) A response to a motion filed under subdivision (g)(1) may be served
within 10 days of service of the motion. The court shall issue a written
ruling on a written motion filed under this subdivision within 30 days of
the filing of a response on a contested motion or within 30 days of the
filing of an uncontested written motion.

(3) Any order granting in whole or in part a motion filed under
subdivision (g)(1) must be in compliance with the guidelines set forth in
subdivisions (e)(3)(A)(e)(3)(H). Any order requiring the sealing of an
appellate court record operates to also make those same records
confidential in the lower tribunal during the pendency of the appellate
proceeding.

(4) Except as provided by law, within 10 days following the entry of an
order granting a motion under subdivision (g)(1), the clerk of the appellate
court must post a copy of the order on the clerks website and must provide
a copy of the order to the clerk of the lower tribunal, with directions that
the clerk is of the lower tribunal shall seal the records identified in the
order. The order must remain posted by the clerk of the appellate court for
no less than 30 days.

(5) If a nonparty requests that the court vacate all or part of an order
issued under subdivision (g)(3), or requests that the court order the
unsealing of records designated as confidential under subdivision (d), the
request must be made by a written motion, filed in that court, that states
with as much specificity as possible the bases for the request. The motion
must set forth the specific legal authority and any applicable legal
standards supporting the motion. The movant must serve all parties and all
affected non-parties with a copy of the motion. A response to a motion
may be served within 10 days of service of the motion.

(6) The party seeking to have an appellate record sealed under this
subdivision has the responsibility to ensure that the clerk of the lower
tribunal is alerted to the issuance of the order sealing the records and to
ensure that the clerk takes appropriate steps to seal the records in the lower
tribunal.



(7) Upon conclusion of the appellate proceeding, the lower tribunal may,
upon appropriate motion showing changed circumstances, revisit the
appellate courts order directing that the records be sealed.

(8) Records of a lower tribunal determined to be confidential by that
tribunal must be treated as confidential during any review proceedings. In
any case where information has been determined to be confidential under
this rule, the clerk of the lower tribunal shall so indicate in the index
transmitted to the appellate court. If the information was determined to be
confidential in an order, the clerks index must identify such order by date
or docket number. This subdivision does not preclude review by an
appellate court, under Florida Rule of Appellate Procedure 9.100(d), or
affect the standard of review by an appellate court, of an order by a lower
tribunal determining that a court record is confidential.
(h) Oral Motions to Determine Confidentiality of Trial Court Records.

(1) Notwithstanding the written notice requirements of subdivision (d)
(2) and written motion requirements of subdivisions (d)(3), (e)(1), and (f),
the movant may make an oral motion to determine the confidentiality of
trial court records under subdivision (c), provided:

(A) except for oral motions under subdivision (f)(3), the oral motion
otherwise complies with subdivision (e)(1);

(B) all parties and affected non-parties are present or properly noticed
or the movant otherwise demonstrates reasonable efforts made to obtain
the attendance of any absent party or affected non-party;

(C) the movant shows good cause why the movant was unable to
timely comply with the written notice requirements as set forth in
subdivision (d)(2) or the written motion requirement as set forth in
subdivision (d)(3), (e)(1), or (f), as applicable;

(D) the oral motion is reduced to written form in compliance with
subdivision (d), (e)(1), or (f), as applicable, and is filed within 5 days
following the date of making the oral motion;

(E) except for oral motions under subdivision (f)(3), the provisions of
subdivision (e)(2) shall apply to the oral motion, procedure and hearing;

(F) the provisions of subdivision (f)(1)(A) and (f)(1)(B) and (f)(3)



shall apply to any oral motion under subdivision (f)(3); and
(G) oral motions are not applicable to subdivision (f)(2) or (g) or

extensions of orders under subdivision (f)(3)(C).
(2) The court may deny any oral motion made pursuant to subdivision

(h)(1) if the court finds that the movant had the ability to timely comply
with the written notice requirements in subdivision (d) or the written
motion requirements of (d)(3), (e)(1), or (f), as applicable, or the movant
failed to provide adequate notice to the parties and affected non-parties of
the confidentiality issues to be presented to the court.

(3) Until the court renders a decision regarding the confidentiality issues
raised in any oral motion, all references to purported confidential
information as set forth in the oral motion shall occur in a manner that does
not allow public access to such information.

(4) If the court grants in whole or in part any oral motion to determine
confidentiality, the court shall issue a written order that does not reveal the
confidential information and complies with the applicable subdivision of
this rule as follows:

(A) For any oral motion under subdivision (e) or (f)(1), except
subdivisions (f)(1)(A) and (f)(1)(B), the written order must be issued
within 30 days of the hearing and must comply with subdivision (e)(3).

(B) For any oral motion under subdivision (f)(3), the written order
must be issued within 10 days of the hearing on a contested motion or
filing of an agreed motion and must comply with subdivision (f)(3).

(i) Sanctions. After notice and an opportunity to respond, and upon
determining that a motion, filing, or other activity described below was not
made in good faith and was not supported by a sound legal or factual basis,
the court may impose sanctions against any party or non-party and/or their
attorney, if that party or non-party and/or their attorney, in violation of the
applicable provisions of this rule:

(1) seeks confidential status for non-confidential information by filing a
notice under subdivision (d)(2);

(2) seeks confidential status for non-confidential information by making
any oral or written motion under subdivision (d)(3), (e), (f), (g), or (h);



(3) seeks access to confidential information under subdivision (j) or
otherwise;

(4) fails to file a Notice of Confidential Information within Court Filing
in compliance with subdivision (d)(2);

(5) makes public or attempts to make public by motion or otherwise
information that should be maintained as confidential under subdivision
(c), (d), (e), (f), (g), or (h); or

(6) otherwise makes or attempts to make confidential information part of
a non-confidential court record.
Nothing in this subdivision is intended to limit the authority of a court to
enforce any court order entered pursuant to this rule.
(j) Procedure for Obtaining Access to Confidential Court Records.

(1) The clerk of the court must allow access to confidential court records
to persons authorized by law, or any person authorized by court order.

(2) A court order allowing access to confidential court records may be
obtained by filing a written motion which must:

(A) identify the particular court record(s) or a portion of the court
record(s) to which the movant seeks to obtain access with as much
specificity as possible without revealing the confidential information;

(B) specify the bases for obtaining access to such court records;
(C) set forth the specific legal authority for obtaining access to such

court records; and
(D) contain a certification that the motion is made in good faith and is

supported by a sound factual and legal basis.
(3) The movant must serve a copy of the written motion to obtain access

to confidential court records on all parties and reasonably ascertainable
affected non-parties and the court must hold a hearing on the written
motion within a reasonable period of time.

(4) Any order granting access to confidential court records must:
(A) describe the confidential information with as much specificity as

possible without revealing the confidential information, including



specifying the precise location of the information within the court
records;

(B) identify the persons who are permitted to view the confidential
information in the court records;

(C) identify any person who is permitted to obtain copies of the
confidential court records; and

(D) state the time limits imposed on such access, if any, and any other
applicable terms or limitations to such access.
(5) The filer of confidential court records, that filers attorney of record,

or that filers agent as authorized by that filer in writing may obtain access
to such confidential records pursuant to this subdivision.

(6) Unless otherwise provided, an order granting access to confidential
court records under this subdivision shall not alter the confidential status of
the record.
(k) Procedure for Service on Victims and Affected Non-parties and

When Addresses Are Confidential.
(1) In criminal cases, when the defendant is required to serve any notice

or motion described in this rule on an alleged victim of a crime, service
shall be on the state attorney, who shall send or forward the notice or
motion to the alleged victim.

(2) Except as set forth in subdivision (k)(1), when serving any notice or
motion described in this rule on any affected non-party whose name or
address is not confidential, the filer or movant shall use reasonable efforts
to locate the affected non-party and may serve such affected non-party by
any method set forth in Florida Rule of General Practice and Judicial
Administration 2.516.

(3) Except as set forth in subdivision (k)(1), when serving any notice or
motion described in this rule and the name or address of any party or
affected non-party is confidential, the filer or movant must state
prominently in the caption of the notice or motion Confidential Party or
Confidential Affected Non-Party  Court Service Requested. When a
notice or motion so designated is filed, the court shall be responsible for
providing a copy of the notice or motion to the party or affected non-party,



by any method permitted in Florida Rule of General Practice and Judicial
Administration 2.516, in such a way as to not reveal the confidential
information.
(l) Denial of Access Request for Administrative Records. Expedited review

of denials of access to administrative records of the judicial branch shall be
provided through an action for mandamus or other appropriate relief, in the
following manner:

(1) When a judge who has denied a request for access to records is the
custodian, the action shall be filed in the court having appellate jurisdiction
to review the decisions of the judge denying access. Upon order issued by
the appellate court, the judge denying access to records shall file a sealed
copy of the requested records with the appellate court.

(2) All other actions under this rule shall be filed in the circuit court of
the circuit in which such denial of access occurs.
(m) Procedure for Public Access to Judicial Branch Records. Requests

and responses to requests for access to records under this rule shall be made
in a reasonable manner.

(1) Requests for access to judicial branch records shall be in writing and
shall be directed to the custodian. The request shall provide sufficient
specificity to enable the custodian to identify the requested records. The
reason for the request is not required to be disclosed.

(2) The custodian shall be solely responsible for providing access to the
records of the custodians entity. The custodian shall determine whether
the requested record is subject to this rule and, if so, whether the record or
portions of the record are exempt from disclosure. The custodian shall
determine the form in which the record is provided. If the request is
denied, the custodian shall state in writing the basis for the denial.

(3) Fees for copies of records in all entities in the judicial branch of
government, except for copies of court records, shall be the same as those
provided in section 119.07, Florida Statutes.

COMMENT
Note: 



The clerk of court shall review filings identified as containing confidential
information to determine whether the information is facially subject to
confidentiality under subdivision (d)(1)(B). The clerk shall notify the filer in
writing within 5 days if the clerk determines that the information is NOT
subject to confidentiality, and the records shall not be held as confidential for
more than 10 days, unless a motion is filed pursuant to subdivision (d)(3) of
the Rule. Fla. R. Gen. Prac. & Jud. Admin. 2.420(d)(2).

COMMITTEE NOTES

1995 Amendment. This rule was adopted to conform to the 1992 addition
of article I, section 24, to the Florida Constitution. Amendments to this rule
were adopted in response to the 1994 recommendations of the Study
Committee on Confidentiality of Records of the Judicial Branch.

Subdivision (b) has been added by amendment and provides a definition of
judicial records that is consistent with the definition of court records
contained in rule 2.075(a)(1) [renumbered as 2.430(a)(1) in 2006] and the
definition of public records contained in chapter 119, Florida Statutes. The
word exhibits used in this definition of judicial records is intended to refer
only to documentary evidence and does not refer to tangible items of
evidence such as firearms, narcotics, etc. Judicial records within this
definition include all judicial records and data regardless of the form in which
they are kept. Reformatting of information may be necessary to protect
copyrighted material. Seigle v. Barry, 422 So. 2d 63 (Fla. 4th DCA 1982),
review denied, 431 So. 2d 988 (Fla. 1983).

The definition of judicial records also includes official business
information transmitted via an electronic mail (e-mail) system. The judicial
branch is presently experimenting with this new technology. For example, e-
mail is currently being used by the judicial branch to transmit between judges
and staff multiple matters in the courts including direct communications
between judges and staff and other judges, proposed drafts of opinions and
orders, memoranda concerning pending cases, proposed jury instructions, and
even votes on proposed opinions. All of this type of information is exempt
from public disclosure under rules 2.051(c)(1) and (c)(2) [renumbered as
2.420(c)(1) and (c)(2) in 2006]. With few exceptions, these examples of e-
mail transmissions are sent and received between judicial officials and



employees within a particular courts jurisdiction. This type of e-mail is by its
very nature almost always exempt from public record disclosure pursuant to
rule 2.051(c). In addition, official business e-mail transmissions sent to or
received by judicial officials or employees using dial-in equipment, as well as
the use of on-line outside research facilities such as Westlaw, would also be
exempt email under rule 2.051(c). On the other hand, we recognize that not
all e-mail sent and received within a particular courts jurisdiction will fall
into an exception under rule 2.051(c). The fact that a non-exempt e-mail
message made or received in connection with official court business is
transmitted intra-court does not relieve judicial officials or employees from
the obligation of properly having a record made of such messages so they
will be available to the public similar to any other written communications. It
appears that official business e-mail that is sent or received by persons
outside a particular courts jurisdiction is largely non-exempt and is subject to
recording in some form as a public record. Each court should develop a
means to properly make a record of non-exempt official business e-mail by
either electronically storing the mail or by making a hard copy. It is important
to note that, although official business communicated by e-mail transmissions
is a matter of public record under the rule, the exemptions provided in rule
2.051(c) exempt many of these judge/ staff transmissions from the public
record. E-mail may also include transmissions that are clearly not official
business and are, consequently, not required to be recorded as a public
record. Each court should also publish an e-mail address for public access.
The individual e-mail addresses of judicial officials and staff are exempt
under rule 2.051(c)(2) to protect the compelling interests of maintaining the
uninterrupted use of the computer for research, word-processing, preparation
of opinions, and communication during trials, and to ensure computer
security.

Subdivision (c)(3) was amended by creating subparts (a) and (b) to
distinguish between the provisions governing the confidentiality of
complaints against judges and complaints against other individuals or entities
licensed or regulated by the Supreme Court.

Subdivision (c)(5) was amended to make public the qualifications of
persons applying to serve or serving the court as unpaid volunteers such as
guardians ad litem, mediators, and arbitrators and to make public the
applications and evaluations of such persons upon a showing of materiality in



a pending court proceeding or upon a showing of good cause.
Subdivision (c)(9) has also been amended. Subdivision (c)(9) was adopted

to incorporate the holdings of judicial decisions establishing that
confidentiality may be required to protect the rights of defendants, litigants,
or third parties; to further the administration of justice; or to otherwise
promote a compelling governmental interest. Barron v. Florida Freedom
Newspapers, Inc., 531 So.2d 113 (Fla.1988); Miami Herald Publishing Co. v.
Lewis, 426 So.2d 1 (Fla.1982). Such confidentiality may be implemented by
court rule, as well as by judicial decision, where necessary for the effective
administration of justice. See, e.g., Fla.R.Crim.P. 3.470, (Sealed Verdict);
Fla.R.Crim.P. 3.712, (Presentence Investigation Reports); Fla.R.Civ.P.
1.280(c), (Protective Orders).

Subdivision (c)(9)(D) requires that, except where otherwise provided by
law or rule of court, reasonable notice shall be given to the public of any
order closing a court record. This subdivision is not applicable to court
proceedings. Unlike the closure of court proceedings, which has been held to
require notice and hearing prior to closure, see Miami Herald Publishing Co.
v. Lewis, 426 So. 2d 1 (Fla.1982), the closure of court records has not
required prior notice. Requiring prior notice of closure of a court record may
be impractical and burdensome in emergency circumstances or when closure
of a court record requiring confidentiality is requested during a judicial
proceeding. Providing reasonable notice to the public of the entry of a closure
order and an opportunity to be heard on the closure issue adequately protects
the competing interests of confidentiality and public access to judicial
records. See Florida Freedom Newspapers, Inc. v. Sirmons, 508 So.2d 462
(Fla. 1st DCA 1987), approved, Barron v. Florida Freedom Newspapers,
Inc., 531 So.2d 113 (Fla.1988); State ex rel. Tallahassee Democrat v.
Cooksey, 371 So.2d 207 (Fla. 1st DCA 1979). Subdivision (c)(9)(D),
however, does not preclude the giving of prior notice of closure of a court
record, and the court may elect to give prior notice in appropriate cases.

2007 Committee Commentary. Subdivision (d)(2) is intended to permit a
party to make use of any court-provided recording device or system that is
available generally for litigants use, but is not intended to require the court
system to make such devices available where they are not already in use and
is not intended to eliminate any cost for use of such system that is generally
borne by a party requesting use of such system.



COURT COMMENTARY

2002 Court Commentary. The custodian is required to provide access to
or copies of records but is not required either to provide information from
records or to create new records in response to a request. Op. Atty. Gen. Fla.
80-57 (1980); Wootton v. Cook, 590 So.2d 1039 (Fla. 1st DCA 1991); Seigle
v. Barry, 422 So.2d 63 (Fla. 4th DCA 1982).

The writing requirement is not intended to disadvantage any person who
may have difficulty writing a request; if any difficulty exists, the custodian
should aid the requestor in reducing the request to writing.

It is anticipated that each judicial branch entity will have policies and
procedures for responding to public records requests.

The 1995 commentary notes that the definition of judicial records added
at that time is consistent with the definition of court records contained in
rule 2.075(a)(1) [renumbered as 2.430(a)(1) in 2006] and the definition of
public records contained in chapter 119, Florida Statutes. Despite the
commentary, these definitions are not the same. The definitions added in
2002 are intended to clarify that records of the judicial branch include court
records as defined in rule 2.075(a)(1) and administrative records. The
definition of records of the judicial branch is consistent with the definition of
public records in chapter 119, Florida Statutes.

2005 Court Commentary. Under courts inherent authority, appellate
courts may appoint a special magistrate to serve as commissioner for the
court to make findings of fact and oversee discovery in review proceedings
under subdivision (d) of this rule. Cf. State ex rel. Davis v. City of Avon Park,
158 So. 159 (Fla. 1934) (recognizing appellate courts inherent authority to
do all things reasonably necessary for administration of justice within the
scope of courts jurisdiction, including the appointment of a commissioner to
make findings of fact); Wessells v. State, 737 So. 2d 1103 (Fla. 1st DCA
1998) (relinquishing jurisdiction to circuit court for appointment of a special
master to serve as commissioner for court to make findings of fact).

2007 Court Commentary. New subdivision (d) applies only to motions
that seek to make court records in noncriminal cases confidential in
accordance with subdivision (c)(9).



NOTICE OF CONFIDENTIAL INFORMATION WITHIN COURT
FILING

Pursuant to Florida Rule of General Practice and Judicial
Administration 2.420(d)(2), I hereby certify:

( ) (1) I am filing herewith a document containing confidential
information as described in Rule 2.420(d)(1)(B) and that:

(a) The title/type of document is: _____________________,
and:

(b) ( ) the entire document is confidential, or
(  ) the confidential information within the document is

precisely located at: ______________________________.
OR
( ) (2) A document was previously filed in this case that

contains confidential information as described in Rule 2.420(d)
(1)(B), but a Notice of Confidential Information within Court
Filing was not filed with the document and the confidential
information was not maintained as confidential by the clerk of
the court. I hereby notify the clerk that this confidential
information is located as follows:

(a) Title/type of document:



_____________________________;
(b) Date of filing (if known):

_____________________________;
(c) Date of document: _____________________________;
(d) Docket entry number:

_____________________________;
(e) ( ) Entire document is confidential, or
  ( ) Precise location of confidential information in document:

_____________________________
_____________________________.

CERTIFICATE OF SERVICE
I HEREBY CERTIFY that a copy of the foregoing was

furnished by (e-mail) (delivery) (mail) (fax) on: (All Parties and
Affected Non-Parties. Note: If the name or address of a Party or
Affected Non-Party is confidential DO NOT include such
information in this Certificate of Service. Instead, serve the State
Attorney or request Court Service. See Rule 2.420(k))
________________________, on _____________________, 20
____.



 Pt. IV. ,  Rule 2.423. 
Fla. R. Gen. Prac. & Jud. Admin. 2.423

RULE 2.423. MARSYS LAW CRIME VICTIM INFORMATION
WITHIN COURT FILING.

(a) Scope and Purpose. As provided by article I, section 16 of the Florida
Constitution, known as Marsys Law, the following rule shall govern
public access to and the protection of the records of the judicial branch of
government in criminal and juvenile justice cases as it pertains to confidential
crime victim information. This rule shall be interpreted to be consistent with
the scope and purpose of rule 2.420.

(b) Definitions.
(1) Confidential crime victim information means any information

contained within a court record that could be used to locate or harass the
victim or the victims family, or which could disclose confidential or
privileged information of the victim.

(2) Crime and criminal include delinquent acts and conduct.
(3) A victim is a person who suffers direct or threatened physical,

psychological, or financial harm as a result of the commission or attempted
commission of a crime or delinquent act or against whom the crime or
delinquent act is committed. The term victim includes the victims
lawful representative, the parent or guardian of a minor victim, or the next
of kin of a homicide victim, except upon a showing that the interest of such
individual would be in actual or potential conflict with the interests of the
victim. The term victim does not include the accused.
(c) Confidential and Exempt Records. In accordance with rule 2.420(c)

(9), confidential crime victim information is determined to be confidential on
the grounds that confidentiality is required to comply with the Florida
Constitution.

(d) Procedure for Identifying Confidential Crime Victim Information
in Criminal and Juvenile Court Records.

(1) The filer of an initial charging document shall prominently indicate
the existence of confidential crime victim information pursuant to article I,
section 16 of the Florida Constitution. If the filer indicates the existence of



confidential crime victim information, the clerk of the court shall designate
and maintain the confidentiality of any such information contained within
the initial charging document.

(2) Except as provided under subdivision (d)(1), the filer of any
document with the court under subdivision (d) shall ascertain whether it
contains any confidential crime victim information. If the filer believes in
good faith that information is confidential, the filer shall request that the
information be maintained as confidential by contemporaneously filing a
Notice of Confidential Crime Victim Information within Court Filing.

(3) A crime victim, the filer, a party, or any affected nonparty may file a
Notice of Confidential Crime Victim Information within Court Filing at
any time.

(4) Filers of subsequent court filings shall limit the presence of crime
victim identifying information in accordance with rule 2.425(a)(3) or file a
Notice of Crime Victim Information within Court Filing with each
subsequent court filing that contains confidential crime victim information.

(5) A Notice of Confidential Crime Victim Information within Court
Filing:

(A) Shall identify the precise location of the confidential information
within the document being filed.

(B) Shall be confidential to the extent it contains crime victim
information pursuant to article I, section 16.

(C) Shall not be required when an entire case file is maintained as
confidential.

(D) A form shall accompany this rule.
(6) If a Notice of Crime Victim Information within Court Filing is filed,

the clerk of court shall review the filing identified as containing
confidential crime victim information to determine whether the purported
confidential information is facially subject to confidentiality under article I,
section 16(b)(5) of the Florida Constitution.

(A) The clerk of the court shall designate and maintain the
confidentiality of any such information contained within a court record.



(B) If the clerk determines that the information is not confidential, the
clerk shall notify the filer in writing within 5 days of filing the notice
and thereafter shall maintain the information as confidential for 10 days
from the date such notification by the clerk is served. The information
shall not be held as confidential for more than that 10-day period, unless
a motion has been filed pursuant to rule 2.420(d)(3).



 Pt. IV. ,  Appx A. 
Florida Rules of General Practice & Judicial Admin, Pt. IV, Appx. to R. 2.423

APPENDIX A. Notice Of Confidential Crime Victim Information Within
Court Filing

Pursuant to Florida Rule of General Practice and Judicial Administration
2.423, I hereby certify:

(  ) (1) I am filing a document containing confidential crime victim
information as described in rule 2.423(b)(1) and that:

(a) The title/type of the document is _________________, and;
(b) (  ) the entire document is confidential, or
(  ) the confidential information within the document is precisely located

at: ________________________________.
(  ) (2) A document was previously filed in this case that contains

confidential crime victim information as described in rule 2.423(b)(1), but a
Notice of Confidential Crime Victim Information within Court Filing was not
filed with the document and the confidential information was not maintained
as confidential by the clerk of the court. I hereby notify the clerk that this
information is located as follows:

(a) Title/type of document: ___________________________;
(b) Date of filing (if known): __________________________;
(c) Date of document: ________________________________;
(d) Docket entry number: ____________________________; and either:
(  ) Entire document is confidential, or
(  ) The precise location of the confidential crime victim information is:

___________________________________________________.
    ______________________________.
     Filers Signature

CERTIFICATE OF SERVICE
I certify that the foregoing document has been furnished to



(here insert names or names, addresses used for service, and
mailing addresses) by (portal) (e-mail) (delivery) (mail) on .
(date). [See Note 1].

Name: ______________________________
Address: ______________________________

Phone: ______________________________
Florida Bar No. (if applicable): ______________________________

E-mail address: ______________________________
Note 1: If the name or address of a Party or Affected Nonparty is

confidential DO NOT include such information in the Certificate of Service.
Instead, serve the State Attorney or request Court Service as described under
rule 2.420(k).

Note 2: The clerk of the court shall review filings identified as containing
confidential crime victim information to determine whether the information is
facially subject to confidentiality under rule 2.423(d)(6). As provided under
rule 2.423(d)(6)(B), the clerk shall notify the filer in writing within 5 days if
the clerk determines that the information is not subject to confidentiality, and
the records shall not be held as confidential for more than 10 days, unless a
motion is filed pursuant to rule 2.420(d)(3).



 Pt. IV. ,  Rule 2.425. 
Fla. R. Gen. Prac. & Jud. Admin. 2.425

RULE 2.425. MINIMIZATION OF THE FILING OF SENSITIVE
INFORMATION.

(a) Limitation for Court Filings. Unless authorized by subdivision (b),
statute, another rule of court, or the court orders otherwise, designated
sensitive information filed with the court must be limited to the following
format:

(1) The initials of a person known to be a minor;
(2) The year of birth of a persons birth date;
(3) No portion of any

(A) social security number,
(B) bank account number,
(C) credit card account number,
(D) charge account number, or
(E) debit account number;

(4) The last four digits of any
(A) taxpayer identification number (TIN),
(B) employee identification number,
(C) drivers license number,
(D) passport number,
(E) telephone number,
(F) financial account number, except as set forth in subdivision (a)(3),
(G) brokerage account number,
(H) insurance policy account number,
(I) loan account number,
(J) customer account number, or



(K) patient or health care number;
(5) A truncated version of any

(A) email address,
(B) computer user name,
(C) password, or
(D) personal identification number (PIN); and

(6) A truncated version of any other sensitive information as provided
by court order.
(b) Exceptions. Subdivision (a) does not apply to the following:

(1) An account number which identifies the property alleged to be the
subject of a proceeding;

(2) The record of an administrative or agency proceeding;
(3) The record in appellate or review proceedings;
(4) The birth date of a minor whenever the birth date is necessary for the

court to establish or maintain subject matter jurisdiction;
(5) The name of a minor in any order relating to parental responsibility,

time-sharing, or child support;
(6) The name of a minor in any document or order affecting the minors

ownership of real property;
(7) The birth date of a party in a writ of attachment or notice to payor;
(8) In traffic and criminal proceedings

(A) a pro se filing;
(B) a court filing that is related to a criminal matter or investigation

and that is prepared before the filing of a criminal charge or is not filed
as part of any docketed criminal case;

(C) an arrest or search warrant or any information in support thereof;
(D) a charging document and an affidavit or other documents filed in

support of any charging document, including any driving records;



(E) a statement of particulars;
(F) discovery material introduced into evidence or otherwise filed

with the court;
(G) all information necessary for the proper issuance and execution of

a subpoena duces tecum;
(H) information needed to contact witnesses who will support the

defendants claim of newly discovered evidence under Florida Rule of
Criminal Procedure 3.851; and

(I) information needed to complete a sentencing scoresheet;
(9) Information used by the clerk for case maintenance purposes or the

courts for case management purposes; and
(10) Information which is relevant and material to an issue before the

court.
(c) Remedies. Upon motion by a party or interested person or sua sponte

by the court, the court may order remedies, sanctions or both for a violation
of subdivision (a). Following notice and an opportunity to respond, the court
may impose sanctions if such filing was not made in good faith.

(d) Motions Not Restricted. This rule does not restrict a partys right to
move for protective order, to move to file documents under seal, or to request
a determination of the confidentiality of records.

(e) Application. This rule does not affect the application of constitutional
provisions, statutes, or rules of court regarding confidential information or
access to public information.



 Pt. IV. ,  Rule 2.430. 
Fla. R. Gen. Prac. & Jud. Admin. 2.430

RULE 2.430. RETENTION OF COURT RECORDS.
(a) Definitions. The following definitions apply to this rule:

(1) Court records mean the contents of the court file, including the
progress docket and other similar records generated to document activity in
a case, transcripts filed with the clerk, documentary exhibits in the custody
of the clerk, and electronic records, video tapes, or stenographic tapes of
depositions or other proceedings filed with the clerk, and electronic
records, videotapes or stenographic tapes of court proceedings.

(2) After a judgment has become final means:
(A) when a final order, final judgment, final docket entry, final

dismissal, or nolle prosequi has been entered as to all parties, no appeal
has been taken, and the time for appeal has expired; or

(B) when a final order, final judgment, or final docket entry has been
entered, an appeal has been taken, the appeal has been disposed of, and
the time for any further appellate proceedings has expired.
(3) Permanently recorded means that a document has been

microfilmed, optically imaged, or recorded onto an electronic record
keeping system in accordance with standards adopted by the Supreme
Court of Florida.
(b) Permanently Recorded Records.

(1) Court records, except exhibits, that have been permanently recorded
may be destroyed or otherwise disposed of by the clerk at any time after a
judgment has become final.

(2) Any physical media submitted to the clerk for the purpose of filing
information contained in the media may be destroyed, retained, or
otherwise disposed of by the clerk once the contents of the media have
been made a part of the court record.
(c) Records Not Permanently Recorded. No court records under this

subdivision shall be destroyed or disposed of until the final order, final
docket entry, or final judgment is permanently recorded for, or recorded in,



the public records. The time periods shall not apply to any action in which the
court orders the court records to be kept until the court orders otherwise.
When an order is entered to that effect, the progress docket and the court file
shall be marked by the clerk with a legend showing that the court records are
not to be destroyed or disposed of without a further order of court. Any
person may apply for an order suspending or prohibiting destruction or
disposition of court records in any proceeding. Court records, except exhibits,
that are not permanently recorded may be destroyed or disposed of by the
clerk after a judgment has become final in accordance with the following
schedule:

(1) For trial courts
(A) 60 days  Parking tickets and noncriminal traffic infractions

after required audits have been completed.
(B) 2 years  Proceedings under the Small Claims Rules, Medical

Mediation Proceedings.
(C) 5 years  Noncriminal ordinance violations, civil litigation

proceedings in county court other than those under the Small Claims
Rules, and civil proceedings in circuit court except marriage dissolutions
and adoptions.

(D) 10 years  Probate, guardianship, and mental health proceedings.
(E) 10 years  Felony and misdemeanor cases in which no

information or indictment was filed or in which all charges were
dismissed, or in which the state announced a nolle prosequi, or in which
the defendant was adjudicated not guilty.

(F) 75 years  Juvenile proceedings containing an order permanently
depriving a parent of custody of a child, and adoptions, and all felony
and misdemeanor cases not previously destroyed.

(G) Juvenile proceedings not otherwise provided for in this
subdivision shall be kept for 5 years after the last entry or until the child
reaches the age of majority, whichever is later.

(H) Marriage dissolutions  10 years from the last record activity.
The court may authorize destruction of court records not involving
alimony, support, or custody of children 5 years from the last record



activity.
(2) For district courts of appeal

(A) 2 years  noncriminal court records.
(B) 5 years  Criminal court records.

(3) For the Supreme Court
(A) 5 years  All cases disposed of by order not otherwise provided

for in this rule.
(B) 10 years  Cases disposed of by order involving individuals

licensed or regulated by the court and noncriminal court records
involving the unauthorized practice of law.

(d) Records to Be Retained Permanently. The following court records
shall be permanently recorded or permanently retained:

(1) progress dockets, and other similar records generated to document
activity in a case, and

(2) court records of the supreme court in which the case was disposed of
by opinion.
(e) Court Reporters Notes. Court reporters or persons acting as court

reporters for judicial or discovery proceedings shall retain the original notes
or electronic records of the proceedings or depositions until the times
specified below:

(1) 2 years from the date of preparing the transcript  Judicial
proceedings, arbitration hearings, and discovery proceedings when an
original transcript has been prepared.

(2) 10 years  Judicial proceedings in felony cases when a transcript
has not been prepared.

(3) 5 years  All other judicial proceedings, arbitration hearings, and
discovery proceedings when a transcript has not been prepared.
When an agreement has been made between the reporter and any other
person and the person has paid the reasonable charges for storage and
retention of the notes, the notes or records shall be kept for any longer time
agreed on. All reporters notes shall be retained in a secure place in



Florida.
(f) Exhibits.

(1) Exhibits in criminal proceedings shall be disposed of as provided by
law.

(2) All other exhibits shall be retained by the clerk until 90 days after a
judgment has become final. If an exhibit is not withdrawn pursuant to
subdivision (i) within 90 days, the clerk may destroy or dispose of the
exhibits after giving the parties or their attorneys of record 30 days notice
of the clerks intention to do so. Exhibits shall be delivered to any party or
attorney of record calling for them during the 30-day time period.
(g) Disposition Other Than Destruction. Before destruction or

disposition of court records under this rule, any person may apply to the court
for an order requiring the clerk to deliver to the applicant the court records
that are to be destroyed or disposed of. All parties shall be given notice of the
application. The court shall dispose of that court record as appropriate.

(h) Release of Court Records. This rule does not limit the power of the
court to release exhibits or other parts of court records that are the property of
the person or party initially placing the items in the court records. The court
may require copies to be substituted as a condition to releasing the court
records under this subdivision.

(i) Right to Expunge Records. Nothing in this rule shall affect the power
of the court to order records expunged.

(j) Sealed Records. No record which has been sealed from public
examination by order of court shall be destroyed without hearing after such
notice as the court shall require.

(k) Destruction of Jury Notes. At the conclusion of the trial and promptly
following discharge of the jury, the court shall collect all juror notes and
immediately destroy the juror notes.



 Pt. IV. ,  Rule 2.440. 
Fla. R. Gen. Prac. & Jud. Admin. 2.440

RULE 2.440. RETENTION OF JUDICIAL BRANCH
ADMINISTRATIVE RECORDS.

(a) Definitions.
(1) Judicial branch means the judicial branch of government, which

includes the state courts system, the clerk of court when acting as an arm
of the court, The Florida Bar, the Florida Board of Bar Examiners, the
Judicial Qualifications Commission, and all other entities established by or
operating under the authority of the supreme court or the chief justice.

(2) Records of the judicial branch means all records, regardless of
physical form, characteristics, or means of transmission, made or received
in connection with the transaction of official business by any judicial
branch entity and consists of:

(A) court records, which means the contents of the court file,
including the progress docket and other similar records generated to
document activity in a case, transcripts filed with the clerk, documentary
exhibits in the custody of the clerk, and electronic records, videotapes,
or stenographic tapes of depositions or other proceedings filed with the
clerk, and electronic records, videotapes, or stenographic tapes of court
proceedings; and

(B) administrative records, which means all other records made or
received pursuant to court rule, law, or ordinance, or in connection with
the transaction of official business by any judicial branch entity.

(b) Retention requirements. Administrative records in the judicial branch
shall be retained in accordance with the Judicial Branch Records Retention
Schedule approved by the supreme court.

COURT COMMENTARY

2002 Commentary. This rule does not apply to court records and files that
are governed by rule 2.075 [renumbered as 2.430 in 2006]. This rule applies
to administrative records.



To provide a consistent schedule for retention of administrative records in
the judicial branch, the Supreme Court Workgroup on Public Records
recommended that the Court adopt the Judicial Branch Records Retention
Schedule. This schedule uses the legislatively authorized Department of State
retention schedules, as appropriate, and includes a schedule for other records
that are unique to the judicial branch. [This schedule is set forth at the end of
these rules.]



 Pt. IV. ,  Rule 2.450. 
Fla. R. Gen. Prac. & Jud. Admin. 2.450

RULE 2.450. TECHNOLOGICAL COVERAGE OF JUDICIAL
PROCEEDINGS.

(a) Electronic and Still Photography Allowed.
Subject at all times to the authority of the presiding judge to: (i) control the

conduct of proceedings before the court; (ii) ensure decorum and prevent
distractions; and (iii) ensure the fair administration of justice in the pending
cause, electronic media and still photography coverage of public judicial
proceedings in the appellate and trial courts of this state shall be allowed in
accordance with the following standards of conduct and technology
promulgated by the Supreme Court of Florida.

(b) Equipment and Personnel.
(1) At least 1 portable television camera, operated by not more than 1

camera person, shall be permitted in any trial or appellate court
proceeding. The number of permitted cameras shall be within the sound
discretion and authority of the presiding judge.

(2) Not more than 1 still photographer, using not more than 2 still
cameras, shall be permitted in any proceeding in a trial or appellate court.

(3) Not more than 1 audio system for radio broadcast purposes shall be
permitted in any proceeding in a trial or appellate court. Audio pickup for
all media purposes shall be accomplished from existing audio systems
present in the court facility. If no technically suitable audio system exists
in the court facility, microphones and related wiring essential for media
purposes shall be unobtrusive and shall be located in places designated in
advance of any proceeding by the chief judge of the judicial circuit or
district in which the court facility is located.

(4) Any pooling arrangements among the media required by these
limitations on equipment and personnel shall be the sole responsibility of
the media without calling upon the presiding judge to mediate any dispute
as to the appropriate media representative or equipment authorized to cover
a particular proceeding. In the absence of advance media agreement on
disputed equipment or personnel issues, the presiding judge shall exclude



all contesting media personnel from a proceeding.
(c) Sound and Light Criteria.

(1) Only television photographic and audio equipment that does not
produce distracting sound or light shall be used to cover judicial
proceedings. No artificial lighting device of any kind shall be used in
connection with the television camera.

(2) Only still camera equipment that does not produce distracting sound
or light shall be used to cover judicial proceedings. No artificial lighting
device of any kind shall be used in connection with a still camera.

(3) It shall be the affirmative duty of media personnel to demonstrate to
the presiding judge adequately in advance of any proceeding that the
equipment sought to be used meets the sound and light criteria enunciated
in this rule. A failure to obtain advance judicial approval for equipment
shall preclude its use in any proceeding.
(d) Location of Equipment Personnel.

(1) Television camera equipment shall be positioned in such location in
the court facility as shall be designated by the chief judge of the judicial
circuit or district in which such facility is situated. The area designated
shall provide reasonable access to coverage. If and when areas remote from
the court facility that permit reasonable access to coverage are provided, all
television camera and audio equipment shall be positioned only in such
area. Videotape recording equipment that is not a component part of a
television camera shall be located in an area remove from the court facility.

(2) A still camera photographer shall position himself or herself in such
location in the court facility as shall be designated by the chief judge of the
judicial circuit or district in which such facility is situated. The area
designated shall provide reasonable access to coverage. Still camera
photographers shall assume a fixed position within the designated area and,
once established in a shooting position, shall act so as not to call attention
to themselves through further movement. Still camera photographers shall
not be permitted to move about in order to obtain photographs of court
proceedings.

(3) Broadcast media representatives shall not move about the court
facility while proceedings are in session, and microphones or taping



equipment once positioned as required by subdivision (b)(3) shall not be
moved during the pendency of the proceeding.
(e) Movement During Proceedings. News media photographic or audio

equipment shall not be placed in or removed from the court facility except
before commencement or after adjournment of proceedings each day, or
during a recess. Neither television film magazines nor still camera film or
lenses shall be changed within a court facility except during a recess in the
proceeding.

(f) Courtroom Light Sources. With the concurrence of the chief judge of
a judicial circuit or district in which a court facility is situated, modifications
and additions may be made in light sources existing in the facility, provided
such modifications or additions are installed and maintained without public
expense.

(g) Conferences of Counsel. To protect the attorney-client privilege and
the effective right to counsel, there shall be no audio pickup or broadcast of
conferences that occur in a court facility between attorneys and their clients,
between co-counsel of a client, or between counsel and the presiding judge
held at the bench.

(h) Impermissible Use of Media Material. None of the film, videotape,
still photographs, or audio reproductions developed during or by virtue of
coverage of a judicial proceeding shall be admissible as evidence in the
proceeding out of which it arose, in any proceeding subsequent or collateral
thereto, or upon retrial or appeal of such proceedings.

(i) Appellate Review. Review of an order excluding the electronic media
from access to any proceeding, excluding coverage of a particular participant,
or upon any other matters arising under these standards shall be pursuant to
Florida Rule of Appellate Procedure 9.100(d).

COURT COMMENTARY

1994 Amendment. This rule was copied from Canon 3A(7) of the Code of
Judicial Conduct. Canon 3A(7) represented a departure from former Canon
3A(7) [ABA Canon 35]. The former canon generally proscribed electronic
media and still photography coverage of judicial proceedings from within and
in areas immediately adjacent to the courtroom, with three categories of



exceptions - (a) use for judicial administration, (b) coverage of investitive,
ceremonial, and naturalization proceedings, and (c) use for instructional
purposes in educational institutions. Subject to the limitations and
promulgation of standards as mentioned therein, the revised canon
constituted a general authorization for electronic media and still photography
coverage for all purposes, including the purposes expressed as exceptions in
the former canon. Limited only by the authority of the presiding judge in the
exercise of sound discretion to prohibit filming or photographing of particular
participants, consent of participants to coverage is not required. The text of
the rule refers to public judicial proceedings. This is in recognition of the
authority reposing in the presiding judge, upon the exercise of sound
discretion, to hold certain judicial proceedings or portions thereof in camera,
and in recognition of the fact that certain proceedings or portions thereof are
made confidential by statute. The term presiding judge includes the chief
judge of an appellate tribunal.



 Pt. IV. ,  Rule 2.451. 
Fla. R. Gen. Prac. & Jud. Admin. 2.451

RULE 2.451. USE OF ELECTRONIC DEVICES.
(a) Electronic Devices Defined. An electronic device is any device

capable of making or transmitting still or moving photographs, video
recordings, or images of any kind; any device capable of creating,
transmitting, or receiving text or data; and any device capable of receiving,
transmitting, or recording sound. Electronic devices include, without
limitation, film cameras, digital cameras, video cameras, any other type of
camera, cellular telephones, tape recorders, digital voice recorders, any other
type of audio recorders, laptop computers, personal digital assistants, or other
similar technological devices with the ability to make or transmit video
recordings, audio recordings, images, text, or data.

(b) Use of Electronic Devices by Jurors During Proceedings Conducted
In Person. If jurors participate in a court proceeding in person, the following
provisions govern:

(1) Electronic devices may be removed as directed by the presiding
judge from all members of a jury panel at any time before deliberations,
but such electronic devices must be removed from all members of a jury
panel before jury deliberations begin. The electronic devices will be
removed and appropriately secured by the bailiff or other person
designated by the chief judge.

(2) Any electronic devices removed from members of a jury panel may
be returned to the members of the jury panel during recesses in the trial.
When jurors are sequestered, the presiding judge may determine whether
the electronic devices will be removed from jurors during any portion of
sequestration.

(3) From the time a person reports for jury service until the person is
discharged from jury service, that person is prohibited from using
electronic devices for any of the following purposes:

(A) making or transmitting still or moving photographs, audio
recordings, video recordings, or images of any kind of the court
proceedings;



(B) transmitting or accessing text or data during the court
proceedings;

(C) transmitting or accessing text or data about the case on which the
juror is serving;

(D) researching, transmitting, or accessing information about the case
on which the juror is serving;

(E) otherwise communicating about the case on which the juror is
serving; or

(F) otherwise communicating about the jury deliberations.
(4) Nothing in this rule is to be construed to limit or impair the authority

of a chief judge or presiding judge to grant permission to a juror to retain
his or her electronic device during trial proceedings.

(5) The jury summons mailed to prospective jurors should contain a
notice that electronic devices will be removed from all members of a jury
panel before jury deliberations begin and as directed by the presiding
judge, may be removed at other stages of a trial. At the beginning of the
trial, the presiding judge should advise the jury panel about the removal of
electronic devices.
(c) Use of Electronic Devices by Jurors During Proceedings Conducted

by Audio-Video Communication Technology. When prospective jurors
participate in voir dire or empaneled jurors participate in a trial through
audio-video communication technology as described in rule 2.530(c) and
authorized by another rule of procedure, the following provisions govern:

(1) Presiding judges should ensure that the prospective and empaneled
jurors have the technical ability and means necessary to connect to and
participate in the court proceeding.

(2) Prospective and empaneled jurors may not use an electronic device
during a court proceeding, except for the sole purpose of participating in
the court proceeding, unless otherwise authorized by the presiding judge.
When empaneled jurors are sequestered, the presiding judge may
determine whether any electronic devices may be used by those jurors
during any portion of sequestration.

(3) Prospective and empaneled jurors are subject to the prohibitions



specified in subdivision (b)(3).
(4) Nothing in this rule is to be construed to limit or impair the authority

of a chief judge or presiding judge to grant permission to a prospective or
an empaneled juror to use his or her electronic device during a court
proceeding.

(5) The jury summons mailed to prospective jurors who may participate
in voir dire or trial through audio-video communication technology should
contain a notice indicating that electronic devices may not be used during
those court proceedings except for the sole purpose of participating in the
court proceeding, unless otherwise authorized by the presiding judge. The
summons should also indicate that the use of electronic devices may be
prohibited by a presiding judge during a period of sequestration. At the
beginning of voir dire and trial, the presiding judge should advise the
prospective and empaneled jurors about the prohibition against using
electronic devices during the court proceeding for any purpose other than
participating in the court proceeding.
(d) Use of Electronic Devices by Others.

(1) The use of electronic devices in a courtroom is subject at all times to
the authority of the presiding judge or quasi-judicial officer to

(A) control the conduct of proceedings before the court;
(B) ensure decorum and prevent distractions; and
(C) ensure the fair administration of justice in the pending cause.

(2) The use of electronic devices in a courthouse or court facility is
subject at all times to the authority of the chief judge to

(A) ensure decorum and prevent distractions;
(B) ensure the fair administration of justice; and
(C) preserve court security.

COURT COMMENTARY

2013 Adoption. Subdivision (c), Use of Electronic Devices by Others,
parallels Florida Rule of Judicial Administration 2.450(a) regarding the use
of electronic devices by the media.



 Pt. V. 
Florida Rules of General Practice & Judicial Admin, Pt. V



PART V. PRACTICE OF LAW
 Pt. A. 

Florida Rules of General Practice & Judicial Admin, Pt. V, Pt. A



PART A. ATTORNEYS
 Pt. A. ,  Rule 2.505. 

Fla. R. Gen. Prac. & Jud. Admin. 2.505

RULE 2.505. ATTORNEYS.
(a) Scope and Purpose. All persons in good standing as members of The

Florida Bar shall be permitted to practice in Florida. Attorneys of other states
who are not members of the Florida Bar in good standing shall not engage in
the practice of law in Florida except to the extent permitted by rule 2.510.

(b) Persons Employed by the Court. Except as provided in this
subdivision, no full-time employee of the court shall practice as an attorney
in any court or before any agency of government while continuing in that
position. Any attorney designated by the chief justice or chief judge may
represent the court, any court employee in the employees official capacity,
or any judge in the judges official capacity, in any proceeding in which the
court, employee, or judge is an interested party. An attorney formerly
employed by a court shall not represent anyone in connection with a matter in
which the attorney participated personally and substantially while employed
by the court, unless all parties to the proceeding consent after disclosure.

(c) Attorney Not to Be Surety. No attorneys or other officers of court
shall enter themselves or be taken as bail or surety in any proceeding in court.

(d) Stipulations. No private agreement or consent between parties or their
attorneys concerning the practice or procedure in an action shall be of any
force unless the evidence of it is in writing, subscribed by the party or the
partys attorney against whom it is alleged. Parol agreements may be made
before the court if promptly made a part of the record or incorporated in the
stenographic notes of the proceedings, and agreements made at depositions
that are incorporated in the transcript need not be signed when signing of the
deposition is waived. This rule shall not apply to settlements or other
substantive agreements.

(e) Appearance of Attorney. An attorney may appear for a party in an
action or proceeding in any of the following ways:

(1) First Pleading or Document. Signing the first pleading or other



document filed on behalf of a party.
(2) Notice of Appearance. Filing a notice of appearance on behalf of a

party.
(3) Order on Substitution of Counsel. Filing of a written order by the

court, that reflects written consent of the client. The court may condition
substitution of counsel upon payment of or grant of security for the
substituted attorneys fees and expenses or upon such other terms as may
be just.

(4) Notice of Substitution of Counsel. Filing a notice of substitution of
counsel when the substituting attorney is from the same law firm,
company, or governmental agency as the replaced attorney.

(5) Notice of Limited Appearance. Filing a notice of limited
appearance as permitted by another rule of court.

(6) Appearance as Stand-In Counsel. Appearing as stand-in counsel
pursuant to subdivision (g).
(f) Termination of Appearance of Attorney. An appearance of an

attorney for a party in an action or proceeding shall terminate only upon:
(1) Withdrawal of Attorney. A written order of the court after hearing

upon a motion setting forth reasons for withdrawal and the clients last
known address, telephone number, and e-mail address.

(2) Substitution of Attorney. Substitution of counsel pursuant to
subdivision (e)(3) or (e)(4).

(3) Termination of Proceeding. Termination of an action or proceeding
and expiration of any applicable time for appeal when no appeal is taken,
without any further action of the court unless otherwise required by
another rule of court.

(4) Termination of Post-Judgment Appearance.
(A) In non-criminal matters in which an attorney has appeared after

entry of judgment, filing of a notice of termination of appearance.
(B) In matters governed by the rules of criminal or juvenile procedure

in which an attorney has appeared after entry of a judgment, entry of a
written order of the court after hearing upon a motion setting forth the



reasons for withdrawal.
(5) Termination of Limited Appearance. Filing a notice of termination

of limited appearance in an action or proceeding in which an attorney has
filed a notice of limited appearance pursuant to subdivision (e)(5).

(6) Termination of Hearing. Conclusion of a hearing or proceeding in
which an attorney has appeared as stand-in counsel pursuant to subdivision
(g).
(g) Stand-In Counsel. An attorney may stand in for another attorney to

cover a proceeding or hearing only if a notice of stand-in counsel is filed or
the appearance of stand-in counsel is reflected on a record maintained by the
court or by the clerk of court. A stand-in attorney from the same law firm,
company, or governmental agency as an attorney of record is not required to
file a notice of stand-in counsel.

(h) Attorney as Agent of Client. An attorney appearing in an action or
proceeding pursuant to subdivisions (e)(1)-(e)(6) is the agent authorized to
bind the client for purposes of the action, hearing, or proceeding.

(i) Attorney of Record. An attorney appearing in an action or proceeding
pursuant to subdivisions (e)(1)-(e)(5) is an attorney of record for the party for
the matters specified.

(j) Law Student and Certified Legal Intern Participation. Eligible law
students shall be permitted to participate as provided under the conditions of
chapter 11 of the Rules Regulating The Florida Bar as amended from time to
time.

COURT COMMENTARY

1997 Amendment. Originally, the rule provided that the followup filing
had to occur within ten days. In the 1997 amendment to the rule, that
requirement was modified to provide that the follow-up filing must occur
immediately after a document is electronically filed. The immediately
thereafter language is consistent with language used in the rules of
procedure where, in a somewhat analogous situation, the filing of a document
may occur after service. See, e.g., Florida Rule of Civil Procedure 1.080(d)
(All original papers shall be filed with the court either before service or
immediately thereafter.) (emphasis added). Immediately thereafter has



been interpreted to mean filed with reasonable promptness. Miami Transit
Co. v. Ford, 155 So. 2d 360 (Fla. 1963).

The use of the words other person in this rule is not meant to allow a
nonlawyer to sign and file pleadings or other papers on behalf of another.
Such conduct would constitute the unauthorized practice of law.

2003 Amendment. Rule Regulating the Florida Bar 4-1.12(c), which
addresses the imputed disqualification of a law firm, should be looked to in
conjunction with the rule 2.060(b) [renumbered as 2.505(b) in 2006]
restriction on representation by a former judicial staff attorney or law clerk.



 Pt. A. ,  Rule 2.510. 
Fla. R. Gen. Prac. & Jud. Admin. 2.510

RULE 2.510. FOREIGN ATTORNEYS.
(a) Eligibility. Upon filing a verified motion with the court, an attorney

who is an active member in good standing of the bar of another state and
currently eligible to practice law in a state other than Florida may be
permitted to appear in particular cases in a Florida court upon such conditions
as the court may deem appropriate, provided that a member of The Florida
Bar in good standing is associated as an attorney of record. The foreign
attorney must make application in each court in which a case is filed even if a
lower tribunal granted a motion to appear in the same case. In determining
whether to permit a foreign attorney to appear pursuant to this rule, the court
may consider, among other things, information provided under subdivision
(b)(3) concerning discipline in other jurisdictions. No attorney is authorized
to appear pursuant to this rule if the attorney (1) is a Florida resident, unless
the attorney has an application pending for admission to The Florida Bar and
has not previously been denied admission to The Florida Bar; (2) is a member
of The Florida Bar but is ineligible to practice law; (3) has previously been
disciplined or held in contempt by reason of misconduct committed while
engaged in representation permitted pursuant to this rule provided, however,
the contempt is final and has not been reversed or abated; (4) has failed to
provide notice to The Florida Bar or pay the fees described in the Rules
Regulating The Florida Bar concerning non-Florida lawyers appearances in
a Florida court; or (5) is engaged in a general practice before Florida
courts. For purposes of this rule, more than 3 appearances within a 365-day
period in separate cases shall be presumed to be a general practice.
Appearances at different levels of the court system in the same case shall be
deemed 1 appearance for the purposes of determining whether a foreign
attorney has made more than 3 appearances within a 365-day period. In cases
involving indigent or pro bono clients, the court may waive the fees for good
cause shown. This rule shall not affect the eligibility of a foreign attorney to
appear in a Florida court when authorized by federal law.

(b) Contents of Verified Motion. A form verified motion accompanies
this rule and must be utilized by the foreign attorney. Within 10 days of
discovering any information which is different than the representations made



in the verified motion, the foreign attorney must supplement the motion with
the new information. The supplemental information must be filed with the
court and The Florida Bar. The obligation to supplement the motion exists
until the motion is denied or the foreign attorney is no longer counsel in the
case. The verified motion required by subdivision (a) must include:

(1) a statement identifying all jurisdictions in which the attorney is an
active member in good standing and currently eligible to practice law,
including all assigned bar numbers and attorney numbers, for which a
certificate of good standing is not required;

(2) a statement identifying by date, case name, and case number all other
matters in Florida state courts in which pro hac vice admission has been
sought in the preceding 5 years, including any lower tribunals for the case
in which the motion is filed, and whether such admission was granted or
denied;

(3) a statement identifying all jurisdictions in which a judicial officer or
the entity responsible for attorney regulation:

(A) initiated disciplinary, suspension, disbarment, or contempt
proceedings against the attorney in the preceding 5 years including the
date on which the proceeding was initiated, the nature of the alleged
violation, and the result of the proceeding including any sanction, or

(B) disciplined, suspended, disbarred, or held in contempt the attorney
in the preceding 5 years including the date on which the sanction was
entered and the nature of the violation;
(4) a statement identifying the date on which the legal representation at

issue commenced, and the party or parties represented;
(5) a statement that all applicable provisions of these rules and the rules

regulating the Florida bar have been read, and that the verified motion
complies with those rules;

(6) the name, record bar address, and membership status of the Florida
bar member or members associated for purposes of the representation;

(7) a certificate indicating service of the verified motion upon The
Florida Bar and all counsel of record in the matter in which leave to appear
pro hac vice is sought and payment of the fees described in the Rules



Regulating The Florida Bar concerning non-Florida lawyer appearances in
a Florida court or notice that the movant has requested a judicial waiver of
said fees; and

(8) a verification by the attorney seeking to appear pursuant to this rule
and the signature of the Florida bar member or members associated for
purposes of the representation.

IN THE __________________ COURT OF THE __________________
JUDICIAL CIRCUIT, __________________ IN AND FOR

_____________________, COUNTY, FLORIDA
______________________
Plaintiff
Case No. _____________________________
vs.
Division _____________________________
______________________
Defendant

VERIFIED MOTION FOR ADMISSION TO APPEAR PRO HAC VICE
PURSUANT TO FLORIDA RULE OF GENERAL PRACTICE AND 

JUDICIAL ADMINISTRATION 2.510
Comes now ______________________________, Movant herein, and

respectfully represents the following:
1. [ ] Movant resides in   (City)   ,   (State)   . Movant.
is not a resident of the State of Florida.
[ ] Movant is a resident of the State of Florida and has an application

pending for admission to The Florida Bar and has not previously been denied
admission to The Florida Bar.

2. Movant is an attorney and a member of the law firm of (or practices law
under the name of) ___________________________, with offices at
   (Street Address)    ,    (City)    ,   (County)   ,   (State)   ,   (Zip Code)   ,
  (Telephone)   .



3. Movant has been retained personally or as a member of the above-
named law firm on  (Date Representation Commenced)  by   (Name of Party
or Parties)   to provide legal representation in connection with the above-
styled matter now pending before the above-named court of the State of
Florida.

4. Movant is an active member in good standing and currently eligible to
practice law in the following jurisdiction(s): Include attorney or bar
number(s). (Attach an additional sheet if necessary.)

JURISDICTION ATTORNEY/BAR NUMBER
_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
5. A judicial officer or the entity responsible for attorney regulation has

neither initiated disciplinary, suspension, disbarment or contempt
proceedings or disciplined, suspended, disbarred or held Movant in contempt
in the preceding 5 years, except as provided below (give jurisdiction of
proceeding, date upon which proceeding was initiated, nature of alleged
violation, statement of whether the proceeding has concluded or is still
pending, and sanction, if any, imposed): (Attach an additional sheet if
necessary.)

_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
6. Movant, either by resignation, withdrawal, or otherwise, never has

terminated or attempted to terminate Movants office as an attorney in order
to avoid administrative, disciplinary, disbarment, or suspension proceedings.

7. Movant is not an inactive member of The Florida Bar.



8. Movant is not now a member of The Florida Bar.
9. Movant is not a suspended member of The Florida Bar.
10. Movant is not a disbarred member of The Florida Bar nor has Movant

received a disciplinary resignation or disciplinary revocation from The
Florida Bar.

11. Movant has not previously been disciplined or held in contempt by
reason of misconduct committed while engaged in representation pursuant to
Florida Rule of General Practice and Judicial Administration 2.510, except as
provided below (give date of disciplinary action or contempt, reasons
therefor, and court imposing contempt): (Attach an additional sheet if
necessary.)

(Attach an additional sheet if necessary.)
_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
12. Movant has filed motion(s) to appear as counsel in Florida state courts

during the past five (5) years in the following matters: (Attach an additional
sheet if necessary)

Date of Motion Case Name Case Number Court Date Motion
Granted/Denied

_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
13. Local counsel of record associated with Movant in this matter is (Name

and Florida Bar Number) who is an active member in good standing of The
Florida Bar and has offices at    (Street Address)    ,   (City)   ,   (County)   ,



  (State)   ,   (Zip Code)      (Telephone with area code)   .
(If local counsel is not an active member of The Florida Bar in good

standing, please provide information as to local counsels membership status.
____________________)

14. Movant has read the applicable provisions of Florida Rule of General
Practice and Judicial Administration 2.510 and Rule 1-3.10 of the Rules
Regulating The Florida Bar and certifies that this verified motion complies
with those rules.

15. Movant agrees to comply with the provisions of the Florida Rules of
Professional Conduct and consents to the jurisdiction of the courts and the
Bar of the State of Florida.

WHEREFORE, Movant respectfully requests permission to appear in this
court for this cause only.

DATED this _________ day of ____________________, 20____ .
_____________________________
Movant
_____________________________
Address
_____________________________
Address
_____________________________
City, State, Zip Code
_____________________________
Telephone Number
_____________________________
E-mail Address
STATE OF _____________________
COUNTY OF _____________________



I, __________________, do hereby swear or affirm under penalty of
perjury that I am the Movant in the above-styled matter; that I have read the
foregoing Motion and know the contents thereof, and the contents are true of
my own knowledge and belief.

_____________________________
     Movant
I hereby consent to be associated as local counsel of record in this cause

pursuant to Florida Rule of General Practice and Judicial Administration
2.510.

DATED this _________ day of ____________________, 20____.
_____________________________
Local Counsel of Record
_____________________________
Address
_____________________________
Address
_____________________________
City, State, Zip Code
_____________________________
Telephone Number
_____________________________
Florida Bar Number
_____________________________
E-mail Address

CERTIFICATE OF SERVICE
I HEREBY CERTIFY that a true and correct copy of the foregoing motion

was served by mail to PHV Admissions, The Florida Bar, 651 East Jefferson
Street, Tallahassee, Florida 32399-2333 and by   (e-mail) (delivery) (mail)



(fax)   to   (name of attorney or party if not represented)   , and that the
movant has paid the fees described in the Rules Regulating The Florida Bar
concerning non-Florida lawyer appearances in a Florida court or has notified
The Florida Bar of movants request for a judicial waiver of said fees.

_____________________________
_____________________________
_____________________________
this __________________ day of __________________, 20 _________ .
_____________________________
Movant



 Pt. B. 
Florida Rules of General Practice & Judicial Admin, Pt. V, Pt. B



PART B. PRACTICE AND LITIGATION PROCEDURES
 Pt. B. ,  Rule 2.514. 

Fla. R. Gen. Prac. & Jud. Admin. 2.514

RULE 2.514. COMPUTING AND EXTENDING TIME.
(a) Computing Time. The following rules apply in computing time

periods specified in any rule of procedure, local rule, court order, or statute
that does not specify a method of computing time.

(1) Period Stated in Days or a Longer Unit. When the period is stated
in days or a longer unit of time:

(A) begin counting from the next day that is not a Saturday, Sunday,
or legal holiday;

(B) count every day, including intermediate Saturdays, Sundays, and
legal holidays; and

(C) include the last day of the period, but if the last day is a Saturday,
Sunday, or legal holiday, or falls within any period of time extended
through an order of the chief justice under Florida Rule of General
Practice and Judicial Administration 2.205(a)(2)(B)(iv), the period
continues to run until the end of the next day that is not a Saturday,
Sunday, or legal holiday and does not fall within any period of time
extended through an order of the chief justice.
(2) Period Stated in Hours. When the period is stated in hours

(A) begin counting immediately on the occurrence of the event that
triggers the period;

(B) count every hour, including hours during intermediate Saturdays,
Sundays, and legal holidays; and

(C) if the period would end on a Saturday, Sunday, or legal holiday,
or during any period of time extended through an order of the chief
justice under Florida Rule of General Practice and Judicial
Administration 2.205(a)(2)(B)(iv), the period continues to run until the
same time on the next day that is not a Saturday, Sunday, or legal
holiday and does not fall within any period of time extended through an



order of the chief justice.
(3) Period Stated in Days Less Than Seven Days. When the period

stated in days is less than 7 days, intermediate Saturdays, Sundays, and
legal holidays shall be excluded in the computation.

(4) Last Day Defined. Unless a different time is set by a statute, local
rule, or court order, the last day ends

(A) for electronic filing or for service by any means, at midnight; and
(B) for filing by other means, when the clerks office is scheduled to

close.
(5) Next Day Defined. The next day is determined by continuing to

count forward when the period is measured after an event and backward
when measured before an event.

(6) Legal Holiday Defined. Legal holiday means
(A) the day set aside by section 110.117, Florida Statutes, for

observing New Years Day, Martin Luther King, Jr.s Birthday,
Memorial Day, Independence Day, Labor Day, Veterans Day,
Thanksgiving Day, the Friday after Thanksgiving Day, or Christmas
Day, and

(B) any day observed as a holiday by the clerks office or as
designated by the chief judge.

(b) Additional Time after Service by Mail. When a party may or must
act within a specified time after service and service is made by mail, 5 days
are added after the period that would otherwise expire under subdivision (a).



 Pt. B. ,  Rule 2.515. 
Fla. R. Gen. Prac. & Jud. Admin. 2.515

RULE 2.515. SIGNATURE AND CERTIFICATES OF ATTORNEYS
AND PARTIES.

(a) Attorneys Signature and Certificates. Every document of a party
represented by an attorney must be signed by at least 1 attorney of record in
that attorneys individual name whose current record Florida Bar address,
telephone number, including area code, primary e-mail address and
secondary e-mail addresses, if any, and Florida Bar number must be stated,
and who must be duly licensed to practice law in Florida or who must have
received permission to appear in the particular case as provided in rule 2.510.
The attorney may be required by the court to give the address and primary e-
mail address and secondary e-mail addresses, if any, of, and to vouch for the
attorneys authority to represent, the party. Except when otherwise
specifically provided by an applicable rule or statute, documents need not be
verified or accompanied by affidavit. The signature of an attorney shall
constitute a certificate by the attorney that:

(1) the attorney has read the document;
(2) to the best of the attorneys knowledge, information, and belief there

is good ground to support the document;
(3) the document is not interposed for delay; and
(4) the document contains no confidential or sensitive information, or

that any such confidential or sensitive information has been properly
protected by complying with the provisions of rules 2.420 and 2.425. If a
document is not signed or is signed with intent to defeat the purpose of this
rule, it may be stricken and the action may proceed as though the
document had not been served.
(b) Pro Se Litigant Signature. A party who is not represented by an

attorney must sign any document and state the partys address; primary e-
mail address and secondary e-mail addresses, if any; and telephone number,
including area code.

(c) Form of Signature.
(1) The signatures required on documents by subdivisions (a) and (b) of



this rule may be:
(A) original signatures;
(B) original signatures that have been reproduced by electronic

means, such as on electronically transmitted documents or photocopied
documents;

(C) an electronic signature indicator using the /s/, s/, or /s
[name] formats authorized by the person signing a document
electronically served or filed; or

(D) any other signature format authorized by general law, so long as
the clerk where the proceeding is pending has the capability of receiving
and has obtained approval from the Supreme Court of Florida to accept
pleadings and documents with that signature format.
(2) By serving a document, or by filing a document by electronic

transmission using an attorneys assigned electronic filing credentials:
(A) that attorney certifies compliance with subdivision (a)(1) through

(a)(4) and accepts responsibility for the document for all purposes under
this rule;

(B) that attorney certifies compliance with all rules of procedure
regarding service of the document on attorneys and parties;

(C) that attorney certifies that every person identified as a signer in
the document as described in subdivision (c)(1)(C) has authorized such
signature; and

(D) every signing attorney is as responsible for the document as if that
document had been served by such signing attorney or filed using the
assigned electronic filing credentials of such signing attorney.



 Pt. B. ,  Rule 2.516. 
Fla. R. Gen. Prac. & Jud. Admin. 2.516

RULE 2.516. SERVICE OF PLEADINGS AND DOCUMENTS.
(a) Service; When Required. Unless the court otherwise orders, or a

statute or supreme court administrative order specifies a different means of
service, every pleading subsequent to the initial pleading and every other
document filed in any court proceeding, except applications for witness
subpoenas and documents served by formal notice or required to be served in
the manner provided for service of formal notice, must be served in
accordance with this rule on each party. No service need be made on parties
against whom a default has been entered, except that pleadings asserting new
or additional claims against them must be served in the manner provided for
service of summons.

(b) Service; How Made. When service is required or permitted to be made
upon a party represented by an attorney, service must be made upon the
attorney unless service upon the party is ordered by the court.

(1) Service by Electronic Mail (e-mail). All documents required or
permitted to be served on another party must be served by e-mail, unless
the parties otherwise stipulate or this rule otherwise provides. A filer of an
electronic document has complied with this subdivision if the Florida
Courts e-filing Portal (Portal) or other authorized electronic filing system
with a supreme court approved electronic service system (e-Service
system) served the document by e-mail or provided a link by e-mail to the
document on a website maintained by a clerk (e-Service). The filer of an
electronic document must verify that the Portal or other e-Service system
uses the names and e-mail addresses provided by the parties pursuant to
subdivision (b)(1)(A).

(A) Service on Attorneys. Unless excused pursuant to subdivision (b)
(1)(B), upon appearing in a proceeding an attorney must designate a
primary e-mail address and may designate no more than two secondary
e-mail addresses and is responsible for the accuracy of and changes to
that attorneys own e-mail addresses maintained by the Portal or other e-
Service system. Thereafter, service must be directed to all designated e-
mail addresses in that proceeding. Every document filed or served by an



attorney thereafter must include the primary e-mail address of that
attorney and any secondary e-mail addresses. If an attorney does not
designate any e-mail address for service, documents may be served on
that attorney at the e-mail address on record with The Florida Bar.

(B) Exception to E-mail Service on Attorneys. Upon motion by an
attorney demonstrating that the attorney has no e-mail account and lacks
access to the Internet at the attorneys office, the court may excuse the
attorney from the requirements of e-mail service. Service on and by an
attorney excused by the court from e-mail service must be by the means
provided in subdivision (b)(2).

(C) Service on and by Parties Not Represented by an Attorney. Unless
excused pursuant to subdivision (b)(1)(D), any party not represented by
an attorney must serve a designation of a primary e-mail address and
also may designate no more than two secondary e-mail addresses to
which service must be directed in that proceeding by the means provided
in subdivision (b)(1) of this rule.

(D) Exceptions to E-mail Service on and by Parties Not Represented
by an Attorney.

(i) A party who is in custody and who is not represented by an
attorney is excused from the requirements of e-mail service.

(ii) The clerk of court must excuse a party who is not represented
by an attorney from the requirements of e-mail service if the party
declares on Florida Rule of General Practice and Judicial
Administration Form 2.601, under penalties of perjury, that the party
does not have an e-mail account or does not have regular access to the
Internet. The clerks of court shall make this form available to the
public at their offices and on their websites.

If a party not represented by an attorney is excused from e-mail service,
service on and by that party must be by the means provided in subdivision
(b)(2).

(E) Time of Service. Service by e-mail is complete on the date it is
sent.

(i) If, however, the e-mail is sent by the Portal or other e-Service
system, service is complete on the date the served document is



electronically filed.
(ii) If the person required to serve a document learns that the e-mail

was not received by an intended recipient, the person must
immediately resend the document to that intended recipient by e-mail,
or by a means authorized by subdivision (b)(2) of this rule.
(F) Format of E-mail for Service. Service of a document by e-mail is

made by an e-mail sent to all addresses designated by the attorney or
party not represented by an attorney with either (a) a copy of the
document in PDF format attached or (b) a link to the document on a
website maintained by a clerk.

(i) All documents served by e-mail must be sent by an e-mail
message containing a subject line beginning with the words
SERVICE OF COURT DOCUMENT in all capital letters, followed
by the case number and case style of the proceeding in which the
documents are being served.

(ii) The body of the e-mail must identify the court in which the
proceeding is pending, the case number, the name of the initial party
on each side, the title of each document served with that e-mail, and
the name and telephone number of the person required to serve the
document.

(iii) Any document served by e-mail may be signed by any of the
/s/, /s, or s/ formats.

(iv) Any e-mail which, together with its attached documents,
exceeds the appropriate size limitations specified in the Florida
Supreme Court Standards for Electronic Access to the Court, must be
divided and sent as separate e-mails, no one of which may exceed the
appropriate size limitations specified in the Florida Supreme Court
Standards for Electronic Access to the Court and each of which must
be sequentially numbered in the subject line.

(2) Service by Other Means. In addition to, and not in lieu of, service by
e-mail, service may also be made upon attorneys and parties not
represented by an attorney by any of the means specified in this
subdivision. If a document is served by more than one method of service,
the computation of time for any response to the served document must be



based on the method of service that provides the shortest response time.
Service on and by all parties who are not represented by an attorney and
who are excused from e-mail service, and on and by all attorneys excused
from e-mail service, must be made by delivering a copy of the document or
by mailing it to the party or attorney at their last known address or, if no
address is known, by noting the non-service in the certificate of service,
and stating in the certificate of service that a copy of the served document
may be obtained, on request, from the clerk of the court or from the party
serving the document. Service by mail is complete upon mailing. Delivery
of a copy within this rule is complete upon:

(A) handing it to the attorney or to the party,
(B) leaving it at the attorneys or partys office with a clerk or other

person in charge thereof,
(C) if there is no one in charge, leaving it in a conspicuous place

therein,
(D) if the office is closed or the person to be served has no office,

leaving it at the persons usual place of abode with some person of his or
her family above 15 years of age and informing such person of the
contents, or

(E) transmitting it by facsimile to the attorneys or partys office with
a cover sheet containing the senders name, firm, address, telephone
number, and facsimile number, and the number of pages transmitted.
When service is made by facsimile, a copy must also be served by any
other method permitted by this rule. Facsimile service occurs when
transmission is complete.

(F) Service by delivery is deemed complete on the date of the
delivery.

(c) Service; Numerous Defendants. In actions when the parties are
unusually numerous, the court may regulate the service contemplated by
these rules on motion or on its own initiative in such manner as may be found
to be just and reasonable.

(d) Filing. All documents must be filed with the court either before service
or immediately thereafter, unless otherwise provided for by general law or
other rules. If the original of any bond or other document required to be an



original is not placed in the court file or deposited with the clerk, a certified
copy must be so placed by the clerk.

(e) Filing Defined. The filing of documents with the court as required by
these rules must be made by filing them with the clerk in accordance with
Rule 2.525, except that the judge may permit documents to be filed with the
judge, in which event the judge must note the filing date before him or her on
the documents and transmit them to the clerk. The date of filing is that shown
on the face of the document by the judges notation or the clerks time stamp,
whichever is earlier.

(f) Certificate of Service. When any attorney certifies in substance:
I certify that the foregoing document has been furnished to (here insert
name or names, addresses used for service, and mailing addresses) by (e-
mail) (delivery) (mail) (fax) on __________________ (date)
    ____________________
     Attorney
the certificate is taken as prima facie proof of such service in compliance
with this rule.
(g) Service by Clerk. When the clerk is required to serve notices and other

documents, the clerk may do so by e-mail as provided in subdivision (b)(1) or
by any other method permitted under subdivision (b)(2). Service by a clerk is
not required to be by e-mail.

(h) Service of Orders.
(1) A copy of all orders or judgments must be transmitted by the court or

under its direction to all parties at the time of entry of the order or
judgment. No service need be made on parties against whom a default has
been entered except orders setting an action for trial and final judgments
that must be prepared and served as provided in subdivision (h)(2). The
court may require that orders or judgments be prepared by a party, may
require the party to furnish the court with stamped, addressed envelopes
for service of the order or judgment, and may require that proposed orders
and judgments be furnished to all parties before entry by the court of the
order or judgment. The court may serve any order or judgment by e-mail to
all attorneys and parties not represented by an attorney who have not been



excused from e-mail service.
(2) When a final judgment is entered against a party in default, the court

must mail a conformed copy of it to the party. The party in whose favor the
judgment is entered must furnish the court with a copy of the judgment,
unless it is prepared by the court, with the address of the party to be served.
If the address is unknown, the copy need not be furnished.

(3) This subdivision is directory and a failure to comply with it does not
affect the order or judgment, its finality, or any proceedings arising in the
action.



 Pt. B. ,  Rule 2.520. 
Fla. R. Gen. Prac. & Jud. Admin. 2.520

RULE 2.520. DOCUMENTS.
(a) Electronic Filing Mandatory. All documents filed in any court shall

be filed by electronic transmission in accordance with rule 2.525.
Documents means pleadings, motions, petitions, memoranda, briefs,
notices, exhibits, declarations, affidavits, orders, judgments, decrees, writs,
opinions, and any paper or writing submitted to a court.

(b) Type and Size. Documents subject to the exceptions set forth in rule
2.525(d) shall be legibly typewritten or printed, on only one side of letter
sized (81/2 by 11 inch) white recycled paper with one inch margins and
consecutively numbered pages. For purposes of this rule, paper is recycled if
it contains a minimum content of 50 percent waste paper. Reduction of legal-
size (81/2 by 14 inches) documents to letter size (81/2 by 11 inches) is
prohibited. All documents filed by electronic transmission shall comply with
rule 2.526 and be filed in a format capable of being electronically searched
and printed in a format consistent with the provisions of this rule.

(c) Exhibits. Any exhibit or attachment to any document may be filed in
its original size.

(d) Recording Space and Space for Date and Time Stamps.
(1) On all documents prepared and filed by the court or by any party to a

proceeding which are to be recorded in the public records of any county,
including but not limited to final money judgments and notices of lis
pendens, a 3-inch by 3-inch space at the top right-hand corner on the first
page and a 1-inch by 3-inch space at the top right-hand corner on each
subsequent page shall be left blank and reserved for use by the clerk of
court.

(2) On all documents filed with the court, a 1-inch margin on all sides
must be left blank for date and time stamps.
(A) Format. Date and time stamp formats must include a single line

detailing the name of the court or Portal and shall not include clerk seals.
Date stamps must be 8 numerical digits separated by slashes with 2 digits for
the month, 2 digits for the day, and 4 digits for the year. Time stamps must be



formatted in 12 hour time frames with a.m. or p.m. included. The font size
and type must meet the Americans with Disabilities Act requirements.

(B) Location. The Portal stamp shall be on the top left of the document.
The Florida Supreme Court and district courts of appeal stamps shall be on
the left margin horizontally. Any administrative agency stamp shall be on the
right margin horizontally. The clerks stamp for circuit and county courts
shall be on the bottom of the document.

(C) Paper Filings. When a document is filed in paper as authorized by
rule, the clerk may stamp the paper document in ink with the date and time of
filing instead of, or in addition to, placing the electronic stamp as described in
subdivision (B). The ink stamp on a paper document must be legible on the
electronic version of the document, and must neither obscure the content or
other date stamp, nor occupy space otherwise reserved by subdivision (B).

(e) Exceptions to Recording Space. Any documents created by persons or
entities over which the filing party has no control, including but not limited to
wills, codicils, trusts, or other testamentary documents; documents prepared
or executed by any public officer; documents prepared, executed,
acknowledged, or proved outside of the State of Florida; or documents
created by State or Federal government agencies, may be filed without the
space required by this rule.

(f) Noncompliance. No clerk of court shall refuse to file any document
because of noncompliance with this rule. However, upon request of the clerk
of court, noncomplying documents shall be resubmitted in accordance with
this rule.

COURT COMMENTARY

1989 Adoption. Rule 2.055 [renumbered as 2.520 in 2006] is new. This
rule aligns Floridas court system with the federal court system and the court
systems of the majority of our sister states by requiring in subdivision (a) that
all pleadings, motions, petitions, briefs, notices, orders, judgments, decrees,
opinions, or other papers filed with any Florida court be submitted on paper
measuring 8  by 11 inches. Subdivision (e) provides a 1-year transition
period from the effective date of January 1, 1990, to January 1, 1991, during
which time filings that traditionally have been accepted on legal-size paper
will be accepted on either legal- or letter-size paper. The 1-year transition



period was provided to allow for the depletion of inventories of legal-size
paper and forms. The 1-year transition period was not intended to affect
compliance with Florida Rule of Appellate Procedure 9.210(a)(1), which
requires that typewritten appellate briefs be filed on paper measuring 8  by
11 inches. Nor was it intended that the requirement of Florida Rule of
Appellate Procedure 9.210(a)(1) that printed briefs measure 6 by 9 inches be
affected by the requirements of subdivision (a).

Subdivision (b), which recognizes an exception for exhibits or attachments,
is intended to apply to documents such as wills and traffic citations which
traditionally have not been generated on lettersize paper.

Subdivision (c) was adopted to ensure that a 1  inch square at the top
right-hand corner of all filings is reserved for use by the clerk of court.
Subdivision (d) was adopted to ensure that all papers and documents
submitted for filing will be considered filed on the date of submission
regardless of paper size. Subdivision (d) also ensures that after the 1-year
transition period of subdivision (e), filings that are not in compliance with the
rule are resubmitted on paper measuring 8  by 11 inches.

This rule is not intended to apply to those instruments and documents
presented to the clerk of the circuit court for recording in the Official Records
under section 28.222, Florida Statutes (1987). It is also not intended to apply
to matters submitted to the clerk of the circuit court in the capacity as ex
officio clerk of the board of county commissioners pursuant to article VIII,
section (1)(d), Florida Constitution.

1996 Amendment. Subdivision (c) was amended to make the blank space
requirements for use by the clerk of the court consistent with section 695.26,
Florida Statutes (1995). Subdivision (e) was eliminated because the transition
period for letter-size and recycled paper was no longer necessary.



 Pt. B. ,  Rule 2.525. 
Fla. R. Gen. Prac. & Jud. Admin. 2.525

RULE 2.525. ELECTRONIC FILING.
(a) Definition. Electronic transmission of documents means the sending

of information by electronic signals to, by or from a court or clerk which
when received can be transformed and stored or transmitted on paper,
microfilm, magnetic storage device, optical imaging system, CD-ROM, flash
drive, other electronic data storage system, server, case maintenance system
(CM), electronic court filing (ECF) system, statewide or local electronic
portal (e-portal), or other electronic record keeping system authorized by
the supreme court in a format sufficient to communicate the information on
the original document in a readable format. Electronic transmission of
documents includes electronic mail (e-mail) and any internet-based
transmission procedure, and may include procedures allowing for documents
to be signed or verified by electronic means.

(b) Application. Only the electronic filing credentials of an attorney who
has signed a document may be used to file that document by electronic
transmission. Any court or clerk may accept the electronic transmission of
documents for filing and may send documents by electronic transmission
after the clerk, together with input from the chief judge of the circuit, has
obtained approval of the procedures, programs, and standards for electronic
filing from the supreme court (ECF Procedures). All ECF Procedures must
comply with the then-current e-filing standards, as promulgated by the
supreme court in Administrative Order No. AOSC09-30, or subsequent
administrative order.

(c) Documents Affected.
(1) All documents that are court records, as defined in rule 2.430(a)(1),

must be filed by electronic transmission provided that:
(A) the clerk has the ability to accept and retain such documents;
(B) the clerk or the chief judge of the circuit has requested permission

to accept documents filed by electronic transmission; and
(C) the supreme court has entered an order granting permission to the

clerk to accept documents filed by electronic transmission.



(2) The official court file is a set of electronic documents stored in a
computer system maintained by the clerk, together with any supplemental
non-electronic documents and materials authorized by this rule. It consists
of:

(A) documents filed by electronic transmission under this rule;
(B) documents filed in paper form under subdivision (d) that have

been converted to electronic form by the clerk;
(C) documents filed in paper form before the effective date of this rule

that have been converted to electronic form by the clerk;
(D) documents filed in paper form before the effective date of this

rule or under subdivision (d), unless such documents are converted into
electronic form by the clerk;

(E) electronic documents filed pursuant to subdivision (d)(5); and
(F) materials and documents filed pursuant to any rule, statute or

court order that either cannot be converted into electronic form or are
required to be maintained in paper form.
(3) The documents in the official court file are deemed originals for all

purposes except as otherwise provided by statute or rule.
(4) Any document in paper form submitted under subdivision (d) is filed

when it is received by the clerk or court and the clerk shall immediately
thereafter convert any filed paper document to an electronic document.
Convert to an electronic document means optically capturing an image
of a paper document and using character recognition software to recover as
much of the documents text as practicable and then indexing and storing
the document in the official court file.

(5) Any storage medium submitted under subdivision (d)(5) is filed
when received by the clerk or court and the clerk shall immediately
thereafter transfer the electronic documents from the storage device to the
official court file.

(6) If the filer of any paper document authorized under subdivision (d)
provides a self-addressed, postage-paid envelope for return of the paper
document after it is converted to electronic form by the clerk, the clerk
shall place the paper document in the envelope and deposit it in the mail.



Except when a paper document is required to be maintained, the clerk may
recycle any filed paper document that is not to be returned to the filer.

(7) The clerk may convert any paper document filed before the effective
date of this rule to an electronic document. Unless the clerk is required to
maintain the paper document, if the paper document has been converted to
an electronic document by the clerk, the paper document is no longer part
of the official court file and may be removed and recycled.
(d) Exceptions. Paper documents and other submissions may be manually

submitted to the clerk or court:
(1) when the clerk does not have the ability to accept and retain

documents by electronic filing or has not had ECF Procedures approved by
the supreme court;

(2) for filing by any self-represented party or any self-represented
nonparty unless specific ECF Procedures provide a means to file
documents electronically. However, any self-represented nonparty that is a
governmental or public agency and any other agency, partnership,
corporation, or business entity acting on behalf of any governmental or
public agency may file documents by electronic transmission if such entity
has the capability of filing documents electronically;

(3) for filing by attorneys excused from e-mail service in accordance
with rule 2.516(b);

(4) when submitting evidentiary exhibits or filing non-documentary
materials;

(5) when the filing involves documents in excess of the appropriate size
limitations specified in the Florida Supreme Court Standards for Electronic
Access to the Court. For such filings, documents may be transmitted using
an electronic storage medium that the clerk has the ability to accept, which
may include a CD-ROM, flash drive, or similar storage medium;

(6) when filed in open court, as permitted by the court;
(7) when paper filing is permitted by any approved statewide or local

ECF procedures; and
(8) if any court determines that justice so requires.



(e) Service.
(1) Electronic transmission may be used by a court or clerk for the

service of all orders of whatever nature, pursuant to rule 2.516(h), and for
the service of any documents pursuant to any ECF Procedures, provided
the clerk, together with input from the chief judge of the circuit, has
obtained approval from the supreme court of ECF Procedures containing
the specific procedures and program to be used in transmitting the orders
and documents. All other requirements for the service of such orders must
be met.

(2) Any document electronically transmitted to a court or clerk must also
be served on all parties and interested persons in accordance with the
applicable rules of court.
(f) Administration.

(1) Any clerk who, after obtaining supreme court approval, accepts for
filing documents that have been electronically transmitted must:

(A) provide electronic or telephonic access to its equipment, whether
through an e-portal or otherwise, during regular business hours, and all
other times as practically feasible;

(B) accept electronic transmission of the appropriate size limitations
specified in the Florida Supreme Court Standards for Electronic Access
to the Court; and

(C) accept filings in excess of the appropriate size limitations
specified in the Florida Supreme Court Standards for Electronic Access
to the Court by electronic storage device or system, which may include a
CD-ROM, flash drive, or similar storage system.
(2) All attorneys, parties, or other persons using this rule to file

documents are required to make arrangements with the court or clerk for
the payment of any charges authorized by general law or the supreme court
before filing any document by electronic transmission.

(3) The filing date for an electronically transmitted document is the date
and time that such filing is acknowledged by an electronic stamp or
otherwise, pursuant to any procedure set forth in any ECF Procedures
approved by the supreme court, or the date the last page of such filing is



received by the court or clerk.
(4) Any court or clerk may extend the hours of access or increase the

page or size limitations set forth in this subdivision.
(g) Accessibility. All documents transmitted in any electronic form under

this rule must comply with the accessibility requirements of Florida Rule of
Judicial Administration 2.526.

COURT COMMENTARY

1997 Amendment. Originally, the rule provided that the follow-up filing
had to occur within ten days. In the 1997 amendment to the rule, that
requirement was modified to provide that the follow-up filing must occur
immediately after a document is electronically filed. The immediately
thereafter language is consistent with language used in the rules of
procedure where, in a somewhat analogous situation, the filing of a document
may occur after service. See, e.g., Florida Rule of Civil Procedure 1.080(d)
(All original papers shall be filed with the court either before service or
immediately thereafter.) (emphasis added). Immediately thereafter has
been interpreted to mean filed with reasonable promptness. Miami Transit
Co. v. Ford, 155 So.2d 360 (Fla.1963).

The use of the words other person in this rule is not meant to allow a
nonlawyer to sign and file pleadings or other papers on behalf of another.
Such conduct would constitute the unauthorized practice of law.



 Pt. B. ,  Rule 2.526. 
Fla. R. Gen. Prac. & Jud. Admin. 2.526

RULE 2.526. ACCESSIBILITY OF INFORMATION AND
TECHNOLOGY.

Any document that is or will become a judicial branch record, as defined in
rule 2.420(b)(1), and that is transmitted in an electronic form, as defined in
rule 2.525, must be formatted in a manner that complies with all state and
federal laws requiring that electronic judicial records be accessible to persons
with disabilities, including without limitation the Americans with Disabilities
Act and Section 508 of the federal Rehabilitation Act of 1973 as incorporated
into Florida law by section 282.603(1), Florida Statutes (2010), and any
related federal or state regulations or administrative rules.



 Pt. B. ,  Rule 2.530. 
Fla. R. Gen. Prac. & Jud. Admin. 2.530

RULE 2.530. COMMUNICATION TECHNOLOGY.
(a) Definitions. The following definitions apply to this rule:

(1) Audio communication technology means electronic devices,
systems, applications, or platforms that permit all participants to hear and
speak to all other participants in real time.

(2) Audio-video communication technology means electronic devices,
systems, applications, or platforms that permit all participants to hear, see,
and speak to all other participants in real time.

(3) Communication technology means audio communication
technology or audio-video communication technology.

(4) Court official means a county or circuit court judge, general
magistrate, special magistrate, or hearing officer.
(b) Generally. Unless governed by another rule of procedure or general

law and with the exception of civil proceedings for involuntary commitment
pursuant to section 394.467, Florida Statutes, communication technology
may be used for all proceedings before a court official, as provided by this
rule. Subject to subdivision (b)(1) or (b)(2), if applicable, a court official may
authorize the use of communication technology for the presentation of
testimony or for other participation in a proceeding upon the written motion
of a party or at the discretion of the court official. Reasonable advance notice
of the specific form of communication technology to be used and directions
for access to the communication technology must be provided in the written
motion or in a written notice from the court official exercising discretion. The
motion or notice must be served on all who are entitled to notice of the
proceeding. A party may file an objection in writing to the use of
communication technology within 10 days after service of the motion or
notice or within such other period as may be directed by the court official. A
party waives objections to the use of communication technology by failing to
timely object to the motion or notice unless, before the date of the
proceeding, the party establishes good cause for the failure to timely object.
A courtesy copy of the written motion or objection must be provided to the
court official in an electronic or a paper format as directed by the court



official. The court official must consider any objection before authorizing the
use of communication technology. The decision to authorize the use of
communication technology over objection shall be in the discretion of the
court official.

(1) Non-Evidentiary Proceedings. A court official must grant a motion
to use communication technology for a non-evidentiary proceeding
scheduled for 30 minutes or less unless the court official determines that
good cause exists to deny the motion.

(2) Testimony.
(A) Procedure. A written motion by a party to present testimony

through communication technology must set forth good cause why the
testimony should be allowed in the specific form requested and must
specify whether each party consents to the form requested. In
determining whether good cause exists, the court official may consider,
without limitation, the technological capabilities of the courtroom, how
the presentation of testimony through communication technology
advances the proceeding or case to resolution, the consent of the parties,
the time-sensitivity of the matter, the nature of the relief sought and the
amount in controversy in the case, the resources of the parties, the
anticipated duration of the testimony, the need and ability to review and
identify documents during testimony, the probative value of the
testimony, the geographic location of the witness, the cost and
inconvenience in requiring the physical presence of the witness, the need
to observe the demeanor of the witness, the potential for unfair surprise,
and any other matter relevant to the request.

(B) Administration of the Oath. Before testimony may be presented
through communication technology, the oath must be administered to
the witness as provided in this subdivision.

(i) Person Administering the Oath is Physically Present with the
Witness. An oath may be administered to a witness testifying through
communication technology by a person who is physically present with
the witness if the person is authorized to administer oaths in the
witnesss jurisdiction and the oath is administered consistent with the
laws of that jurisdiction.



(ii) Person Administering the Oath is not Physically Present with
the Witness. An oath may be administered to a witness testifying
through audio-video communication technology by a person who is
not physically present with the witness if the person is authorized to
administer oaths in the State of Florida and the oath is administered
through audio-video communication technology in a manner
consistent with the general laws of the State of Florida. If the witness
is not located in the State of Florida, the witness must consent to be
bound by an oath administered under the general laws of the State of
Florida.
(C) Limitation on the Form of Communication Technology Used. If

the use of communication technology is authorized under this rule for a
proceeding in which the mental capacity or competency of a person is at
issue, only audio-video communication technology may be used for the
presentation of testimony by that person.

(c) Use by Jurors. At the discretion of a chief judge, an administrative
judge, or a county or circuit court judge, prospective jurors may participate,
prior to the beginning of voir dire, through communication technology in a
court proceeding to determine whether the prospective jurors will be
disqualified, be excused, or have their jury duty postponed. If authorized by
another rule of procedure, prospective jurors may participate in voir dire and
empaneled jurors may participate in a trial through audio-video
communication technology.

(d) Burden of Expense. Unless otherwise directed by the court, the cost
for the use of audio-video communication technology is the responsibility of
the requesting party, subject to allocation or taxation as costs.

(e) Override of Family Violence Indicator. Communications technology
may be used for a hearing on a petition to override a family violence indicator
under Florida Family Law Rule of Procedure 12.650.



 Pt. B. ,  Rule 2.535. 
Fla. R. Gen. Prac. & Jud. Admin. 2.535

RULE 2.535. COURT REPORTING.
(a) Definitions.

(1) Approved court reporter means a court employee or contractor
who performs court reporting services, including transcription, at public
expense and who meets the courts certification, training, and other
qualifications for court reporting.

(2) Approved transcriptionist means a court employee, contractor, or
other individual who performs transcription services at public expense and
who meets the courts certification, training, and other qualifications for
transcribing proceedings.

(3) Civil court reporter means a court reporter who performs court
reporting services in civil proceedings not required to be reported at public
expense, and who meets the courts certification, training, and other
qualifications for court reporting.

(4) Court reporting means the act of making a verbatim record of the
spoken word, whether by the use of written symbols, stenomask
equipment, stenographic equipment, or electronic devices, in any
proceedings pending in any of the courts of this state, including all
discovery proceedings conducted in connection therewith, any proceedings
reported for the courts own use, and all proceedings required by statute to
be reported by a certified or officialan approved court reporter or civil
court reporter. It does not mean the act of taking witness statements not
intended for use in court as substantive evidence.

(5) Electronic record means the audio, analog, digital, or video record
of a court proceeding.

(6) Official record means the transcript, which is the written or
electronically stored record of court proceedings and depositions prepared
in accordance with the requirements of subdivision (f).
(b) When Court Reporting Required. Any proceeding shall be reported

on the request of any party. The party so requesting shall pay the reporting
fees, but this requirement shall not preclude the taxation of costs as



authorized by law.
(c) Record. When trial proceedings are being reported, no part of the

proceedings shall be omitted unless all of the parties agree to do so and the
court approves the agreement. When a deposition is being reported, no part of
the proceedings shall be omitted unless all of the parties and the witness so
agree. When a party or a witness seeks to terminate or suspend the taking of a
deposition for the time necessary to seek a court order, the court reporter shall
discontinue reporting the testimony of the witness.

(d) Ownership of Records. The chief judge of the circuit in which a
proceeding is pending, in his or her official capacity, is the owner of all
records and electronic records made by an official court reporter or quasi-
judicial officer in proceedings required to be reported at public expense and
proceedings reported for the courts own use.

(e) Fees. The chief judge shall have the discretion to adopt an
administrative order establishing maximum fees for court reporting services.
Any such order must make a specific factual finding that the setting of such
maximum fees is necessary to ensure access to the courts. Such finding shall
include consideration of the number of court reporters in the county or
circuit, any past history of fee schedules, and any other relevant factors.

(f) Transcripts. Transcripts of all judicial proceedings, including
depositions, shall be uniform in and for all courts throughout the state and
shall be stored in an electronic format sufficient to communicate the
information contained in proceedings in a readable format, and capable of
being transmitted electronically as set forth in rule 2.525. Any transcripts
stored in electronic form must be capable of being printed in accordance with
this rule. The form, size, spacing, and method of printing transcripts are as
follows:

(1) All proceedings shall be printed on paper 8  inches by 11 inches in
size and bound on the left.

(2) There shall be no fewer than 25 printed lines per page with all lines
numbered 1 through 25, respectively, and with no more than a double
space between lines.

(3) Font size or print shall be 9 or 10 pica, 12-point courier, or 12-point
Times New Roman print with no less than 56 characters per line on



questions and answers unless the text of the speaker ends short of marginal
requirements.

(4) Colloquy material shall begin on the same line following the
identification of the speaker, with no more than 2 spaces between the
identification of the speaker and the commencement of the colloquy. The
identification of the speaker in colloquy shall begin no more than 10
spaces from the left margin, and carry-over colloquy shall be indented no
more than 5 spaces from the left margin.

(5) Each question and answer shall begin on a separate line no more than
5 spaces from the left margin with no more than 5 spaces from the Q or
A to the text. Carry-over question and answer lines shall be brought to
the left margin.

(6) Quoted material shall begin no more than 10 spaces from the left
margin with carry-over lines beginning no more than 10 spaces from the
left margin.

(7) Indentations of no more than 10 spaces may be used for paragraphs,
and all spaces on a line as herein provided shall be used unless the text of
the speaker ends short of marginal requirements.

(8) One-line parentheticals may begin at any indentation. Parentheticals
exceeding 1 line shall begin no more than 10 spaces from the left margin,
with carry-over lines being returned to the left margin.

(9) Individual volumes of a transcript, including depositions, shall be no
more than 200 pages in length, inclusive of the index.

(10) Deviation from these standards shall not constitute grounds for
limiting use of transcripts in the trial or appellate courts.
(g) Officers of the Court. Approved court reporters, civil court reporters,

and approved transcriptionists are officers of the court for all purposes while
acting as court reporters in judicial proceedings or discovery proceedings or
as transcriptionists. Approved court reporters, civil court reporters, and
approved transcriptionists shall comply with all rules and statutes governing
the proceeding that are applicable to court reporters and approved
transcriptionists.

(h) Court Reporting Services at Public Expense.



(1) When Reporting Is Required. All proceedings required by law,
court rule, or administrative order to be reported shall be reported at public
expense.

(2) When Reporting May Be Required. Proceedings reported for the
courts own use may be reported at public expense.

(3) Circuit Plan. The chief judge, after consultation with the circuit
court and county court judges in the circuit, shall enter an administrative
order developing and implementing a circuit-wide plan for the court
reporting of all proceedings required to be reported at public expense using
either full or part time court employees or independent contractors. The
plan shall ensure that all court reporting services are provided by approved
court reporters or approved transcriptionists. This plan may provide for
multiple service delivery strategies if they are necessary to ensure the
efficient provision of court reporting services. Each circuits plan for court
reporting services shall be developed after consideration of guidelines
issued by the Office of the State Courts Administrator.

(4) Electronic Recording and Transcription of Proceedings Without
Court Reporters. A chief judge may enter a circuit-wide administrative
order, which shall be recorded, authorizing the electronic recording and
subsequent transcription by approved court reporters or approved
transcriptionists, of any judicial proceedings, including depositions, that
are otherwise required to be reported by a court reporter. Appropriate
procedures shall be prescribed in the order which shall:

(A) set forth responsibilities for the courts support personnel to
ensure a reliable record of the proceedings;

(B) provide a means to have the recording transcribed by approved
court reporters or approved transcriptionists, either in whole or in part,
when necessary for an appeal or for further use in the trial court; and

(C) provide for the safekeeping of such recordings.
(5) Safeguarding Confidential Communications When Electronic

Recording Equipment Is Used in the Courtroom.
(A) Court personnel shall provide notice to participants in a

courtroom proceeding that electronic recording equipment is in use and
that they should safeguard information they do not want recorded.



(B) Attorneys shall take all reasonable and available precautions to
protect disclosure of confidential communications in the courtroom.
Such precautions may include muting microphones or going to a
designated location that is inaccessible to the recording equipment.

(C) Participants have a duty to protect confidential information.
(6) Grand Jury Proceedings. Testimony in grand jury proceedings

shall be reported by an approved court reporter, but shall not be transcribed
unless required by order of court. Other parts of grand jury proceedings,
including deliberations and voting, shall not be reported. The approved
court reporters work product, including stenographic notes, electronic
recordings, and transcripts, shall be filed with the clerk of the court under
seal.
(i) Court Reporting Services in Capital Cases. The chief judge, after

consultation with the circuit court judges in the circuit, shall enter an
administrative order developing and implementing a circuit-wide plan for
court reporting in all trials in which the state seeks the death penalty and in
capital postconviction proceedings. The plan shall prohibit the use of digital
court reporting as the court reporting system and shall require the use of all
measures necessary to expedite the preparation of the transcript, including but
not limited to:

(1) where available, the use of an approved court reporter who has the
capacity to provide real-time transcription of the proceedings;

(2) if real-time transcription services are not available, the use of a
computer-aided transcription qualified court reporter;

(3) the use of scopists, text editors, alternating court reporters, or other
means to expedite the finalization of the certified transcript; and

(4) the imposition of reasonable restrictions on work assignments by
employee or contract approved court reporters to ensure that transcript
production in capital cases is given a priority.
(j) Juvenile Dependency and Termination of Parental Rights Cases.

Transcription of hearings for appeals of orders in juvenile dependency and
termination of parental rights cases shall be given priority, consistent with
rule 2.215(g), over transcription of all other proceedings, unless otherwise
ordered by the court based upon a demonstrated exigency.



COMMITTEE NOTES

The definitions of electronic record in subdivision (a)(5) and of official
record in subdivision (a)(6) are intended to clarify that when a court
proceeding is electronically recorded by means of audio, analog, digital, or
video equipment, and is also recorded via a written transcript prepared by a
court reporter, the written transcript shall be the official record of the
proceeding to the exclusion of all electronic records. While the term record
is used within Rule 2.535 and within Fla. R. App. P. 9.200, it has a different
meaning within the unique context of each rule. Accordingly, the meaning of
the term record as defined for purposes of this rule does not in any way
alter, amend, change, or conflict with the meaning of the term record as
defined for appellate purposes in Fla. R. App. P. 9.200(a).



 Pt. B. ,  Rule 2.540. 
Fla. R. Gen. Prac. & Jud. Admin. 2.540

RULE 2.540. REQUESTS FOR ACCOMMODATIONS BY PERSONS
WITH DISABILITIES.

(a) Duties of Court. Qualified individuals with a disability will be
provided, at the courts expense, with accommodations, reasonable
modifications to rules, policies, or practices, or the provision of auxiliary aids
and services, in order to participate in programs or activities provided by the
courts of this state. The court may deny a request only in accordance with
subdivision (e).

(b) Definitions. The definitions encompassed in the Americans with
Disabilities Act of 1990, 42 U.S.C.  12101, et seq., are incorporated into this
rule.

(c) Notice Requirement.
(1) All notices of court proceedings to be held in a public facility, and all

process compelling appearance at such proceedings, shall include the
following statement in bold face, 14-point Times New Roman or Courier
font:
If you are a person with a disability who needs any accommodation in

order to participate in this proceeding, you are entitled, at no cost to you, to
the provision of certain assistance. Please contact [identify applicable court
personnel by name, address, and telephone number] at least 7 days before
your scheduled court appearance, or immediately upon receiving this
notification if the time before the scheduled appearance is less than 7 days; if
you are hearing or voice impaired, call 771.

(2) Each trial and appellate court shall post on its respective website and
in each court facility the procedures for obtaining an accommodation as
well as the grievance procedure adopted by that court.
(d) Process for Requesting Accommodations. The process for requesting

accommodations is as follows:
(1) Requests for accommodations under this rule may be presented on a

form approved or substantially similar to one approved by the Office of the
State Courts Administrator, in another written format, or orally. Requests



must be forwarded to the ADA coordinator, or designee, within the time
frame provided in subdivision (d)(3).

(2) Requests for accommodations must include a description of the
accommodation sought, along with a statement of the impairment that
necessitates the accommodation and the duration that the accommodation
is to be provided. The court, in its discretion, may require the individual
with a disability to provide additional information about the impairment.
Requests for accommodation shall not include any information regarding
the merits of the case.

(3) Requests for accommodations must be made at least 7 days before
the scheduled court appearance, or immediately upon receiving notification
if the time before the scheduled court appearance is less than 7 days. The
court may, in its discretion, waive this requirement.
(e) Response to Accommodation Request. The court must respond to a

request for accommodation as follows:
(1) The court must consider, but is not limited by, the provisions of the

Americans with Disabilities Act of 1990 in determining whether to provide
an accommodation or an appropriate alternative accommodation.

(2) The court must inform the individual with a disability of the
following:

(A) That the request for accommodation is granted or denied, in
whole or in part, and if the request for accommodation is denied, the
reason therefor; or that an alternative accommodation is granted;

(B) The nature of the accommodation to be provided, if any; and
(C) The duration of the accommodation to be provided.

If the request for accommodation is granted in its entirety, the court shall
respond to the individual with a disability by any appropriate method. If the
request is denied or granted only in part, or if an alternative accommodation
is granted, the court must respond to the individual with a disability in
writing, as may be appropriate, and if applicable, in an alternative format.

(3) If the court determines that a person is a qualified person with a
disability and an accommodation is needed, a request for accommodation
may be denied only when the court determines that the requested



accommodation would create an undue financial or administrative burden
on the court or would fundamentally alter the nature of the service,
program, or activity.
(f) Grievance Procedure.

(1) Each judicial circuit and appellate court shall establish and publish
grievance procedures that allow for the resolution of complaints. Those
procedures may be used by anyone who wishes to file a complaint alleging
discrimination on the basis of disability in the provision of services,
activities, programs, or benefits by the Florida State Courts System.

(2) If such grievance involves a matter that may affect the orderly
administration of justice, it is within the discretion of the presiding judge to
stay the proceeding and seek expedited resolution of the grievance.



 Pt. B. ,  Rule 2.545. 
Fla. R. Gen. Prac. & Jud. Admin. 2.545

RULE 2.545. CASE MANAGEMENT.
(a) Purpose. Judges and lawyers have a professional obligation to

conclude litigation as soon as it is reasonably and justly possible to do so.
However parties and counsel shall be afforded a reasonable time to prepare
and present their case.

(b) Case Control. The trial judge shall take charge of all cases at an early
stage in the litigation and shall control the progress of the case thereafter until
the case is determined. The trial judge shall take specific steps to monitor and
control the pace of litigation, including the following:

(1) assuming early and continuous control of the court calendar;
(2) identifying priority cases as assigned by statute, rule of procedure,

case law, or otherwise;
(3) implementing such docket control policies as may be necessary to

advance priority cases to ensure prompt resolution;
(4) identifying cases subject to alternative dispute resolution processes;
(5) developing rational and effective trial setting policies; and
(6) advancing the trial setting of priority cases, older cases, and cases of

greater urgency.
(c) Priority Cases.

(1) In all noncriminal cases assigned a priority status by statute, rule of
procedure, case law, or otherwise, any party may file a notice of priority
status explaining the nature of the case, the source of the priority status,
any deadlines imposed by law on any aspect of the case, and any unusual
factors that may bear on meeting the imposed deadlines.

(2) If, in any noncriminal case assigned a priority status by statute, rule
of procedure, case law, or otherwise, a party is of the good faith opinion
that the case has not been appropriately advanced on the docket or has not
received priority in scheduling consistent with its priority case status, that
party may seek review of such action by motion for review to the chief



judge or to the chief judges designee. The filing of such a motion for
review will not toll the time for seeking such other relief as may be
afforded by the Florida Rules of Appellate Procedure.
(d) Related Cases.

(1) The petitioner in a family case as defined in this rule shall file with
the court a notice of related cases in conformity with family law form
12.900(h), if related cases are known or reasonably ascertainable. A case is
related when:

(A) it involves any of the same parties, children, or issues and it is
pending at the time the party files a family case; or

(B) it affects the courts jurisdiction to proceed; or
(C) an order in the related case may conflict with an order on the

same issues in the new case; or
(D) an order in the new case may conflict with an order in the earlier

litigation.
(2) Family cases include dissolution of marriage, annulment, support

unconnected with dissolution of marriage, paternity, child support, UIFSA,
custodial care of and access to children, proceedings for temporary or
concurrent custody of minor children by extended family, adoption, name
change, declaratory judgment actions related to premarital, martial, or
postmarital agreements, civil domestic, repeat violence, dating violence,
stalking, and sexual violence injunctions, juvenile dependency, termination
of parental rights, juvenile delinquency, emancipation of a minor,
CINS/FINS, truancy, and modification and enforcement of orders entered
in these cases.

(3) The notice of related cases shall identify the caption and case number
of the related case, contain a brief statement of the relationship of the
actions, and contain a statement addressing whether assignment to one
judge or another method of coordination will conserve judicial resources
and promote an efficient determination of the actions.

(4) The notice of related cases shall be filed with the initial pleading by
the filing attorney or self-represented petitioner. The notice shall be filed in
each of the related cases that are currently open and pending with the court



and served on all other parties in each of the related cases, and as may be
directed by the chief judge or designee. Parties may file joint notices. A
notice of related cases filed pursuant to this rule is not an appearance. If
any related case is confidential and exempt from public access by law, then
a Notice of Confidential Information Within Court Filing as required by
Florida Rule of General Practice and Judicial Administration 2.420 shall
accompany the notice. Parties shall file supplemental notices as related
cases become known or reasonably ascertainable.

(5) Each party has a continuing duty to inform the court of any
proceedings in this or any other state that could affect the current
proceeding.

(6) Whenever it appears to a party that two or more pending cases
present common issues of fact and that assignment to one judge or another
method of coordination will significantly promote the efficient
administration of justice, conserve judicial resources, avoid inconsistent
results, or prevent multiple court appearances by the same parties on the
same issues, the party may file a notice of related cases requesting
coordination of the litigation.
(e) Continuances. All judges shall apply a firm continuance policy.

Continuances should be few, good cause should be required, and all requests
should be heard and resolved by a judge. All motions for continuance shall be
in writing unless made at a trial and, except for good cause shown, shall be
signed by the party requesting the continuance. All motions for continuance
in priority cases shall clearly identify such priority status and explain what
effect the motion will have on the progress of the case.

COMMITTEE NOTES

The provisions in subdivision (c) of this rule governing priority cases
should be read in conjunction with the provisions of rule 2.215(g), governing
the duty to expedite priority cases.



 Pt. B. ,  Rule 2.550. 
Fla. R. Gen. Prac. & Jud. Admin. 2.550

RULE 2.550. CALENDAR CONFLICTS.
(a) Guidelines. In resolving calendar conflicts between the state courts of

Florida or between a state court and a federal court in Florida, the following
guidelines must be considered:

(1) Any case priority status established by statute, rule of procedure,
case law, or otherwise shall be evaluated to determine the effect that
resolving a calendar conflict might have on the priority case or cases.

(2) Juvenile dependency and termination of parental rights cases are
generally to be given preference over other cases, except for speedy trial
and capital cases.

(3) Criminal cases are generally to be given preference over civil cases.
(4) Jury trials are generally to be given preference over non-jury trials.
(5) Appellate arguments, hearings, and conferences are generally to be

given preference over trial court proceedings.
(6) The case in which the trial date has been first set should generally

take precedence.
(b) Additional Circumstances. Factors such as cost, numbers of witnesses

and attorneys involved, travel, length of trial, age of case, and other relevant
matters may warrant deviation from these case guidelines.

(c) Notice and Agreement; Resolution by Judges. When an attorney is
scheduled to appear in 2 courts at the same time and cannot arrange for other
counsel to represent the clients interests, the attorney shall give prompt
written notice of the conflict to opposing counsel, the clerk of each court, and
the presiding judge of each case, if known. If the presiding judge of the case
cannot be identified, written notice of the conflict shall be given to the chief
judge of the court having jurisdiction over the case, or to the chief judges
designee. The judges or their designees shall confer and undertake to avoid
the conflict by agreement among themselves. Absent agreement, conflicts
should be promptly resolved by the judges or their designees in accordance
with the above case guidelines.



COMMITTEE NOTES

1996 Adoption. The adoption of this rule was prompted by the Resolution
of the Florida State-Federal Judicial Council Regarding Calendar Conflicts
Between State and Federal Courts, which states as follows:

WHEREAS, the great volume of cases filed in the state and federal courts
of Florida creates calendar conflicts between the state and federal courts of
Florida which should be resolved in a fair, efficient and orderly manner to
allow for judicial efficiency and economy; and

WHEREAS, the Florida State-Federal Judicial Council which represents
the Bench and Bar of the State of Florida believes that it would be beneficial
to formally agree upon and publish recommended procedures and priorities
for resolving calendar conflicts between the state and federal courts of
Florida;

NOW, THEREFORE, BE IT RESOLVED
In resolving calendar conflicts between the state and federal courts of

Florida, the following case priorities should be considered:
1. Criminal cases should prevail over civil cases.
2. Jury trials should prevail over non-jury trials.
3. Appellate arguments, hearings, and conferences should prevail over

trials.
4. The case in which the trial date has been first set should take

precedence.
5. Circumstances such as cost, numbers of witnesses and attorneys

involved, travel, length of trial, age of case and other relevant matters may
warrant deviation from this policy. Such matters are encouraged to be
resolved through communication between the courts involved.

Where an attorney is scheduled to appear in two courts - trial or appellate,
state or federal - at the same time and cannot arrange for other counsel in his
or her firm or in the case to represent his or her clients interest, the attorney
shall give prompt written notice to opposing counsel, the clerk of each court,
and the presiding judge of each case, if known, of the conflict. If the
presiding judge of a case cannot be identified, written notice of the conflict



shall be given to the chief judge of the court having jurisdiction over the case,
or to his or her designee. The judges or their designees shall confer and
undertake to avoid the conflict by agreement among themselves. Absent
agreement, conflicts should be promptly resolved by the judges or their
designees in accordance with the above case priorities.

In jurisdictions where calendar conflicts arise with frequency, it is
recommended that each court involved consider appointing a calendar
conflict coordinator to assist the judges in resolving calendar conflicts by
obtaining information regarding the conflicts and performing such other
ministerial duties as directed by the judges.

REVISED AND READOPTED at Miami, Florida, this 13th day of
January, 1995.

COURT COMMENTARY

2002 Court Commentary. As provided in subdivision (c), when a
scheduling conflict involves different courts, the presiding judges should
confer and undertake to agree on a resolution, using the guidelines provided
in this rule.



 Pt. B. ,  Rule 2.555. 
Fla. R. Gen. Prac. & Jud. Admin. 2.555

RULE 2.555. INITIATION OF CRIMINAL PROCEEDINGS.
(a) Major Statutory Offense. Law enforcement officers, at the time of the

filing of a complaint with the clerk of court, shall designate whether the most
serious charge on the complaint is a felony or a misdemeanor. The state
attorney or the state attorneys designee, at the time of the filing of an
original information or an original indictment with the clerk of court, shall
designate whether the most serious offense on the information or the
indictment is a felony or misdemeanor. Complaints, original informations,
and original indictments on which the most serious charge is a felony shall be
filed with the clerk of the circuit court.

(b) Ordinance Violations. In cases when the state attorney has the
responsibility for the prosecution of county or municipal ordinance
violations, where such ordinances have state statutory equivalents, the state
attorney or the state attorneys designee shall set forth at the top of the face of
the accusatory instrument the exact statute number of the single most serious
offense charged.

(c) Information or Indictment after County Court Proceedings Begun.
When action in a criminal case has been initiated in county court, and
subsequently the state attorney files a direct information or the grand jury
indicts the defendant, the state attorney or the state attorneys designee shall
notify the clerk without delay.



 Pt. B. ,  Rule 2.560. 
Fla. R. Gen. Prac. & Jud. Admin. 2.560

RULE 2.560. APPOINTMENT OF SPOKEN LANGUAGE COURT
INTERPRETERS FOR NON-ENGLISH-SPEAKING AND
LIMITED-ENGLISH-PROFICIENT PERSONS.

(a) Criminal or Juvenile Delinquency Proceedings. In any criminal or
juvenile delinquency proceeding in which the accused, the parent or legal
guardian of the accused juvenile, the victim, or the alleged victim cannot
understand or has limited understanding of English, or cannot express himself
or herself in English sufficiently to be understood, an interpreter shall be
appointed.

(b) Other Proceedings. In all other proceedings in which a non-English-
speaking or limited-English-proficient person is a litigant, an interpreter for
the non-English-speaking or limited-English-proficient litigant shall be
appointed if the court determines that the litigants inability to comprehend
English deprives the litigant of an understanding of the court proceedings,
that a fundamental interest is at stake (such as in a civil commitment,
termination of parental rights, paternity, or dependency proceeding), and that
no alternative to the appointment of an interpreter exists.

(c) Witnesses. In any proceeding in which a non-English-speaking or
limited-English-proficient person is a witness, the appointment of an
interpreter shall be governed by the applicable provisions of the Florida
Evidence Code.

(d) Compliance with Title VI of the Civil Rights Act of 1964. In making
determinations regarding the appointment of an interpreter, the court should
ensure compliance with the requirements of Title VI of the Civil Rights Act
of 1964.

(e) Qualifications of Interpreter.
(1) Appointment of Interpreters when Certified or Other Duly

Qualified Interpreters Are Available. Whenever possible, a certified or
other duly qualified interpreter, as defined in the Rules for Certification
and Regulation of Spoken Language Court Interpreters, shall be appointed.
Preference shall be given to appointment of certified and language skilled
interpreters, then to persons holding a provisionally approved designation.



(2) Appointment of Interpreters when Certified or Other Duly
Qualified Interpreters Are Unavailable. If, after diligent search, a
certified, language skilled, or provisionally approved interpreter is not
available, the presiding judge, magistrate, or hearing officer, finding good
cause, may appoint an interpreter who is otherwise registered with the
Office of the State Courts Administrator in accordance with the Rules for
Certification and Regulation of Spoken Language Court Interpreters. No
appointment shall be made under this subdivision unless the presiding
judge, magistrate, or hearing officer makes a determination, on the record,
the proposed interpreter is competent to interpret in the proceedings.

(3) Appointment in Exceptional Circumstances. If after diligent
search no interpreter qualifying under subdivision (e)(1) or (e)(2) of this
rule is available at the time interpreter services are needed, the presiding
judge, magistrate, or hearing officer, finding good cause exists for the
appointment of an interpreter not qualifying under subdivision (e)(1) or (e)
(2), such as the prevention of burdensome delay, the request or consent of
the non-English-speaking or limited-English-proficient person, or other
unusual circumstance, may appoint an interpreter who is not certified,
language skilled, provisionally approved, or otherwise registered with the
Office of the State Courts Administrator. No appointment, including
appointment of interpreters available via remote technology, shall be made
under this subdivision unless the presiding judge, magistrate, or hearing
officer finds the proposed interpreter is competent to interpret in the
proceedings. This finding must be made on the record based, not only on
the unavailability of an interpreter otherwise qualified in a particular
language, but also on specific exigent circumstances given the demands of
the case and the interpreters sworn assertion he or she is able, either in
direct or relay/intermediary interpretation, to communicate effectively in
the languages in which interpreter services are required. An appointment
under this subdivision shall excuse an interpreter so appointed from the
registration requirements under the Rules for Certification and Regulation
of Spoken Language Court Interpreters, but only for the delivery of the
specific services for which the interpreter is appointed.

(4) On-the-Record Objections or Waivers in Criminal and Juvenile
Delinquency Proceedings. In any criminal or juvenile delinquency
proceeding in which the interpreter is not appointed under subdivision (e)



(1) of this rule, the court shall advise the accused, on the record, that the
proposed interpreter is not certified, language skilled, or provisionally
approved pursuant to the Rules for Certification and Regulation of Spoken
Language Court Interpreters. The accuseds objection to the appointment
of a proposed interpreter, or the accuseds waiver of the appointment of a
certified, language skilled, or provisionally approved interpreter, shall also
be on the record.

(5) Additional on-the-Record Findings, Objections, and Waivers
Required at Subsequent Proceedings. The appointment of an interpreter
who is not certified, language skilled, or provisionally approved in
accordance with the Rules for Certification and Regulation of Spoken
Language Court Interpreters shall be limited to a specific proceeding and
shall not be extended to subsequent proceedings in a case without
additional findings of good cause and qualification as required by
subdivisions (e)(2) and (e)(3) of this rule, and additional compliance with
the procedures for on-the-record objections or waivers provided for in
subdivision (e)(4) of this rule.
(f) Privileged Communications. Whenever a person communicates

through an interpreter to any person under circumstances that would render
the communication privileged and such person could not be compelled to
testify as to the communication, the privilege shall also apply to the
interpreter.

(g) Definitions. When used in this rule, the following terms shall have the
meanings set forth below:

(1) Limited-English-Proficient Person. A person who is unable to
communicate effectively in English because the individuals primary
language is not English and he or she has not developed fluency in the
English language. A person with limited English proficiency may have
difficulty speaking, reading, writing, or understanding English.

(2) Proceeding. Any hearing or trial, excluding an administrative
hearing or trial, presided over by a judge, general magistrate, special
magistrate, or hearing officer within the state courts.



 Pt. B. ,  Rule 2.565. 
Fla. R. Gen. Prac. & Jud. Admin. 2.565

RULE 2.565. RETENTION OF SPOKEN LANGUAGE COURT
INTERPRETERS FOR NON-ENGLISH-SPEAKING AND
LIMITED-ENGLISH-PROFICIENT PERSONS BY ATTORNEYS
OR SELF-REPRESENTED LITIGANTS.

(a) Retention of Interpreters when Certified or Other Duly Qualified
Interpreters Are Available. When an attorney or self-represented litigant
retains the services of an interpreter to assist a non-English-speaking or
limited-English-proficient litigant or witness in a court proceeding or court-
related proceeding as defined in the Rules for Certification and Regulation of
Spoken Language Court Interpreters, the attorney or self-represented litigant
shall, whenever possible, retain a certified, language skilled or provisionally
approved interpreter, as defined in the Rules for Certification and Regulation
of Spoken Language Court Interpreters. Preference shall be given to retention
of certified and language skilled interpreters, then to persons holding a
provisionally approved designation.

(b) Retention of Interpreters when Certified or Other Duly Qualified
Interpreters Are Unavailable. If, after diligent search, a certified, language
skilled, or provisionally approved interpreter is not available, an attorney or
self-represented litigant may retain an interpreter who is otherwise registered
with the Office of the State Courts Administrator in accordance with the
Rules for Certification and Regulation of Spoken Language Court
Interpreters.

(c) Retention in Exceptional Circumstances. If, after diligent search, no
interpreter qualifying under subdivision (a) or (b) of this rule is available, an
attorney or self-represented litigant, for good cause, may retain an interpreter
who is not certified, language skilled, provisionally approved, or otherwise
registered with the Office of the State Courts Administrator.

(d) Written Declaration Substantiating Good Cause. No interpreter
shall be retained under subdivision (c) unless the attorney or a self-
represented litigant states under oath or affirms in a verified writing that:

(1) a diligent search has been conducted;
(2) neither a certified, language skilled, provisionally approved



interpreter nor an interpreter otherwise registered with the Office of the
State Courts Administrator is available to interpret in person or via remote
technology; and

(3) to the best of the attorney or self-represented litigants information
and belief, the proposed interpreter is competent to interpret. In addition,
the written declaration shall include the full name, mailing address, and
telephone number of the proposed interpreter; the non-English language
interpreted; the date of the interpreted event; and nature of the interpreted
event.
(e) Filing and Retention of Written Declaration. An attorney or self-

represented litigant substantiating good cause under subdivision (d) shall
submit via e-mail, a copy of the verified written declaration with the Court
Interpreter Program Office in the Office of the State Courts Administrator. A
prescribed form and dedicated e-mail address appear on the Courts website.
The filer shall thereafter furnish a copy to the proposed interpreter, and shall:

(1) file the original declaration in any pending court action or
administrative action and serve a copy thereof on all other parties; or

(2) if no action is pending at the time interpreter services are provided,
retain the original declaration and serve a copy thereof on the non-English-
speaking or limited-English-proficient person at the time interpreter
services are provided. The declaration shall be made available to all other
parties and to any state court or administrative judge, magistrate, or
hearing officer upon request in any action later filed to which the
interpreted event is relevant. The filing with the Office of the State Courts
Administrator of a written declaration in substantial conformity with this
subdivision shall excuse the proposed interpreter from the registration
requirements under the Rules for Certification and Regulation of Spoken
Language Interpreters for the delivery of the specific interpreter services
for which certification is made.
(f) Time for Preparation, Submission, Filing, and Service. Verified

written declarations required by this rule shall be prepared, submitted to the
Office of State Courts Administrator, filed with the Clerk of Court, when
required, and served on all parties in advance of the proceedings to which
they are relevant. When compliance with this subdivision is impossible or
impracticable due to the existence of emergency or other extraordinary



circumstances, the attorney or self-represented litigant shall:
(1) comply with the preparation, submission, filing, and service

requirements of this rule as soon as is practicable following the conclusion
of the proceeding; and

(2) include in the verified written declaration a brief statement
describing the emergency or other extraordinary circumstances justifying
post-proceeding compliance.



 Pt. B. ,  Rule 2.570. 
Fla. R. Gen. Prac. & Jud. Admin. 2.570

RULE 2.570. PARENTAL-LEAVE CONTINUANCE.
(a) Generally. Absent one or more of the findings listed in subdivision (e)

of this rule, a court shall grant a timely motion for continuance based on the
parental leave of the movants lead attorney in the case, due to the birth or
adoption of a child, if the motion is made within a reasonable time after the
later of:

(1) the movants lead attorney learning of the basis for the continuance;
or

(2) the setting of the specific proceeding(s) or the scheduling of the
matter(s) for which the continuance is sought.
(b) Contents of Motion. A motion filed under this rule shall be in writing

and signed by the requesting party. The motion must state all of the
following:

(1) The attorney who is the subject of the motion is the movants lead
attorney.

(2) The facts necessary to establish that the motion is timely.
(3) The scope and length of the continuance requested.
(4) Whether another party objects to the motion.
(5) Any other information that the movant considers relevant to the

courts consideration of the motion.
(c) Presumptive Length. Three months is the presumptive maximum

length of a parental-leave continuance absent a showing of good cause that a
longer time is appropriate.

(d) Burden of Proof. If the motion is challenged by another party that
makes a prima facie demonstration of substantial prejudice, the burden shall
shift to the movant to demonstrate that the prejudice to the requesting party
caused by the denial of the motion exceeds the prejudice that would be
caused to the objecting party if the requested continuance were granted.

(e) Courts Discretion; Order. It is within the courts sound discretion to



deny the motion or to grant a continuance different in scope or duration than
requested, if the court finds that:

(1) another party would be substantially prejudiced by the requested
continuance; or

(2) the requested continuance would unreasonably delay an emergency
or time-sensitive proceeding or matter.
The court shall enter a written order setting forth its ruling on the motion

and the specific grounds for the ruling.
(f) Criminal, Juvenile, and Involuntary Civil Commitment of Sexually

Violent Predators Cases. In a case governed by the Florida Rules of
Criminal Procedure, by the Florida Rules of Juvenile Procedure, or by the
Florida Rules of Civil Procedure for Involuntary Commitment of Sexually
Violent Predators, a motion for continuance based on the parental leave of the
lead attorney is governed by rule 2.545(e) and by any applicable Florida Rule
of Criminal Procedure, Florida Rule of Juvenile Procedure, or Florida Rule of
Civil Procedure for Involuntary Commitment of Sexually Violent Predators,
rather than by this rule, except that in a case governed by Part III of the
Florida Rules of Juvenile Procedure, a motion for continuance based on the
parental leave of the lead attorney is governed by Florida Rule of Juvenile
Procedure 8.240(d).



 Pt. B. ,  Rule 2.580. 
Fla. R. Gen. Prac. & Jud. Admin. 2.580

RULE 2.580. STANDARD JURY INSTRUCTIONS.
(a) Use; Modification. The standard jury instructions appearing on The

Florida Bars website may be used by trial judges in instructing the jury in
every trial to the extent that the instructions are applicable, unless the trial
judge determines that an applicable standard jury instruction is erroneous or
inadequate, in which event the judge shall modify the standard instruction or
give such other instruction as the trial judge determines to be necessary to
instruct the jury accurately and sufficiently on the circumstances of the case.
If the trial judge modifies a standard jury instruction or gives another
instruction, upon timely objection to the instruction, the trial judge shall state
on the record or in a separate order the respect in which the judge finds the
standard instruction erroneous or inadequate or confusing and the legal basis
for varying from the standard instruction. Similarly, in all circumstances in
which the comments or notes on use accompanying the standard jury
instructions contain a recommendation that a certain type of instruction not
be given, the trial judge may follow the recommendation unless the judge
determines that the giving of such an instruction is necessary to instruct the
jury accurately and sufficiently, in which event the judge shall give such
instruction as the judge deems appropriate and necessary. If the trial judge
does not follow such a recommendation, upon timely objection to the
instruction, the trial judge shall state on the record or in a separate order the
legal basis of the determination that the instruction is necessary.

(b) Referral to Committee. The party requesting and receiving a modified
instruction shall send a copy of the modified instruction to the appropriate
committee on standard jury instructions under rule 2.270, unless the
modification is only technical or nonsubstantive in nature, so that the
committee can consider the modification to determine whether the standard
instruction should be amended.

(c) No Supreme Court Approval or Presumption of Correctness. The
standard jury instructions approved for publication and use under rule 2.270
are not approved or otherwise specifically authorized for use by the supreme
court. The approval of a standard jury instruction under that rule shall not be
construed as an adjudicative determination on the legal correctness of the



instruction. Standard instructions authorized for use by the supreme court
prior to the adoption of rule 2.270 shall be treated the same as and given no
more deference than instructions approved for use under that rule.



 Pt. B. ,  FORM 2.601. 
Fla. R. Gen. Prac. & Jud. Admin. Form 2.601

FORM 2.601. REQUEST TO BE EXCUSED FROM E-MAIL SERVICE
BY A PARTY NOT REPRESENTED BY AN ATTORNEY.

(CAPTION)
    

REQUEST TO BE EXCUSED FROM E-MAIL SERVICE FOR A PARTY
NOT REPRESENTED BY AN ATTORNEY

. . . . .(name). . . . . requests to be excused pursuant to Fla. R. Gen. Prac. &
Jud. Admin. 2.516(b)(1)(D) from the requirements of e-mail service because
I am not represented by an attorney and:

 I do not have an e-mail account.
 I do not have regular access to the internet.

By choosing not to receive documents by e-mail service, I understand that
I will receive all copies of notices, orders, judgments, motions, pleadings, or
other written communications by delivery or mail at the following address: . .
. . .(address). . . . . .

I understand that I must keep the clerks office and the opposing party or
parties notified of my current mailing address.

Pursuant to section 92.525, Florida Statutes, under penalties of perjury, I
declare that I have read the foregoing request and that the facts stated in it are
true.

CLERKS DETERMINATION

Based on the information provided in this request, I have determined that
the applicant is  excused or  not excused from the e-mail service
requirements of Fla. R. Gen. Prac. & Jud. Admin. 2.516(b)(1)(C).



Dated: . . . . . . . . . .
Signature of the Clerk of Court:

___________________________________

CERTIFICATE OF SERVICE

I certify that a copy hereof has been furnished to the clerk of court for . . . .
. . County and . . . . .(insert name(s) and address(es) of parties used for
service). . . . . by . . . . .(delivery) (mail). . . . . on . . . . .(date). . . . . .

A PERSON WHO IS NOT EXCUSED MAY SEEK REVIEW BY A
JUDGE BY REQUESTING A HEARING TIME.
Sign here if you want the Judge to review the clerks determination that

you are not excused from the e-mail service requirements. You do not waive
or give up any right to judicial review of the clerks determination by not
signing this part of the form:

Dated: . . . . . . . . . .
Signature: _____________________________
Print Name: _____________________________



 Pt. B. ,  FORM 2.602. 
Fla. R. Gen. Prac. & Jud. Admin. Form 2.602

FORM 2.602. DESIGNATION OF E-MAIL ADDRESS BY A PARTY
NOT REPRESENTED BY AN ATTORNEY.

(CAPTION)
    

DESIGNATION OF E-MAIL ADDRESS FOR A PARTY NOT
REPRESENTED BY AN ATTORNEY

Pursuant to Fla. R. Gen. Prac. & Jud. Admin. 2.516(b)(1)(C), I, . . . . . .
(name). . . . ., designate the e-mail address(es) below for electronic service of
all documents related to this case.

By completing this form, I am authorizing the court, clerk of court, and all
parties to send copies of notices, orders, judgments, motions, pleadings, or
other written communications to me by e-mail or through the Florida Courts
E-filing Portal.

I understand that I must keep the clerks office and the opposing party or
parties notified of my current e-mail address(es) and that all copies of notices,
orders, judgments, motions, pleadings, or other written communications in
this case will be served at the e-mail address(es) on record at the clerks
office.

. . . . .(designated e-mail address). . . .

. . . . .(secondary designated e-mail address(es) (if any)). . . . .
    

CERTIFICATE OF SERVICE

I certify that a copy hereof has been furnished to the clerk of court for . . . .
. . County and . . . . .(insert name(s) and address(es) of parties used for
service). . . . . by . . . . .(e-mail) (delivery) (mail). . . . . on . . . . .(date). . . . . .






 Pt. B. ,  FORM 2.603. 
Fla. R. Gen. Prac. & Jud. Admin. Form 2.603

FORM 2.603. CHANGE OF MAILING ADDRESS OR DESIGNATED
E-MAIL ADDRESS.

(CAPTION)
    

NOTICE OF CHANGE OF MAILING ADDRESS OR DESIGNATED E-
MAIL ADDRESS

I, __________________ certify that my . . . . .(mailing address or
designated
e-mail address). . . . . has changed to _____________________________
_____________________________.

I understand that I must keep the clerks office and any opposing party or
parties notified of my current mailing address or e-mail address. I will file a
written notice with the clerk if my mailing address or e-mail address changes
again.

    

CERTIFICATE OF SERVICE

I certify that a copy hereof has been furnished to the clerk of court for . . . .
. . County and . . . . .(insert name(s) and address(es) of parties used for
service). . . . . by . . . . .(e-mail) (delivery) (mail). . . . . on . . . . .(date). . . . . .



APPENDIX 
STATE OF FLORIDA 
JUDICIAL BRANCH 

RECORDS RETENTION SCHEDULE 
FOR ADMINISTRATIVE RECORDS.

GENERAL APPLICATION.
This record retention schedule does not impose a duty to create

records contained in the schedule. The purpose of the schedule is to
authorize destruction of records after the retention period has elapsed.
The records custodian may retain records longer than required by the
schedule. This schedule authorizes destruction of records unless
otherwise provided by court rule.

The retention period should be calculated from the time that the
record is completed. For purposes of calculating the retention period,
fiscal records should be considered completed at the end of a fiscal year.
All retention periods are subject to the caveat provided that applicable
audits have been released.

The records custodian of the judicial branch entity that creates a
record creates the record copy and is responsible for its retention in
accordance with this schedule. The records custodian of the judicial
branch entity that properly receives a record from outside the judicial
branch has the record copy and is responsible for its retention in
accordance with this schedule. Duplicates are only required to be
retained until obsolete, superseded or administrative value is lost.

Record Series means a group of related documents arranged under
a single filing arrangement or kept together as a unit because they
consist of the same form, relate to the same subject, result from the same
activity, or have certain common characteristics.

ACQUISITION RECORDS: LIBRARY. This record series consists of
information on the acquisition of library materials including: books,
periodicals, filmstrips, software, compact discs, video/audio tapes, and other
non-print media. This information may include the accession date and
method, the publisher and cost, the date entered into the collection, dates



removed from collection, and method of final disposal.
RETENTION: Retain for life of material.

ADMINISTRATIVE CONVENIENCE RECORDS. This record series
consists of a subject file, generally filed alphabetically, which is located away
from the official files, such as in the Directors and other supervisory offices.
The file contains DUPLICATES of correspondence, reports, publications,
memoranda, etc., and is used as a working file or reference file on subjects
which are currently significant or which may become significant in the near
future. The material filed in this series is NOT the official file or record copy
but is maintained for the convenience of the officials in carrying out their
elected or appointed duties.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

ADMINISTRATIVE RECORDS: PUBLIC OFFICIALS/COURT
ADMINISTRATORS. This record series consists of office files documenting
the substantive actions of elected or appointed officials and the court
administrator. These records constitute the official record of a judicial branch
entitys performance of its functions and formulation of policy and program
initiative. This series will include various types of records such as
correspondence; memoranda; statements prepared for delivery at meetings,
conventions or other public functions that are designed to advertise and
promote programs, activities and policies of the judicial branch entity;
interviews; and reports concerning development and implementation of
activities of the judicial branch entity. These records may have archival
value.

RETENTION: 10 years.

ADMINISTRATIVE SUPPORT RECORDS. This record series consists of
records accumulated relative to internal administrative activities rather than
the functions for which the office exists. Normally, these records document
procedures; the expenditure of funds, including budget material; day-to-day
management of office personnel including training and travel; supplies, office
services and equipment requests and receipts and other recorded experiences
that do not serve as official documentation of the programs of the office.



However, because the content of these records vary so greatly in content and
value (containing some duplicates and record copies), a relatively large
proportion of them are of continuing value and may be subject to the audit
process. Note: Reference a more applicable records series first if one exists.
These records may have archival value.

RETENTION: 2 years.

ADVERTISEMENTS: LEGAL. This record series consists of advertisements
which have appeared in newspapers or in the Administrative Weekly on
matters pertaining to the judicial branch entity and other legal ads which may
or may not indirectly affect the judicial branch entity; i.e., bid invitations for
construction jobs, public hearings or notices, public sales. See also BID
RECORDS: CAPITAL IMPROVEMENT SUCCESSFUL BID, BID
RECORDS: CAPITAL IMPROVEMENT UNSUCCESSFUL BIDS and
BID RECORDS: NON-CAPITAL IMPROVEMENT.

RETENTION: 5 years.

AFFIRMATIVE ACTION RECORDS. This record series consists of copies
of reports submitted to the Equal Employment Opportunity Commission
(EEOC) per their requirements for the judicial branch entitys affirmative
action plan. It may also include discrimination complaints, correspondence
and investigative papers pertaining to the judicial branch entitys affirmative
action plan. See also EQUAL EMPLOYMENT OPPORTUNITY
COMPLIANCE RECORDS.

RETENTION: 2 years.

APPLICATIONS: GUARDIAN AD LITEM, MEDIATION, OTHERS. This
record series consists of applications, supporting documents, correspondence
and reports relating to the application of a person to be certified as a
mediator, a program to be approved to offer training for mediators, a
volunteer to be approved by the Guardian ad Litem Program, or other persons
or programs regulated in the judicial branch.

RETENTION: 5 years after the person or program is no longer regulated
by the judicial branch.

APPLICATIONS: LIBRARY CARDS. This record series consists of library



card applications which must be renewed on an annual, bi-annual, or other
basis. The application may include the patrons name, address, telephone
number, date of birth, as well as a statement of liability for the care and
timely return of all materials checked out or utilized by the patron.

RETENTION: Retain for 30 days after expiration.

APPRAISALS: LAND PURCHASES (NOT PURCHASED). This record
series consists of documents pertaining to land not purchased by a judicial
branch entity and all supporting documents. See also APPRAISALS: LAND
PURCHASES (PURCHASED).

RETENTION: 3 years.

APPRAISALS: LAND PURCHASES (PURCHASED). This record series
consists of documents pertaining to land purchased by a judicial branch entity
and all supporting documents. See also APPRAISALS: LAND
PURCHASES (NOT PURCHASED).

RETENTION: Retain as long as judicial branch entity retains property.

ARCHITECTURAL PLANS/SPECIFICATIONS: PRELIMINARY
DRAWINGS. This record series consists of those graphic and engineering
preliminary drawing records that depict conceptual as well as precise
measured information essential for the planning and construction of facilities.

RETENTION: Retain until completion and acceptance.

ATTENDANCE AND LEAVE RECORDS. This record series consists of
requests or applications for vacation, sick, family medical leave (FMLA) and
other types of leave including leave of absences, timesheets or timecards
along with any required documentation (medical statements or excuses from
a physician, jury duty summons, or military orders, etc.) submitted by an
employee to document authorized absences.

RETENTION: 3 years.

AUDITS: INDEPENDENT. This record series consists of a report issued by
an independent auditor to establish the position of the judicial branch entity
being audited against its standard of performance. See also, AUDITS:
INTERNAL, AUDITS: STATE/FEDERAL and AUDITS:



SUPPORTING DOCUMENTS.
RETENTION: 10 years.

AUDITS: INTERNAL. This record series consists of a report issued by an
internal auditor to establish the position of a judicial branch entity being
audited against its standard of performance. See also, AUDITS:
INDEPENDENT, AUDITS: STATE/FEDERAL and AUDITS:
SUPPORTING DOCUMENTS.

RETENTION: 3 years.

AUDITS: STATE/FEDERAL. This record series consists of a report issued
by a federal or state auditor to establish the position of a judicial branch entity
being audited against its standard of performance. See also, AUDITS:
INDEPENDENT, AUDITS: INTERNAL and AUDITS: SUPPORTING
DOCUMENTS. These records may have archival value.

RETENTION: 10 years.

AUDITS: SUPPORTING DOCUMENTS. This record series consists of the
documentation and supporting documents used to develop the audit report
with all bills, accounts, records and transactions. See also AUDITS:
INDEPENDENT, AUDITS: INTERNAL and AUDITS:
STATE/FEDERAL.

RETENTION: 3 years.

BACKGROUND/Security Checks. This record series consists of
background/security checks for potential new hires and promotions. These
checks may include a background and drivers license screening, reference
check, and verification of academic standing. The files might include notices
of not being hired based on the outcome of a security check and a opportunity
for rebuttal. Supporting documentation consists of fingerprint cards, copy of
the drivers license, copy of the transcript release form, returned form
reference letters, and other necessary information.

RETENTION: 4 anniversary years.

BANK ACCOUNT AUTHORIZATION RECORDS. This record series
consists of an authorization to maintain a bank account and who is authorized



to sign off on the account.
RETENTION: 1 year after superseded by new authorization.

BAR APPLICANTS: ADMITTED. This record series consists of bar
applications, supporting documents, all investigative materials, of
administrative value, correspondence, reports, and similar materials
accumulated during the bar admissions process regarding bar applicants who
were subsequently admitted to The Florida Bar.

RETENTION: Bar application and fingerprint card, 5 years;
          all other materials, 1 year.

BAR APPLICANTS: NOT ADMITTED (WITH NO
RECOMMENDATION). This record series consists of bar applications,
supporting documents, all investigative materials of administrative value,
correspondence, reports, and similar materials accumulated during the bar
admissions process regarding bar applicants who have not been admitted to
The Florida Bar and who have not received an unfavorable recommendation
by the Florida Board of Bar Examiners.

RETENTION: 20 years or the death of the applicant, whichever is earlier.

BAR APPLICANTS: NOT ADMITTED (WITH UNFAVORABLE
RECOMMENDATION). This record series consists of bar applications,
supporting documents, all investigative materials of administrative value,
correspondence, reports, and similar materials accumulated during the bar
admissions process regarding bar applicants who have not been admitted to
The Florida Bar and who have received an unfavorable recommendation by
the Florida Board of Bar Examiners by either a negotiated consent judgment
or the issuance of findings of fact and conclusions of law.

RETENTION: 40 years or the death of the applicant, whichever is earlier.

BAR EXAMINATION/ANSWERS. This record series consists of answers to
essay questions and answer sheets to machine-scored questions submitted by
bar applicants during the bar examination administered by the Florida Board
of Bar Examiners.

RETENTION: Until the conclusion of the administration of the next



successive general bar examination.

BAR EXAMINATION/FLORIDA PREPARED PORTION. This record
series consists of the portion of the bar examination prepared by the Florida
Board of Bar Examiners.

RETENTION: 10 years from the date of the administration of the
examination.

BID RECORDS: CAPITAL IMPROVEMENT SUCCESSFUL BIDS. This
record series consists of information relative to the processing and letting of
capital improvement successful bids including legal advertisements,
Requests for Proposal, technical specifications, correspondence,
Invitations to Bid, bid tabulations and bid responses. Capital
Improvements shall mean enhancement to buildings, fixtures and all other
improvements to land. See also BID RECORDS: CAPITAL
IMPROVEMENT UNSUCCESSFUL BIDS and BID RECORDS: NON-
CAPITAL IMPROVEMENT.

RETENTION: 10 years.

BID RECORDS: CAPITAL IMPROVEMENT UNSUCCESSFUL BIDS.
This record series consists of information relative to the processing and
letting of capital improvement unsuccessful bids including legal
advertisements, Requests for Proposal, technical specifications,
correspondence, Invitations to Bid, bid tabulations and bid responses.
Capital Improvements shall mean enhancement to buildings, fixtures and
all other improvements to land. See also BID RECORDS: CAPITAL
IMPROVEMENT SUCCESSFUL BIDS and BID RECORDS: NON-
CAPITAL IMPROVEMENT.

RETENTION: 5 years.

BID RECORDS: NON-CAPITAL IMPROVEMENT. This record series
consists of information relative to the processing and letting of successful and
unsuccessful noncapital improvement bids including legal advertisements,
Requests for Proposal, technical specifications, correspondence,
Invitations to Bid, bid tabulations and bid responses. See also BID
RECORDS: CAPITAL IMPROVEMENT SUCCESSFUL BIDS and BID



RECORDS: CAPITAL IMPROVEMENT UNSUCCESSFUL BIDS.
RETENTION: 5 years.

BIOGRAPHICAL FILES. This record series consists of vitas, biographies,
photographs and newspaper clippings of employees.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

BUDGET RECORDS: APPROVED ANNUAL BUDGET. This record series
consists of the approved annual budget and its amendments. See also
BUDGET RECORDS: SUPPORTING DOCUMENTS These records
may have archival value.

RETENTION: Permanent.

BUDGET RECORDS: SUPPORTING DOCUMENTS. This record series
consists of any supporting documentation supporting budget matters and is
filed chronologically. See also BUDGET RECORDS: APPROVED
ANNUAL BUDGET.

RETENTION: 3 years.

BUILDING PLANS. This record series consists of graphic and engineering
records that depict conceptual as well as precise measured information
essential for the planning and construction of buildings. See also
ARCHITECTURAL PLANS/SPECIFICATIONS: PRELIMINARY
DRAWINGS.

RETENTION: Retain for life of structure.

CALENDARS. This record series consists of a calendar showing official
daily appointments and meetings.

RETENTION: 1 year.

CASE RELATED RECORDS NOT IN THE CUSTODY OF THE CLERK
AND /OR NOT IN CASE FILE. This record series includes records that are
related to a trial court records as defined in Rule 2.420, Florida Rules of
Judicial Administration, because they are not filed with the clerk of court and



are not included in the court file. These records include, but are not limited
to, drug court evaluation and progress reports, mediation reports, deferred
prosecution and diversion records, and arbitration reports. Case-related trial
court documents may be destroyed or disposed of after a judgment has
become final in record accordance with the following schedule:

RETENTION:
(A) 60 days- Parking tickets and noncriminal traffic infractions after

required audits have been completed.
(B) 2 years- Proceedings under the Small Claims Rules, Medical

Mediation Proceedings.
(C) 5 years- Misdemeanor actions, criminal traffic violations,

ordinance violations, civil litigation proceedings in county court other
than those under the Small Claims Rules, and civil proceedings in circuit
court except marriage dissolutions and adoptions.

(D) 10 years- Probate, guardianship, and mental health proceedings.
(E) 10 years- Felony cases in which no information or indictment was

filed or in which all charges were dismissed, or in which the state
announced a nolle prosequi, or in which the defendant was adjudicated
not guilty.

(F) 75 years- juvenile proceedings containing an order permanently
depriving a parent of custody of a child, and adoptions and all felony
cases not previously destroyed.

(G) Juvenile proceedings not otherwise provided for in this
subdivision shall be kept for 5 years after the last entry or until the child
reaches the age of majority, whichever is later.

(H) Marriage dissolutions- 10 years from the last record activity. The
court may authorize destruction of court records not involving alimony,
support, or custody of children 5 years from the last record activity.

CERTIFICATION FORWARD DOCUMENTS. This record series consists
of lists of encumbrances to be applied against certified forward money which
is money brought forward from the previous fiscal year for goods and
services which were not received until the current fiscal year. See also



ENCUMBRANCE RECORDS.
RETENTION: 3 years.

CHILD SUPPORT/ALIMONY DISBURSEMENT RECORDS: DETAIL.
This series consists of records documenting disbursement of child support or
alimony. The series includes, but is not limited to, check registers, check
stubs, cancelled checks, cancelled warrants, disbursement ledgers, transaction
journals, vendor invoice, refund records and other accounts payable related
documentation.

RETENTION: 5 fiscal years.

CHILD SUPPORT/ALIMONY DISBURSEMENT RECORDS:
SUMMARY. This series consists of records providing summary or aggregate
documentation of expenditures or transfers moneys for child support or
alimony. The series may include, but is not limited to, trail balance reports,
check logs and registers, summary reports, summary journal transactions and
other accounts payable summary related documentation.

RETENTION: 10 fiscal years.

CHILD SUPPORT/ALIMONY RECEIPT/REVENUE RECORDS: DETAIL.
This series consists of records documenting specific receipts/revenues
collected for child support or alimony. The series may include, but is not
limited to, cash receipts, receipt books, deposit receipts, bank validated
deposit slips, depository ledger reports filed with Clerk of Court, transaction
journals, refund records, bad check records and other accounts receivable
related documentation.

RETENTION: 5 fiscal years.

CHILD SUPPORT/ALIMONY RECEIPT/REVENUE RECORDS:
SUMMARY. This series consists of records providing summary or aggregate
documentation of receipts/revenues collected for child support or alimony.
The series may include, but is not limited to, monthly statements of bank
accounts, trial balance reports, bank statements, credit and debit card reports,
collection balance sheets and other receivable summary related
documentation.



RETENTION: 10 fiscal years.

COMPLAINTS: CITIZENS/CONSUMERS/EMPLOYEES. This record
series consists of individual complaints received from citizens, consumers or
employees. This file may include the name, address, date of complaint,
telephone number, the complaint to whom referred and date, action taken and
signature of person taking the action.

RETENTION: 1 year.

CONTINUING EDUCATION RECORDS. This record series consists of
continuing education records, including records of judicial education.

RETENTION: 2 years.

CONTRACTS/LEASES/AGREEMENTS: CAPITAL
IMPROVEMENT/REAL PROPERTY. This record series consists of legal
documents, correspondence, reports, etc., relating to the negotiation,
fulfillment and termination of capital improvement or real property contracts,
leases or agreements to which the agency is a party, including contracts,
leases or agreements with architects, engineers, builders, and construction
companies. Capital Improvements shall mean improvements to real
property (land, buildings, including appurtenances, fixtures and fixed
equipment, structures, etc.), that add to the value and extend the useful life of
the property, including construction of new structures, replacement or
rehabilitation of existing structures (e.g., major repairs such as roof
replacement), or removal of closed structures. Real Property means land,
buildings, and fixtures. The terms land, real estate, realty and real
property may be used interchangeably. See also CONTRACTS/ LEASES/
AGREEMENTS: NON-CAPITAL IMPROVEMENT.

RETENTION: 10 fiscal years after completion or termination of
contract/lease/agreement.

CONTRACTS/LEASES/AGREEMENTS: NON-CAPITAL
IMPROVEMENT. This record series consists of legal documents,
correspondence, reports, etc., relating to the negotiation, fulfillment and
termination of non-capital improvement contracts, leases or agreements to
which the agency is a party. In addition, it includes the various contracts,



leases or agreements entered into for the purchase of goods and services such
as the purchase of gas, fuel oil and annual purchases of inventory-maintained
items. See also CONTRACTS/LEASES/AGREEMENTS: CAPITAL
IMPROVEMENT/REAL PROPERTY.

RETENTION: 5 fiscal years after completion or termination of
contract/lease/agreement.

CORRESPONDENCE & MEMORANDA: ADMINISTRATIVE. This
record series consists of routine correspondence and memoranda of a general
nature that is associated with administrative practices but that does not create
policy or procedure, document the business of a particular program, or act as
a receipt. See also INFORMATION REQUEST RECORDS. These
records may have archival value.

RETENTION: 3 years.

CORRESPONDENCE & MEMORANDA: PROGRAM AND POLICY
DEVELOPMENT. This record series consists of correspondence and
memoranda of any nature that is associated with a specific program or the
development of policy and procedure. These records may have archival
value.

RETENTION: 5 years.

COURT REGISTRY. This record series consists of records, ledgers and
journals showing amounts paid into the Court Registry, held by the Court,
and paid out by the Court.

RETENTION: Permanent.

COURT REPORTS. This record series consists of court reports, including
SRS, jury management, witness management, uniform case reporting system
records, and other statistical court reports.

RETENTION: 3 years.

DEEDS: PROPERTY. This record series consists of property deeds. Series
may include appraisals, surveys, and other supporting documents.

RETENTION: Retain as long as property is retained.



DELAYED BIRTH (APPLICATION/CERTIFICATE/AFFIDAVITS, ETC.)
This record series consists of an application signed by a judge for a birth
(other than in a hospital usually). This record is filed with the County Court
pursuant to Section 382.0195(4)(a), Florida Statutes. Once signed, the
application becomes an order. The record copy is sent to Vital Statistics.

RETENTION: Permanent.

DIRECTIVES/POLICIES/PROCEDURES. This record series consists of the
official management statements of policy for the organization, supporting
documents, and the operating procedures which outline the methods for
accomplishing the functions and activities assigned to the judicial branch
entity. It includes all memoranda and correspondence generated relating to
the policies and procedures which are to be followed by employees. See also
CORRESPONDENCE & MEMORANDA: PROGRAM AND POLICY
DEVELOPMENT. These records may have archival value.

RETENTION: 2 years.

DISASTER PREPAREDNESS DRILLS. This record series consists of the
results of disaster preparedness exercises and the supporting documents
including scenarios, location of safety related drills, time tables, response
times, probable outcomes, areas of difficulties, descriptions of how
difficulties were resolved, and areas for improvement. Types of drills include:
fire, tornado, safety, hurricane and SARA chemical spills. See also
DIRECTIVES/POLICIES/PROCEDURES and DISASTER
PREPAREDNESS PLANS.

RETENTION: 3 years.

DISASTER PREPAREDNESS PLANS. This record series consists of
disaster preparedness and recovery plans adopted by a judicial branch entity.
See also DIRECTIVE/POLICIES/PROCEDURES.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

DISBURSEMENT RECORDS: DETAIL. This series consists of records
documenting specific expenditures or transfers of agency moneys for the
procurement of commodities and services and other purposes. The series may



include, but is not limited to, procurement records such as requisitions,
requisition logs, purchase orders, contracts, purchasing card (p-card) receipts,
vendor invoices, receiving reports, acceptances of contract deliverables,
approvals, and related documentation; and expenditure records for
disbursements made through checks, warrants, electronic fund transfers
(EFT), purchasing cards, or other methods, such as payment vouchers,
approvals, check registers, cancelled checks, check stubs, cancelled warrants,
disbursement ledgers, journal transactions, expenditure detail reports, refund
records and other accounts payable and related documentation. Retention is
based on s. 95.11(2), F.S., Statute of Limitations on contracts, obligations, or
liabilities. See also DISBURSEMENT RECORDS: SUMMARY,
PURCHASING RECORDS, and TRAVEL RECORDS.

RETENTION: 5 fiscal years.

DISBURSEMENT RECORDS: SUMMARY. This series consists of records
providing summary or aggregate documentation of expenditures or transfers
of agency moneys for the procurement of commodities and services and other
purposes. The series may include, but is not limited to, summary records such
as trial balance reports, check logs and registers, summary expenditure
reports, federal grant final closeout reports, summary journal transactions,
and other accounts payable summary and related documentation. See also
DISBURSEMENT RECORDS: DETAIL.

RETENTION: 10 fiscal years.

DISCIPLINARY CASE FILES. This record series consists of both sustained
formal or informal disciplinary cases investigated that allege employee
misconduct or violations of department regulations and orders, and
state/federal statutes. It includes statements by the employee, witnesses, and
the person filing the complaint. Formal discipline is defined as disciplinary
action involving demotion, removal from office, suspension, or other similar
action. Informal discipline is defined as any disciplinary action involving
written and verbal reprimands, memoranda, or other similar action. This
record series also can consist of formal and informal disciplinary cases that
were determined as not sustained, unfounded, or exonerated charges. See also
PERSONNEL RECORDS.

RETENTION: 5 years.



DRAFTS AND WORKING PAPERS. This record series consists of
documents, correspondence, reports, memos, and other materials in
preliminary or developmental form before their iteration as a final product.
Drafts may include copies of materials circulated for review for grammar,
spelling, and content. Working papers may include notes and miscellaneous
documents and materials used in compiling and assembling the final product.
Note that some draft documents and working papers may have long-term
value; such documents may even have archival or historical value. Such
records might be better placed under the record series Administrator
Records: Public Officials/Court Administrators.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

DRUG TEST RECORDS. This record series consists of the positive or
negative results of a drug test under the Drug Free Workplace Act or as
required for CDL or other drivers under US DOT regulations as well as
records related to canceled tests. This series might include documents
generated in decisions to administer reasonable suspicion or post-accident
testing, or in verifying the existence of a medical explanation of the inability
of the driver to provide adequate breath or to provide a urine specimen for
testing. In addition, the case file could include: the employers copy of an
alcohol test form, including the results of the test; a copy of the controlled
substances test chain of custody control form; documents sent by the Medical
Review Officer (MRO) to the employer; notice to report for testing; affidavit
signed by the employee stating any prescription drugs or over the counter
medication currently taken; and final clearance to resume working. This
record series can also consist of documentation, including memorandum and
correspondence, related to an employees refusal to take or submit samples
for an alcohol and/or controlled substances test(s).

RETENTION: 5 years.

ELECTRONIC FUNDS TRANSFER RECORDS. This record series consists
of documentation necessary to establish and maintain the electronic transfer
of funds from one financial institution to another. The documentation may
include, but is not limited to: an agreement between the two parties; a form
which lists both institutions names, their routing numbers, the name of the



account holder, and the accounts authorizing signature; a canceled deposit
slip or check; and the paperwork for the termination of service or transfer of
service to a new institution. This series does not include the paperwork on a
specific individual deposit or payment.

RETENTION: 5 fiscal years.

ELECTRONIC RECORDS SOFTWARE. This record series consists of
proprietary and non-proprietary software as well as related documentation
that provides information about the content, structure and technical
specifications of computer systems necessary for retrieving information
retained in machine-readable format. These records may be necessary to an
audit process.

RETENTION: Retain as long as there are software dependent records.

EMPLOYEE PRE-COUNSELING RECORDS. This record series consists of
material and supporting documentation which provide documentation of
initial contact with an employee regarding incidents which may or may not
lead to disciplinary action. This series is not considered in and of itself a part
of the employee discipline record.

RETENTION: 1 year.

EMPLOYMENT EXAMINATION RECORDS. This record series consists
of test plans, announcements, grades, grading scales, keyed exams, test
monitors list of candidates, any research toward the development of the tests,
and any other selection or screening criteria. See PERSONNEL RECORDS
and RECRUITMENT & SELECTION PACKAGES.

RETENTION: 4 anniversary years.

ENCUMBRANCE RECORDS. This record series consists of documents and
reports which document funds that have been encumbered. See also
CERTIFICATION FORWARD DOCUMENTS.

RETENTION: 3 years.

ENDOWMENTS, BEQUESTS AND TRUST FUND RECORDS. This
record series consists of creating, establishing or contributing to endowments,
bequests and trust fund records. These records may have archival value.



RETENTION: Permanent.

ENVIRONMENTAL REGULATION RECORDS. This record series
consists of permits, reviews, supporting documents and correspondence
resulting from environmental regulation requirements.

RETENTION: 5 years.

EQUAL EMPLOYMENT OPPORTUNITY COMPLIANCE RECORDS.
This record series consists of EEO-5 and supporting documents, reviews,
background papers and correspondence relating to employment papers and
correspondence relating to employment statistics (race, sex, age, etc.). See
also AFFIRMATIVE ACTION RECORDS.

RETENTION: 4 anniversary years after final action.

EQUIPMENT/VEHICLE MAINTENANCE RECORDS. This record series
documents service, maintenance, and repairs to agency equipment and
vehicles, including program changes to electronic equipment. The series may
include, but is not limited to, work orders and documentation of dates/history
of repairs, locations, cost of parts, hours worked, etc. Records for all agency
vehicles, including ground, air, and water vehicles, are covered by this series.
See also VEHICLE RECORDS.

RETENTION: 1 fiscal year after disposition of equipment.

EQUIPMENT/VEHICLE USAGE RECORDS. This record series documents
use of agency equipment and vehicles, including, but not limited to, vehicle
logs indicating driver, destination, fuel/service stops, and odometer readings
and/or total trip mileage; equipment usage logs and/or reports; and other
usage documentation. See also VEHICLE RECORDS.

RETENTION:
a) Record copy. 1 calendar year.
b) Duplicates. Retain until obsolete, superseded, or administrative value is

lost.

EXPENDITURE PLANS: CAPITAL. This record series consists of capital
improvement expenditure plans.



RETENTION: Permanent.

FACILITY RESERVATION/Rental records. This record series consists of
forms generated in the process of renting or scheduling a public meeting hall
or room, conference site, to a citizen or family, private organization, or other
public agency. These forms include, but are not limited to, name of renter,
renters address and telephone number, method of payment, acknowledgment
of rules, liability, damage waivers, and the date and time of the rental as well
as what facility or portion of a facility is to be reserved. These forms may
contain a check number, corresponding receipt number, an amount as well as
deposit information. There may also be a floor plan denoting the desired
arrangement of tables or chairs as requested by the renter.

RETENTION: 5 fiscal years.

FEASIBILITY STUDY RECORDS. This record series consists of working
papers, correspondence, consulting firm reports and management committee
reports investigating various projects of the judicial branch entity.

RETENTION: 3 years.

FEDERAL AND STATE TAX FORMS/REPORTS. This record series
consists of W-2 Forms, W-4 Forms, W-9 Forms, 940 Forms, 941-E Forms,
1099 Forms, 1099 Reports and UTC-6 Forms. The retention period
mentioned below for the record (master) copy was established pursuant to
Section 26 CFR 31.6001-1(2).

RETENTION: 4 calendar years.

GENERAL LEDGERS: ANNUAL SUMMARY. This record series consists
of ledgers containing accounts to which debits and credits are posted from
supporting documents of original entry. It includes all permanent ledger
entries.

RETENTION: Permanent.

GRAND JURY NOTES. This record series consists of stenographic records,
notes, and transcriptions made by the court reporter or stenographer during
the grand jury session. These records are normally kept in a sealed container
and are not subject to public inspection pursuant to Section 905.17(1), Florida



Statutes. A Court order must be obtained for disposition.
RETENTION: 10 years from closing of session.

GRAND JURY RECORDS. This record series consists of jury summons,
requests for recusal, juror payments, information to jurors employers, lists of
jurors, juror questionnaires, and other records related to a grand jury. This
record series includes records related to a grand jury and the statewide grand
jury.

RETENTION: 2 years.

GRANT FILES. This record series consists of financial, management and
any other related material which is generated subsequent to application for or
expenditure of grant funds. These files include all applications, supporting
documentation, contracts, agreements, and routine reports. Check with
applicable grant agency for any additional requirements. Project completion
has not occurred until all reporting requirements are satisfied and final
payments have been received. See also PROJECT FILES: FEDERAL, and
PROJECT FILES: NONCAPITAL IMPROVEMENT. These records
may have archival value.

RETENTION: 5 fiscal years after completion of project.

GRIEVANCE FILES (EMPLOYMENT). This record series consists of
records of all proceedings in the settlement of disputes between employer and
employee. See also PERSONNEL RECORDS.

RETENTION: 3 years.

HEALTH RECORDS: BLOOD BORNE
PATHOGEN/ASBESTOS/EXPOSURE. This record series consists of
medical records of employees who may have or did come into contact with
blood or other potentially hazardous materials. These confidential records
include the employees name, social security number, hepatitis B vaccination
status including the dates of testing, results of examinations, medical testing,
and follow up procedures, a copy of the healthcare professionals written
opinion, a list of complaints which may be related to the exposure, and a
copy of information provided to the healthcare professional. This record
series can also consist of documents which record the exposure or possible



exposure of an employee to a blood borne pathogen, contagion, radiation and
chemicals above the acceptable limits or dosage. These documents may
include statistical analyses, incident reports, material safety data sheets,
copies of medical records or reports, risk management assessments, and other
necessary data to support the possibility of exposure. Please refer to 20 CFR
1910.1030.

RETENTION: 30 years after termination, retirement, or separation from
employment.

INCIDENT REPORTS. This record series consists of reports of incidents
which occur at a public facility or on publicly owned property. It may include
alarm malfunctions, suspicious persons, maintenance problems, or any other
circumstance that should be noted for future reference or follow up.

RETENTION: 4 years.

INFORMATION REQUEST RECORDS. This record series consists of
correspondence accumulated in answering inquiries from the public. See also
CORRESPONDENCE & MEMORANDA: ADMINISTRATIVE.

RETENTION: 1 year.

INSPECTION RECORDS: FIRE/SECURITY/SAFETY. This record series
consists of inspection reports for fire, security, and safety.

RETENTION: 4 years.

INSPECTION REPORTS: FIRE EXTINGUISHER (ANNUAL). This
records series consists of annual fire extinguisher inspection reports.

RETENTION: 1 anniversary year or life of equipment, whichever is
sooner.

INSURANCE RECORDS. This record series consists of all policies, claim
filing information, correspondence and claims applications made by an
agency, premium payment records which includes fire, theft, liability,
medical, life, etc. on agencys property or employees. The record series also
consists of a list of any insurance carriers and the premium payment amounts
paid to them.



RETENTION: 5 years after final disposition of claim or expiration of
policy.

INVENTORY RECORDS: PHYSICAL. This record series consists of all
information regarding the physical inventory of all Operating Capital Outlay
(O.C.O.) items which require an identification number and tag. Included in
these reports are items sold through the auctions process as well as the Fixed
Inventory Report showing all property owned by the judicial branch entity.
See also SUPPLY RECORDS.

RETENTION: 3 years.

JQC  JUDICIAL FINANCIAL DISCLOSURE FORMS. This record
consists of all financial disclosure forms filed by the judiciary with the
Judicial Qualifications Commission.

RETENTION: 10 years.

JQC  JUDICIAL COMPLAINTS. This record consists of individual
complaints received from citizens, judges, or lawyers against members of the
judiciary.

RETENTION: 3 years if complaint summarily dismissed. For the lifetime
of the judge against whom the complaint has been filed in all other cases.

JUROR NOTES. Juror notes shall consist of any written notes taken by jurors
during civil or criminal trials.

RETENTION: Immediate destruction upon issuance of a verdict or if the
trial ends prematurely as a result of a mistrial, plea, or settlement.

JURY RECORDS. This record series consists of jury summons, requests for
recusal, juror payments, information to jurors employers, lists of jurors, juror
questionnaires, and other records related to the jury pool. This record series
includes records related to petit juries.

RETENTION: 2 years.

KEY AND BADGE ISSUANCE RECORDS. This record series consists of
the key control system which includes receipts for keys and security or
identification badges issued by employees. See also VISITOR LOGS.



RETENTION: Retain as long as employee is employed.

LAW OFFICE MANAGEMENT ASSISTANCE SERVICE RECORDS.
This record series consists of all materials in connection with consultations or
advice given in the course of office management assistance services provided
to an attorney, legal office, or law firm.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

LEAVE TRANSACTION REPORTS. This record series consists of the
printed record generated through COPES of the total hours used and the
accrual earned during a pay period. It also consists of the leave balances of
vacation, sick and compensatory leave for all employees in the agency.

RETENTION: 3 years.

LEGISLATION RECORDS. This record series consists of proposed
legislation for the Florida Legislature and all supporting documentation,
analysis or tracking information. These records may have archival value.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

LIBRARY CIRCULATION RECORDS. This record series consists of the
transactions devised to make library materials and equipment available to the
entire library clientele. Also, includes delinquent records and charges, copies
of incoming and outgoing interlibrary loan requests for books, magazine
articles, microfilms, renewals and subject searches.

RETENTION: 3 years.

LITIGATION CASE FILES. This record series consists of legal documents,
notes, reports, background material, etc. created in the preparation of
handling legal disputes involving a judicial branch entity. See also,
OPINIONS: LEGAL (ATTORNEY), and OPINIONS: LEGAL
(SUPPORTING DOCUMENTS).

RETENTION: 5 years after case closed or appeal process expired.

MAIL: UNDELIVERABLE FIRST CLASS. This record series consists of



mail from any judicial branch entity, returned due to an incorrect address or
postage. See also MAILING LISTS and POSTAGE RECORDS.

RETENTION: 1 year.

MAILING LISTS. This record series consists of mailing lists. See also
MAIL: UNDELIVERABLE FIRST CLASS and POSTAGE RECORDS.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

MANAGEMENT SURVEYS/STUDIES: INTERNAL. This record series
consists of the raw data and work papers for any survey conducted to study
management issues such as client/patron/employee satisfaction and service
improvement. This data may include survey response cards, the results of
telephone polls, tally sheets, opinion cards for suggestion boxes, and other
records related to the study of internal operations. This does not include a
consultant report. The final computation of the data is produced as a survey
report and may be scheduled either as part of a feasibility study, project case
file, or an operational/statistical report - depending on the nature and depth of
the survey/study.

RETENTION: 1 year after final data or report released.

MATERIALS SAFETY RECORDS. This record series consists of a list of
toxic substances to which an employee is, has been or may be exposed to
during the course of their employment with an employer who manufacturers,
produces, uses, applies or stores toxic substances in the work place.

RETENTION: 30 years.

MEMORANDA - LEGAL: Courts decision-making. This record series
consists of memoranda, drafts or other documents involved in a courts
judicial decision-making process.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

MINUTES: OFFICIAL MEETINGS. This record series consists of the
minutes of meetings convened to establish policy or precedent and includes
meetings of the Board of Governors of The Florida Bar and The Florida



Board of Bar Examiners, and court administrative conferences. See also
MINUTES: OTHER MEETINGS and MINUTES: OFFICIAL
MEETINGS (AUDIO/VISUAL RECORDINGS). These records may
have archival value.

RETENTION: Permanent.

MINUTES: OFFICIAL MEETINGS (AUDIO/VISUAL RECORDINGS).
This record series consists of official audio and video recordings of meetings.
See also, MINUTES: OTHER MEETINGS.

RETENTION: Until minutes are prepared.

MINUTES: OFFICIAL MEETINGS (SUPPORTING DOCUMENTS). This
record series consists of the agenda and supporting documents for official
meetings. See also MINUTES: OTHER MEETINGS and MINUTES:
OFFICIAL MEETINGS (AUDIO/VISUAL RECORDINGS).

RETENTION: 3 years.

MINUTES: OTHER MEETINGS. This record series consists of minutes
from all meetings which are not included in MINUTES: OFFICIAL
MEETINGS.

RETENTION: 1 year.

MONTHLY DISTRIBUTION OF FINES. This record series consists of
monthly reports, prepared by the clerk, of all fines imposed under the penal
laws of the state and the proceeds of all forfeited bail bonds or recognizance
which are paid into the fine and forfeiture fund. The report contains the
amount of fines imposed by the court and of bonds forfeited and judgments
rendered on said forfeited bonds, and into whose hands they had been paid or
placed for collection, the date of conviction in each case, the term of
imprisonment, and the name of the officer to whom commitment was
delivered.

RETENTION: 3 fiscal years.

NEWS RELEASES. This record series consists of news releases distributed
by the judicial branch entity and news releases received from other offices for
informational purposes. See also PUBLIC INFORMATION CASE FILES,



and PRE-PUBLICATIONS AND MEDIA ITEM RECORDS. These
records may have archival value.

RETENTION: 90 days.

OPERATIONAL AND STATISTICAL REPORT RECORDS: OFFICE. This
record series consists of daily, weekly, monthly, biannual, and annual
narrative and statistical reports of office operations made within and between
judicial branch entities. Also included in this series are activity reports
demonstrating the productivity of an employee or the work tasks completed
for a period of time (hourly/daily/weekly).

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

OPINIONS: ETHICS. This record series consists of advisory ethical opinions
issued by the appropriate committee in response to an inquiry from a
regulated person or entity. These records may have archival value.

RETENTION: Permanent.

OPINIONS: ETHICS (SUPPORTING DOCUMENTS). This record series
consists of supporting documents relating to advisory ethical opinions.

RETENTION: 3 years.

OPINIONS: LEGAL (ATTORNEY). This record series consists of written
opinions of lasting significance establishing policy or precedent answering
legal questions involving questions of interpretation of Florida or federal law.
This does not include memoranda, drafts or other documents involved in a
courts judicial decision-making process. See also CORRESPONDENCE &
MEMORANDA: PROGRAM AND POLICY DEVELOPMENT,
LITIGATION CASE FILES, MEMORANDA  LEGAL and
OPINIONS: LEGAL (SUPPORTING DOCUMENTS). These records
may have archival value.

RETENTION: Permanent.

OPINIONS: LEGAL (SUPPORTING DOCUMENTS). This record series
consists of the supporting documentation to the opinions that answer legal
questions involving questions of interpretation of Florida or Federal law. See



also LITIGATION CASE FILES and OPINIONS: LEGAL
(ATTORNEY).

RETENTION: 3 years.

ORDERS: ADMINISTRATIVE. This record series consists of administrative
orders as defined in Rule of Judicial Administration 2.020(c).

RETENTION: Permanent.

ORGANIZATION CHARTS. This record series consists of organizational
charts that show lines of authority and responsibility within and between
judicial branch entities. See also
DIRECTIVES/POLICIES/PROCEDURES.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

OTHERWISE UNCATEGORIZED RECORDS. This record series consists
of all records which are not otherwise specified in this schedule.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

PARKING DECAL/PERMIT RECORDS. This record series consists of
parking applications for automobile and motor bike decals for employees.
See also VEHICLE RECORDS.

RETENTION: 2 years.

PAYROLL RECORDS. This record series consists of the following: a form
used by staff to rectify errors in payroll processing including: wrong name,
incorrect deductions or salary, inaccurate tax information, or other problems;
forms authorizing direct deductions for insurance, union dues, credit unions,
savings bonds, charitable contributions, deferred compensation, day care,
etc.; any payroll record posted to the employees applicable retirement plan,
in any format (plus indices, if applicable), which are used to document
payment for retirement or other purposes during an employees duration of
employment and also lists each rate(s) of pay changes.

RETENTION: 4 years.



PAYROLL RECORDS: REGISTERS (POSTED). This record series consists
of records posted to the employees retirement plan, in any format (plus
indexes, if applicable), which are used to document payment for retirement or
other purposes during an employees duration of employment and also lists
each rate of pay. Please note that the information in this record series should
be posted to an applicable retirement plan. See also other PAYROLL
RECORDS and SOCIAL SECURITY CONTROLLED SUMMARY
RECORDS.

RETENTION: 4 years.

PERSONNEL RECORDS. This record series consists of an application for
employment, resume, personnel action reports, directly related
correspondence, oath of loyalty, fingerprints, medical examination reports,
performance evaluation reports, workers compensation reports, and other
related materials. See also EMPLOYMENT EXAMINATION RECORDS,
DISCIPLINARY CASE FILES, and other PERSONNEL RECORDS.

RETENTION: 25 years after separation or termination of employment.

PERSONNEL RECORDS: LOCATOR. This record series consists of a log
or card of where to locate personnel including name of individual, location to
be found, date, address, emergency contact and other general information.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

PERSONNEL RECORDS: OPS/TEMPORARY EMPLOYMENT. This
record series consists of all information relating to each O.P.S. or temporary
employee within each judicial branch entity. Also, records may include an
employment application, resume, personnel action forms and any
correspondence relating to that individual. Temporary employment may
include personnel from a local employment agency. See also
EMPLOYMENT EXAMINATION RECORDS, DISCIPLINARY CASE
FILES, and other PERSONNEL RECORDS.

RETENTION: 3 years.

PETTY CASH DOCUMENTATION RECORDS. This record series consists
of receipts, bills and monthly balances indicating amount needed for



replenishing this revolving account.
RETENTION: 3 years.

POSITION DESCRIPTION RECORDS. This record series consists of
specifically assigned duties and responsibilities for a particular position,
including percentage breakdown of duties.

RETENTION: 2 years after superseded.

POSTAGE RECORDS. This record series consists of a detailed listing
showing the amount of postage used, date, unused balance and purpose. See
also MAILING LISTS and MAIL: UNDELIVERABLE FIRST CLASS.

RETENTION: 3 years.

PRE-PUBLICATIONS AND MEDIA ITEM RECORDS. This record series
consists of records used to generate publications such as catalogs, pamphlets
and leaflets and other media items including rough, blue lined, and final
copies. See also NEWS RELEASES and PUBLIC INFORMATION
CASE FILES.

RETENTION: Retain until receipt of final copy.

PROCLAMATIONS/RESOLUTIONS. This record series consists of an
expression of a governing body or public official concerning administrative
matters, an expression of a temporary character or a provision for the
disposition of a particular item of the administrative business of a governing
body or judicial branch entity. See also,
DIRECTIVES/POLICIES/PROCEDURES. These records may have
archival value.

RETENTION: Permanent.

PROCLAMATIONS/RESOLUTIONS: SUPPORTING DOCUMENTS. This
record series consists of documents that were used to prepare a proclamation
or resolution. See also PROCLAMATIONS/RESOLUTIONS and
DIRECTIVES/POLICIES/PROCEDURES.

RETENTION: 3 years.



PROGRAM/SUBJECT/REFERENCE FILES. This record series may contain
correspondence, reports, memoranda, studies, articles, etc. regarding topics of
interest to or addressed by a judicial branch entity. See also,
ADMINISTRATIVE RECORDS: PUBLIC OFFICIALS/COURT
ADMINISTRATORS.

RETENTION: Retain until obsolete, superseded, or administrative value
is lost.

PROJECT FILES: CAPITAL IMPROVEMENT. This record series consists
of correspondence or memoranda, drawings, resolutions, narratives, budget
revisions, survey information, change orders, computer runs and reports all
pertaining to capital improvement projects, construction and contract
specifications for various proposed projects sent out for bid. See also
PROJECT FILES: FEDERAL, and PROJECT FILES: NON-CAPITAL
IMPROVEMENT.

RETENTION: 10 years.

PROJECT FILES: FEDERAL. This record series consists of original
approved project contracts, agreements, awards, and line-item budgets,
budget amendments, cash requests, correspondence and audit reports. See
also GRANT FILES and PROJECT FILES: CAPITAL
IMPROVEMENT.

RETENTION: 5 years.

PROJECT FILES: NON-CAPITAL IMPROVEMENT. This record series
consists of correspondence or memoranda, drawings, resolutions, narratives,
budget revisions, survey information, change orders, computer runs and
reports all pertaining to projects in progress, construction and contract
specifications for various proposed projects sent out for bid. See also
GRANT FILES, PROJECT FILES: CAPITAL IMPROVEMENT, and
PROJECT FILES: FEDERAL.

RETENTION: 5 years.

PROPERTY TRANSFER FORMS. This record series consists of all capital
and non-capital property transfer forms to declare surplus or transfer to
another unit of local or state government. This series does not include real



property transfers.
RETENTION: 1 year.

PUBLIC INFORMATION CASE FILES. This record series consists of
speeches and drafts, contact prints, negatives, enlargements from negatives
and transparencies created as illustrations in publications or as visual displays
of activities of the judicial branch entity. See also NEWS RELEASES, and
PRE-PUBLICATIONS AND MEDIA ITEM RECORDS. These records
may have archival value.

RETENTION: 90 days.

PUBLIC PROGRAM/EVENT RECORDS: CONTRACTED. This record
series consists of case files of events or programs which are available to the
public or segments of the public. Files may include copies of contracts or
agreements, participant or performer information, program details and
arrangements, photo or video tapes. See also PUBLIC PROGRAM/EVENT
RECORDS: NON-CONTRACTED.

RETENTION: 5 years.

PUBLIC PROGRAM/EVENT RECORDS: NON-CONTRACTED. This
record series consists of case files of events or programs which are available
to the public or segments of the public. Files may include, copies of contracts
or agreements, participant or performer information, program details and
arrangements, photo or video tapes. See also PUBLIC PROGRAM/EVENT
RECORDS: CONTRACTED.

RETENTION: 3 years.

PURCHASING RECORDS. This record series consists of a copy of the
purchase order which is retained by the originating office while another is
sent by the purchasing office to the appropriate vendor for action. The series
may include, but is not limited to, copies of requisitions sent by the
originating office to supply, purchasing, graphics, duplicating, or other
sections for action; copies of receiving reports; and a log of outstanding and
paid requisitions and purchase orders used for cross-referencing purposes.
See also DISBURSEMENT RECORDS: DETAIL.



RETENTION: 5 fiscal years.

RECEIPT/REVENUE RECORDS: DETAIL. This series consists of records
documenting specific receipts/revenues collected by an agency through cash,
checks, electronic fund transfers (EFT), credit and debit cards, or other
methods. The series may include, but is not limited to, records such as cash
collection records and reports, cash receipt books, cash register tapes,
deposit/transfer slips, EFT notices, credit and debit card records, receipt
ledgers, receipt journal transactions and vouchers, refund records, bad check
records, and other accounts receivable and related documentation. Retention
is based on s. 95.11(2), F.S., Statute of Limitations on contracts, obligations,
or liabilities. See also RECEIPT/REVENUE RECORDS: SUMMARY.

RETENTION: 5 fiscal years provided applicable audits have been
released.

RECEIPT/REVENUE RECORDS: SUMMARY. This series consists of
records providing summary or aggregate documentation of receipts/revenues
collected by an agency. The series may include, but is not limited to, records
such as trial balance reports, bank statements, credit and debit card reports,
revenue reconciliations, collection balance sheets, and other accounts
receivable summary and related documentation. See also
RECEIPT/REVENUE RECORDS: DETAIL.

RETENTION: 10 fiscal years provided applicable audits have been
released.

RECEIPTS: REGISTERED AND CERTIFIED MAIL. This record series
consists of receipts for registered and certified mail sent out or received by a
particular judicial branch entity. See also MAIL: UNDELIVERABLE
FIRST CLASS, and POSTAGE RECORDS.

RETENTION: 1 year.

RECRUITMENT & SELECTION PACKAGES. This record series consists
of all records which document the selection process and justify the selection
process and justify the selection decision including: details of the job analysis
and identification of the knowledge, skills and abilities necessary to perform
the job; application forms and/or resumes for employment including



demographic data of applicants including but not limited to race, sex, age and
veteran status; list of all applicants name and ratings or rankings (if
applicable) for each selection technique; description of the selection process;
selection techniques used, including samples, supplemental applications, etc.;
the current position description; the names and titles of all persons
administering the selection process or participating in making selection
decisions; the job opportunity announcement and any other recruitment
efforts; and other information that affects the selection decisions. See also
EMPLOYMENT EXAMINATION RECORDS.

RETENTION: 4 anniversary years after personnel action and any
litigation is resolved.

SALARY COMPARISON REPORTS. This record series consists of a report
which is distributed and provided for reference purposes only. This data is
compiled from records located in the Personnel Office.

RETENTION: 1 year.

SALARY SCHEDULES. This record series consists of a pay grade
comparison chart or log indicating the salary classification for each position.

RETENTION: 10 years.

SEARCH COMMITTEE RECORDS. This record series consists of minutes,
reports, vitas, resumes, interview score sheets, interview results, list of
priority hires, a personnel requisition, references of applicants and the
affirmative action compliance report.

RETENTION: 180 days.

SEARCH WARRANTS SERVED: NO ARREST/NO CASE FILED. This
record series consists of the original affidavit for search warrant, search
warrant and return of the search warrant. Series may also include property
inventory and receipt, if any property was obtained. After execution of the
warrant it is filed with the Clerk of Court as served with no arrest having
been made. Since no court case is generated, these are kept as a separate
record series.

RETENTION: 1 year after date of return.



SOCIAL SECURITY CONTROLLED SUMMARY RECORDS. This record
series consists of a judicial branch entitys copy of the States FICA report
mailed to the Division of Retirement. Report lists the total taxable wages plus
the amount withheld from employee wages plus employers contribution. See
also PAYROLL RECORDS.

RETENTION: 4 calendar years after due date of tax.

STATE AUTOMATED MANAGEMENT ACCOUNTING SYSTEM
(SAMAS) REPORTS. This record series consists of reports of all updated
transactions entered into the system and a financial statement for each month
for all divisions of judicial branch entities.

RETENTION: 3 years.

STATE AWARDS AND RECOGNITION FILES. This record series consists
of data relating to the State Meritorious Service Awards Program. File
contains employee suggestion forms (Form DMS/EPE.AWP01), evaluations,
adoption forms and payment records. It also contains Superior
Accomplishment nomination forms and payment records. Summary
information submitted to the Department of Management Services for Annual
Workforce Report (Form DMS/EPE.AWP02) is also contained in this record
series.

RETENTION: 3 years.

SUPPLY RECORDS. This record series consists of documentation of a
perpetual inventory of expendable supplies located in a central supply office
for use by judicial branch entity employees. Included in this series is a listing
of all available supplies which is distributed periodically or upon request. See
also INVENTORY RECORDS: PHYSICAL.

RETENTION: 3 years.

SURVEILLANCE VIDEO TAPES. This record series consists of
surveillance video tapes created to monitor activities occurring both within
and outside of public buildings. This tape may play an integral part in
prosecution or disciplinary actions.

RETENTION: 30 days, then erase and reuse provided any necessary



images are saved.

TELEPHONE CALL RECORDS: LONG DISTANCE. This record series
consists of documentation and logs of separately billed long distance
telephone service.

RETENTION: 1 year.

TRAINING MATERIAL RECORDS. This record series consists of materials
used in training, such as films, slides, commentaries, manuals, workbooks
and other related items. This records series does not include individual
training records.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

TRAINING RECORDS: EMPLOYEE. This record series consists of a record
for each employee which may include all educational and training records of
the employee. See also PERSONNEL RECORDS.

RETENTION: 3 years.

TRANSITORY MESSAGES. This record series consists of those records
that are created primarily for the communication of information, as opposed
to communications designed for the perpetuation of knowledge. Transitory
messages do not set policy, establish guidelines or procedures, certify a
transaction, or become a receipt. The informal tone of transitory messages
might be compared to the communication that might take place during a
telephone conversation or a conversation in an office hallway. Transitory
messages would include, but would not be limited to: E-mail messages with
short-lived, or no administrative value, voice mail, self-sticking notes, and
telephone messages.

RETENTION: Retain until obsolete, superseded or administrative value is
lost.

TRAVEL RECORDS. This record series consists of records required to
support reimbursement of expenses incurred during official travel.

RETENTION: 5 fiscal years.



UNCLAIMED PROPERTY RECORDS. This record series consists of forms
required by the State Comptrollers Office for the registration of abandoned
tangible or intangible property. These forms are required under Chapter 717
of the Florida Statutes. The judicial branch entity holding the unclaimed
property is to maintain a list of the specific type of property, amount, name,
and last known address of the owner.

RETENTION: 5 years after the property becomes reportable.

UNEMPLOYMENT COMPENSATION RECORDS. This record series
consists of reports submitted to the State on a quarterly basis stating the name
of each employee, employee number, amount of wages paid during quarter
subject to unemployment benefits, social security number, number of weeks
covered and other pertinent information which is retained by the State for
determination of unemployment benefits due to applicants for same. Also
includes, receipts and statements of charges.

RETENTION: 5 fiscal years.

VEHICLE ACCIDENT REPORTS. This record series consists of reports of
employees that are involved in accidents in a judicial branch entity vehicle or
in their own vehicle during the course of official business. See also
VEHICLE RECORDS.

RETENTION: 4 anniversary years.

VEHICLE RECORDS. This record series consists of all pertinent records
pertaining to each vehicle owned by the judicial branch entity. The records
usually consist of the vehicle registration papers, copy of the title, inspection
information, maintenance agreements, credit card information, confidential
tag issuance information and any other information relating to the vehicle.
See also VEHICLE ACCIDENT REPORTS.

RETENTION: 1 year after disposition of vehicle.

VENDOR FILES. This record series consists of vendor invoices for items
purchased or leased, received and paid for.

RETENTION: 3 years.

VISITOR LOGS. This record series consists of records documenting



employees and visitors entrance into a judicial branch entitys building
during and after office hours. See also KEY AND BADGE ISSUANCE
RECORDS.

RETENTION: 30 days.

WIRE AND ORAL COMMUNICATIONS: APPLICATIONS, ORDERS
AND AUDIO RECORDINGS. This record series consists of applications for
an order authorizing the interception of a wire or oral communications and
orders granted pursuant to Chapter 934, Florida Statutes. Also included are
original recordings of the contents of any wire or oral communication made
pursuant to Section 934.09, Florida Statutes. They shall not be destroyed
except upon an order of the issuing or denying judge, or that judges
successor in office, and in any event shall be kept for ten (10) years.

RETENTION: 10 years (upon permission of the Court).

WITNESS SUBPOENAS/LISTS. This record series consists of subpoena
lists that may be used to establish witness payments.

RETENTION: 3 years.

WORK ORDERS. This record series consists of information reflecting the
individual history of major or minor maintenance or services requiring a
work order request. Work order includes dates, locations, cost of labor, hours
worked, equipment cost per hour, material used and cost, and other pertinent
details. This item does not include equipment maintenance records. See also
EQUIPMENT/VEHICLE MAINTENANCE RECORDS.

RETENTION: 3 years.

WORK SCHEDULES. This record series consists of any scheduling
documentation for shift or part time employees. These records may include
hours scheduled to work, the switching of hours with another employee, the
location or route of work assignment, and anticipated starting and ending
times.

RETENTION: 1 year.

WORKERS COMPENSATION RECORDS. This record series consists of
the first report of injury and the employers supplemental reports including, if



used, OSHA Form No. 200 as well as its predecessor forms No. 100 and 102
and OSHA Form No. 101. These records are created pursuant to Florida
Statutes Section 440.09 and OSHA standards 1904.2, 1904.4, and 1904.5.

RETENTION: 5 years.



Index to Florida Rules of General Practice and Judicial
Administration

________

A

ACCESSIBILITY OF INFORMATION AND TECHNOLOGY, 2.526.
Electronically filed documents, 2.525(g).
ADMINISTRATIVE JUDGE, 2.215(b)(5).
ADMINISTRATIVE ORDERS.
Advisory Committee, 2.140(h).
Chief trial judge to enter, 2.215(b)(2).
Costs for municipal ordinance violations, schedule, 2.265(b).
Court reporters fee, setting, 2.535(e).
Court reporting, 2.535(h)(3).
Defined, 2.120(c).
Electronic reporting, for use, 2.535(h)(4).
Indexed and recorded by clerk, 2.215(e)(3).
Local court rule, construed as, 2.215(e)(2).
Recordation, 2.215(e)(3).
Venue, change of, procedures governing media, 2.260(f).
ADMINISTRATIVE RECORDS, RETENTION.
Definitions, 2.440(a).
Requirements, 2.440(b).
Schedule for retention of administrative records, Appx.
AFFIDAVITS.
Electronic filing of court documents, 2.520(a).
ALTERNATIVE DISPUTE RESOLUTION, CASES SUBJECT TO,



2.545(b)(4).
AMENDMENTS TO RULES, PROCEDURE FOR.
Committees.

Appointment, 2.140(a)(3).
Coordination of rules, 2.140(a)(7).
Duties, 2.140(a)(5).
Members, 2.140(a)(4).
Report of proposed changes, 2.140(b)(4).
Rules coordinating committee, 2.140(a)(6).

Effective date of amendments, 2.140(b)(7).
Expedited proposals, 2.140(e).
Generally, 2.140(a).
Local rules, not applicable to, 2.140(h).
Notice.

Amendments, 2.140(b)(2), 2.140(d)(g).
Rejected proposals, 2.140(c).

Oral argument on proposals, 2.140(b)(5).
Own motion of court, 2.140(d).
Proposals.

Report of proposed changes as needed, 2.140(b).
Public comment on proposals, 2.140(a)(6), 2.140(b)(2), 2.140(b)(6).
Referral to Rules of General Practice and Judicial Administration

Committee, 2.140(a)(5), 2.140(g)(2).
Rejected proposals, 2.140(c).
Suggestions.

Submission, 2.140(a)(2).
Who may make, 2.140(a)(1).

Supreme Court.
Adoption without referral or proposal from rules committees, 2.140(g)(1).
Request by, 2.140(f).



No action recommendation, 2.140(f)(2).
Recommended rule changes, 2.140(f)(1).

Voting by board of governors to accept or reject amendments, 2.140(b)
(3).

APPELLATE RULES, PRIORITY OF, 2.130.
ATTIRE.
Judges robes.

Restrictions, 2.340.
ATTORNEYS.
Agent of client, as, 2.505(h).
Appearance, 2.505(e).
Attorney of record, 2.505(i).
Certificate of attorney.

Effect of filing or serving by electronic transmission, 2.515(c)(2).
Signature constituting, 2.515(a)(4).

Certified legal interns.
Participation, 2.505(j).

Electronic filing.
Administrative duties, 2.525(f)(2).
Attorney credentials used to file document, 2.525(b).
Certificate of attorney, 2.515.
Exceptions to requirement for attorneys excused from e-mail service,

2.525(d)(3).
Generally.

See ELECTRONIC FILING OF DOCUMENTS.
Employee of court, practice by, 2.505(b).
Foreign.

Eligibility, 2.510(a).
Generally, 2.505(a).
Verified motion.



Contents, 2.510(b).
Filing, 2.510(a).

Generally, 2.505(a).
Interns.

Certified legal interns.
Participation, 2.505(j).

Interpreters, retention, 2.565.
Judges office staff not to practice, 2.505(b).
Law student participation, 2.505(j).
Limited appearance.

Notice of limited appearance, 2.505(e)(5).
Termination, 2.505(f)(5).

Neglect of duty, 2.215(h).
Parties not represented by, 2.515(b), 2.515(c).
Pleadings.

See PLEADINGS.
Post-judgment appearance.

Termination, 2.505(f)(4).
Practice by attorney employed by court, 2.505(b).
Record, attorney of, 2.505(i).
Service on attorneys.

E-mail service.
Exceptions, 2.516(b)(1)(B), 2.525(d)(3).
Generally, 2.516(b)(1).

Method other than e-mail, 2.516(b)(2).
Signature, 2.515(a), 2.515(c).
Stand-in counsel, 2.505(g).

Appearance as stand-in counsel, 2.505(e)(6).
Stipulations, 2.505(d).



Substitution, 2.505(e)(3), 2.505(e)(4), 2.505(f)(2).
Judges, disqualification.

Appearance of substitute or additional counsel to create grounds for
disqualification, 2.330.

Surety, not allowed to be, 2.505(c).
Television coverage of conferences with client, co-counsel, or judge

prohibited, 2.450(g).
Termination of appearance, 2.505(f).
Withdrawal, 2.505(f)(1).



B

BRIEFS.
Electronic filing.

Required, 2.520(a).



C

CALENDAR CONFLICTS, 2.550.
CAPITAL CASES.
Assignment of judge in, 2.215(b)(4), 2.215(b)(10).
Court reporting services in, 2.535(i).
Minimum qualifications for judge presiding over, 2.215(b)(10).
Monitoring by chief judge, 2.215(b)(7).
Priority, 2.550(a)(2).
Status conferences, 2.215(i).
CASE MANAGEMENT, 2.545.
CERTIFIED LEGAL INTERNS.
Participation, 2.505(j).
CHANGE OF ADDRESS.
Email address.

Change of designated address, 2.603.
Mailing address, 2.603.
CHIEF JUDGE.
District courts.

See DISTRICT COURTS OF APPEAL.
Judges generally.

See JUDGES.
CHIEF JUSTICE.
See SUPREME COURT.
CHRISTMAS.
Time computation.

Definition of legal holiday, 2.514(a)(6).
CIRCUIT COURT.



Administration, 2.215.
Chief judge.

See JUDGES.
Clerk.

See CLERK.
Redefining judicial circuits as part of determining need for additional

judges, 2.240, 2.241.
Rules.

See LOCAL COURT RULES.
Trial courts generally.

See TRIAL COURT.
CITATION OF RULES, 2.110.
CLERK.
District courts of appeal.

Appointment, 2.210(b)(1).
Duties, 2.210(b)(2)(b)(5).

Neglect of duty, 2.215(h).
Reports to Supreme Court by, 2.245(a).
Service of process, pleadings, etc, 2.516(g).
Supreme court.

Appointment, 2.205(b)(1).
Duties, 2.205(b)(2)(b)(5), 2.215(e)(1)(F).
Office, 2.205(b)(1).

COMMUNICATION TECHNOLOGY, USE, 2.530.
COMPENSATION, JUDICIAL, 2.244.
CONFERENCE OF JUDGES.
Circuit court judges, 2.220(b).
Cooperation and coordination with each other and with state courts

administrator, 2.220(d).



County court judges, 2.220(a).
District court of appeal judges, 2.220(c).
CONFIDENTIALITY.
Court reporting.

Safeguarding confidential communications when electronic recording
equipment used in courtroom, 2.535(h)(5).

Public access to judicial branch records.
Definition of confidential, 2.420(b).
Determining confidentiality.

Criminal cases, trial court records, 2.420(f).
Noncriminal cases, appellate court records, 2.420(g).
Noncriminal cases, trial court records, 2.420(e).
Oral motions to determine, 2.420(h).
Procedures of clerk and filer, 2.420(d).
Victims of crime.

Marsys Law crime information within court filing, 2.423.
Notice of confidential crime victim information within court filing,

2.423 Appx A.
List of confidential and exempt records, 2.420(c).
Procedure to obtain access to confidential records, 2.420(j).
Sanctions for violation of rule, 2.420(i).
Service on victims and affected non-parties with confidential addresses,

2.420(k).
Victims of crime.

Marsys Law crime information within court filing, 2.423.
Notice of confidential crime victim information within court filing,

2.423 Appx A.
Supreme court.

Certain proceedings confidential, 2.205(f).
CONTINUANCES, 2.545(e).



Parental leave continuances, 2.570.
CONTINUING JUDICIAL EDUCATION.
Capital cases, 2.215(b)(10).
General requirements, 2.320.
COSTS AND FEES.
Change of venue proceedings, 2.260(c)(e).
County courts, in, 2.265(b).
Court reporters fees, 2.535(b), 2.535(e).
Filing fees.

District courts of appeal, in, 2.210(b)(3).
Electronic transmission, 2.525(f)(2).
Supreme court, in, 2.205(b)(4).

Judicial disciplinary proceedings, 2.310(c).
Reporter, 2.535(e).
Substituted attorneys fee, 2.505(e)(3).
COUNTY COURT.
Clerks generally.

See CLERK.
Costs and fees.

See COSTS AND FEES.
COURT RECORDS.
Electronic filing of documents.

See ELECTRONIC FILING OF DOCUMENTS.
Minimization of filing sensitive information, 2.425.
Possession, 2.410.
Removal, 2.410.
Retention.

Court reporters notes, 2.430(e).
Definitions, 2.420(b)(1), 2.430(a), 2.440(a)(2)(A).



Disposition other than destruction, 2.430(g).
Exhibits, 2.430(f).
Expunction, 2.430(i).
Jury notes, 2.430(k).
Permanently recorded records, 2.430(b), 2.430(d).
Records not permanently recorded, 2.430(c).
Release of records, 2.430(h).
Sealed records, 2.430(j).

Victims of crime.
Confidentiality.

Marsys Law crime information within court filing, 2.423.
Notice of confidential crime victim information within court filing,

2.423 Appx A.
COURT REPORTERS.
Definitions, 2.535(a).
Fees, 2.535(b), 2.535(e).
Neglect of duty, 2.215(h).
Officer of court, as, 2.535(g).
Record, omissions from, 2.535(c).
Retention of notes, 2.430(e).
When required, 2.535(b).
COURT REPORTING.
Administrative order for, 2.535(h)(3).
Approved transcriptionist defined, 2.535(a)(1).
Capital cases, 2.535(i).
Court reporter defined, 2.535(a)(1), 2.535(a)(3).
Defined, 2.535(a)(4).
Depositions, 2.535.
Electronic, 2.535.



Fees for reporting services, 2.535(b), 2.535(e).
Grand jury proceedings, 2.535(h)(6).
Non-stenographic, 2.535(h)(3).
Ownership of records, 2.535(d).
Public expense, proceedings reported at, 2.535(h).
Safeguarding confidential communications in proceedings, 2.535(h)(5).
Transcripts, requirements, 2.535(f).
COURT RULES.
Amendment to.

See AMENDMENTS TO RULES, PROCEDURE FOR.
Defined, 2.120(a).
Local.

See LOCAL COURT RULES.
CRIMINAL PROCEEDINGS.
Death penalty cases.

See CAPITAL CASES.
Exhibits, retention, 2.430(f)(1).
Initiation, 2.555.
Interpreter, appointment, 2.560(a).
Parental leave continuances.

Applicability of rules of criminal procedure, 2.570(f).
Priority over civil cases, 2.550(a)(3).
Time standards, trial court, 2.250(a)(1).



D

DAYS.
Computation of time.

Definitions.
Last day, 2.514(a)(4).
Legal holiday, 2.514(a)(6).
Next day, 2.514(a)(5).

Period stated in days less than 7 days, 2.514(a)(3).
Period stated in days or longer unit of time, 2.514(a)(1).

DEATH PENALTY CASES.
See CAPITAL CASES.
DEFINITIONS.
Administrative order, 2.120(c).
Administrative records, 2.420(b)(1), 2.440(a).
Affected non-party, 2.420(b).
Audio communication technology, 2.530(a).
Audio-video communication technology, 2.530(a).
Communication technology, 2.530(a).
Confidential, 2.420(b).
Confidential crime victim information.

Public access to court records.
Marsys Law crime information within court filing, 2.423(b).

Court official, 2.530(a).
Court records, 2.420(b).
Court reporting, 2.535(a).
Court rule, 2.120(a).
Crime.

Public access to court records.



Marsys Law crime information within court filing, 2.423(b).
Criminal.

Public access to court records.
Marsys Law crime information within court filing, 2.423(b).

Custodian, 2.420(b).
Electronic transmission of documents, 2.525(a).
Filer, 2.420(b).
Judicial records, 2.430(a), 2.440(a).
Last day, 2.514(a)(4).
Legal holiday, 2.514(a)(6).
Limited-English-proficient person.

Interpreters, appointment, 2.560(g)(1).
Local court rule, 2.120(b).
Next day, 2.514(a)(5).
Proceedings.

Interpreters, appointment, 2.560(g)(2).
Records of the judicial branch, 2.420(b).
Retired judge, 2.205(a)(3)(B).
Victims.

Public access to court records.
Marsys Law crime information within court filing, 2.423(b).

DELINQUENCY PROCEEDINGS.
Interpreters, appointment of, 2.560(a).
DEPOSITIONS, 2.535.
DISABILITIES, NOTICE TO PERSONS WITH, 2.540.
DISQUALIFICATION OF TRIAL JUDGES, 2.330.
DISTRICT COURT OF APPEAL BUDGET COMMISSION.
Funding, 2.235(f).
Membership, 2.235(e).



Operating procedures, 2.235(c).
Organization, 2.235(e).
Purpose of rule, 2.235(a).
Recommendations by, action on, 2.235(d).
Responsibilities, 2.235(a), 2.235(b).
DISTRICT COURTS OF APPEAL.
Assigned judges, 2.210(e).
Budget commission, 2.235.
Chief judge, 2.210(a)(2).
Clerk, 2.210(b).
Composition, 2.210(a)(1).
Exercise of powers and jurisdiction, 2.210(a)(1).
Increase or decrease in number of appellate districts, criteria for

determining need for, 2.240, 2.241.
Mandates, issuance, 2.210(b)(4).
Marshal, 2.210(c).
Open sessions, 2.210(d).
Panels, 2.210(a)(1).
Redefinition of appellate districts, criteria for determining need for,

2.240, 2.241.
Time standards, 2.250(a)(2).
DOCUMENTS.
Conversion to electronic form, 2.525(c)(4), 2.525(c)(7).
Court records.

See COURT RECORDS.
Date stamps, 2.520(d).
Electronic filing.

See ELECTRONIC FILING OF DOCUMENTS.
Electronic filing mandatory, 2.520(a).
Exceptions to electronic filing.



Type and size, 2.520.
Exhibits, 2.520(c).
Noncompliance with, 2.520(f).
Recording space on documents, 2.520(d), 2.520(e).
Return of paper to filer, self-addressed and postage-paid envelope

required, 2.525(c)(6).
Service.

E-mail service.
See E-MAIL SERVICE.

Generally.
See SERVICE OF NOTICE, PROCESS AND OTHER DOCUMENTS.

Size, 2.520(b).
Time stamps, 2.520(d).
Type, 2.520(b).



E

ELECTRONIC COURT REPORTING, 2.535.
ELECTRONIC DEVICES.
Defined, 2.451(a).
Juror use.

In-person proceedings, use during, 2.451(b).
Remote proceedings, use during, 2.451(c).

Use in courtroom by others than jurors, 2.451(d).
ELECTRONIC FILING OF DOCUMENTS.
Accessibility requirements, 2.525(g).
Administrative duties.

Attorneys and parties, 2.525(f)(2).
Clerk, 2.525(f)(1).

Applicability of rule to courts, 2.525(b).
Attorney certificate.

Effect of filing or serving by electronic transmission, 2.515(c)(2).
Signature constituting, 2.515(a)(4).

Attorney credentials used to file document, 2.525(b).
Court records, 2.525(c)(1).
Date of filing, 2.520(d), 2.525(f)(3).
Definition of electronic transmission, 2.525(a).
Exceptions to requirement.

Attorneys excused from e-mail service, 2.525(d)(3).
Clerk not able to accept, 2.525(d)(1).
Court determination, 2.525(d)(8).
Exhibits and other non-documentary materials, 2.525(d)(4).
Large-size documents, 2.525(d)(5).
Open court filings, 2.525(d)(6).



Paper filing permitted, 2.525(d)(7).
Self-represented parties, 2.525(d)(2).

Extension of access or page and size limitations, 2.525(f)(4).
Mandatory, 2.520(a).
Official court file, 2.525(c)(2)(3).
Paper documents.

Conversion to electronic form, 2.525(c)(4), 2.525(c)(7).
Return to filer, self-addressed and postage-paid envelope required,

2.525(c)(6).
Service by electronic transmission, 2.525(e).
Storage devices, 2.525(c)(5).
ELECTRONIC MEDIA COVERAGE OF JUDICIAL PROCEEDINGS,

2.450.
E-MAIL SERVICE.
Additional time after service by email or methods other than hand

delivery, 2.514.
Attorneys.

E-mail addresses designated by attorney, 2.516(b)(1)(A).
Exceptions from requirement, 2.516(b)(1)(B), 2.525(d)(3).

Compliance with requirement, 2.516(b)(1).
E-mail service required, 2.516(b)(1).
Format, PDF documents, 2.516(b)(1)(F).
Parties not represented by attorney, 2.516(b)(1)(C).

Address.
Designation, 2.602.

Change of designated address, 2.603.
Exceptions from requirement, 2.516(b)(1)(D).

Request for excuse, 2.601.
Size limitations, 2.516(b)(1)(F).
Time of service, 2.516(b)(1)(E).



EMERGENCY REQUIRING CLOSURE OF COURTS, 2.205(a)(2)(B)
(iv).

ENGLISH LANGUAGE.
Litigants who are non-English-speaking or limited-English-proficient.

Interpreters, appointment, 2.560.
Interpreters, retention by attorney or self-represented litigant, 2.565.

EXHIBITS.
Retention, 2.430(f).
Size, 2.520(c).



F

FAMILY VIOLENCE INDICATOR OVERRIDE.
Remote proceedings.

Communication technology, use, 2.530(e).
FEES.
See COSTS AND FEES.
FLORIDA BAR REFEREE, TIME STANDARDS FOR REPORT OF,

2.250(a)(3).
FLORIDA COURTS TECHNOLOGY COMMISSION, 2.236.
FOREIGN ATTORNEYS.
See ATTORNEYS.
FOREIGN LANGUAGE SPEAKERS.
See INTERPRETERS, APPOINTMENT OF.



G

GRAND JURY, STATEWIDE.
Composition, 2.255(a).
Excusing prospective jurors, 2.255(c).
Population of county, determination, 2.255(b).



H

HOLIDAYS.
Computation of time.

Definition of legal holiday, 2.514(a)(6).
Period stated in days less than 7 days, 2.514(a)(3).
Period stated in days or longer unit of time, 2.514(a)(1).
Period stated in hours, 2.514(a)(2).

HOURS.
Computation of time.

Period stated in hours, 2.514(a)(2).



I

INDEPENDENCE DAY.
Time computation.

Definition of legal holiday, 2.514(a)(6).
INDICTMENT, 2.555(a), 2.555(c).
INFORMATION, 2.555(a), 2.555(c).
INTERNS.
Certified legal interns.

Participation, 2.505(j).
INTERPRETERS, APPOINTMENT OF.
Civil proceedings, 2.560(b).
Civil Rights Act of 1964, compliance with, 2.560(d).
Criminal proceedings, 2.560(a).
Definitions, 2.560(g).
Delinquency proceedings, 2.560(a).
Noncriminal proceedings, 2.560(b).
Privileged communications, 2.560(f).
Qualifications of interpreter, 2.560(e).
Witnesses, for, 2.560(c).
INTERPRETERS, RETENTION, 2.565.
Certified or other qualified interpreters available, 2.565(a).
Certified or other qualified interpreters not available, 2.565(b).
Exceptional circumstances, 2.565(c).

Good cause, written declaration, 2.565(d).
Filing and retention of written declaration, 2.565(e).
Time for preparation, submission, filing and service of verified written

declaration, 2.565(f).



INVOLUNTARY CIVIL COMMITMENT OF SEXUALLY VIOLENT
PREDATORS.

Parental leave continuances.
Applicability of rules of civil procedure for involuntary commitment of

sexually violent predators, 2.570(f).



J

JAILS, EXAMINATION OF STATUS OF INMATES IN, 2.215(b)(8).
JUDGES.
Additional, determination of need for, 2.240.
Administrative, 2.215(b)(5).
Assignment, 2.205(a)(2)(B)(iii), 2.205(a)(3)(A), 2.205(a)(4), 2.210(e).
Associate, 2.210(e).
Capital cases, 2.215(b)(4), 2.215(b)(10), 2.215(i).
Certification process as part of determining need for additional judges,

scope to include redefining appellate districts or judicial circuits,
2.240, 2.241.

Chief of circuit court.
Administrative orders, 2.215(b)(2).
Administrative planning, 2.215(b)(3).
Administrator, selection, 2.215(d).
Assignment of judges, 2.215(b)(4).
Dockets, examination, 2.215(b)(7).
Duration of service, 2.215(c).
Grand jury selection, 2.255.
Jail inmates, review of status, 2.215(b)(8).
Powers, 2.215(b).
Qualifications, 2.215(b)(1).
Selection, 2.215(c).

Chief of district courts of appeal, 2.210(a)(2).
Compensation, 2.244.
Conference of judges.

Circuit court judges, 2.220(b).
Cooperation and coordination with each other and with state courts

administrator, 2.220(d).



County court judges, 2.220(a).
District court of appeal judges, 2.220(c).

Continuing education requirement, 2.320.
Control of cases, 2.545(b).
Discipline, 2.310.
Disqualification, 2.330.
District courts of appeal.

See DISTRICT COURTS OF APPEAL.
Duty to rule within a reasonable time, 2.215(f).
Need for additional, determination, 2.240.
Neglect of duty, 2.215(h), 2.320(e).
Priority cases, duty to expedite, 2.215(g).
Recusal, 2.330.
Redefining appellate districts or judicial circuits as part of determining

need for additional judges, 2.240, 2.241.
Retired, 2.205(a)(2)(B)(iii), 2.205(a)(3), 2.320(b)(1).
Robes.

Restrictions, 2.340.
Supreme court.

See SUPREME COURT.
Supreme court, temporary assignment to, 2.205(g).
JUDICIAL CIRCUITS.
Certification process as part of determining need for additional judges,

scope to include redefining judicial circuits, 2.240, 2.241.
JUDICIAL DISCIPLINE, REMOVAL, RETIREMENT, AND

SUSPENSION, 2.310.
JUDICIAL MANAGEMENT COUNCIL, 2.225.
JUDICIAL QUALIFICATIONS COMMISSION, 2.310.
JUDICIAL RECORDS.



See RECORDS.
Access to records.

See PUBLIC ACCESS TO RECORDS.
Administrative records, retention.

Definitions, 2.440(a).
Requirements, 2.440(b).

Court records generally.
See COURT RECORDS.

Court reporters generally.
See COURT REPORTERS.

JURISDICTION, EXERCISE OF.
District courts of appeal, 2.210(a)(1).
Supreme court, 2.205(a)(1).
JUROR USE OF ELECTRONIC DEVICES.
In-person proceedings, use during, 2.451(b).
Remote proceedings, use during, 2.451(c).
JURY.
Grand jury.

See GRAND JURY, STATEWIDE.
Juror notes, destruction, 2.430(k).
Remote proceedings.

Communication technology, use by jurors, 2.530(c).
Time management, juror, 2.256.
JURY INSTRUCTIONS.
Standard jury instructions.

Modification, 2.580(a).
Referral of modified instruction to appropriate committee, 2.580(b).

No supreme court approval or authorization, 2.580(c).
Presumption of correctness.



No supreme court approval or authorization, 2.580(c).
Supreme court committees on standard jury instructions.

Composition, 2.270(d).
Duties, 2.270(b).
Established, 2.270(a).
Operating procedures, 2.270(c).
Publication of approved instructions, 2.270(f).
Purpose, 2.270(a).
Staff support, 2.270(e).

Use by trial judges, 2.580(a).
JUVENILE CASES.
Parental leave continuances.

Applicability of rules of juvenile procedure, 2.570(f).



L

LABOR DAY.
Time computation.

Definition of legal holiday, 2.514(a)(6).
LAW STUDENTS.
Participation, 2.505(j).
LEGAL HOLIDAYS.
Computation of time.

Definition of legal holiday, 2.514(a)(6).
Period stated in days less than 7 days, 2.514(a)(3).
Period stated in days or longer unit of time, 2.514(a)(1).
Period stated in hours, 2.514(a)(2).

LIMITED-ENGLISH PROFICIENT LITIGANTS.
Interpreters.

Appointment for litigants who are non-English-speaking or limited-
English-proficient, 2.560.

Retention by attorney or self-represented person to assist litigants who are
non-English-speaking or limited-English-proficient, 2.565.

LOCAL COURT RULES.
Advisory committee.

See SUPREME COURT.
Approval by supreme court, 2.215(e)(1)(E).
Defined, 2.120(b).
Effective date, 2.215(e)(1)(E).
Indexing, 2.215(e)(1)(F).
Numbering, 2.215(e)(4).
Procedure for promulgation, 2.140(h), 2.215(e).
Recordation, 2.215(e)(1)(F).



M

MANDATES.
District courts of appeal, 2.210(b)(4).
Recall, 2.205(b)(5), 2.210(b)(4).
Supreme court, 2.205(b)(5).
MARSHAL.
District courts of appeal, 2.210(c).
Supreme court, 2.205(d).
MARTIN LUTHER KING, JR.S BIRTHDAY.
Time computation.

Definition of legal holiday, 2.514(a)(6).
MEDIA COVERAGE OF PROCEEDINGS, 2.450.
MEMORIAL DAY.
Time computation.

Definition of legal holiday, 2.514(a)(6).
MUNICIPAL COURTS, ABOLITION OF, 2.265(a).
MUNICIPAL ORDINANCE VIOLATIONS, 2.265, 2.555(b).



N

NEGLECT OF DUTY, 2.215(h), 2.320(e).
NEW YEARS DAY.
Time computation.

Definition of legal holiday, 2.514(a)(6).
NON-ENGLISH-SPEAKING LITIGANTS.
Interpreters.

Appointment for litigants who are non-English-speaking or limited-
English-proficient, 2.560.

Retention by attorney or self-represented person to assist litigants who are
non-English-speaking or limited-English-proficient, 2.565.

NOTICE OF RELATED CASES, 2.545(d).
NOTICES TO PERSONS WITH DISABILITIES, 2.540.



O

OPEN SESSIONS OF COURT, 2.205(f), 2.210(d).
ORDINANCE VIOLATIONS, 2.265, 2.555(b).



P

PARENTAL LEAVE CONTINUANCES, 2.570.
PAROL AGREEMENTS, 2.505(d).
PLEADINGS.
Attorneys certificate.

Effect of filing or serving by electronic transmission, 2.515(c)(2).
Signature constituting, 2.515(a)(4).

Attorneys Florida Bar number, 2.515(a).
Attorneys signature, 2.515(a), 2.515(c).
Electronic filing, 2.515(c)(1)(B), 2.525(c).

Required, 2.520(a).
Filing persons signature, 2.515(c).
Partys signature, 2.515(b), 2.515(c).
PRIORITY CASES.
Calendar conflicts, 2.550.
Judges duty to expedite, 2.215(g).
Notice of priority status, 2.545(c).
PRO SE REPRESENTATION.
E-mail service on parties not represented by attorney.

Exceptions from requirement, 2.516(b)(1)(D).
Request for excuse, 2.601.

Interpreters, retention, 2.565.
Service on and by parties not represented by attorney, 2.516(b).
PUBLIC ACCESS TO RECORDS.
Definitions, 2.420(b).
Denial of request for access to administrative records, 2.420(l).
Determining confidentiality.



Criminal cases, trial court records, 2.420(f).
Noncriminal cases, appellate court records, 2.420(g).
Noncriminal cases, trial court records, 2.420(e).
Oral motions to determine, 2.420(h).
Procedures of clerk and filer, 2.420(d).
Victims of crime.

Marsys Law crime information within court filing, 2.423.
Notice of confidential crime victim information within court filing,

2.423 Appx A.
Exemptions, 2.420(c).
Generally, 2.420(a).
Obtaining access.

Denial of request, 2.420(l).
Judicial branch records, 2.420(m).
Procedures, 2.420(j).

Protection of judicial branch records, 2.420.
Sanctions for violations, 2.420(i).
Service on victims and affected non-parties with confidential addresses,

2.420(k).
PURPOSE OF RULES, 2.110.



R

RECORDS.
Access to records.

See PUBLIC ACCESS TO RECORDS.
Administrative records, retention.

Definitions, 2.440(a).
Requirements, 2.440(b).
Schedule for retention of administrative records, Appx.

Court records.
See COURT RECORDS.

Court reporters.
See COURT REPORTERS.

RECUSAL OF TRIAL JUDGES, 2.330.
RELATED CASES, NOTICE OF, 2.545(d).
REMOTE PROCEEDINGS.
Communication technology, use, 2.530.

Authority for use, 2.530(b).
Burden of expense, 2.530(d).
Definitions, 2.530(a).
Family violence.

Override of family violence indicator, 2.530(e).
Juror use, 2.530(c).
Non-evidentiary proceedings, 2.530(b)(1).
Testimony, 2.530(b)(2).

Juror use of electronic devices.
Use during remote proceedings, 2.451(c).

REPORTERS.



See COURT REPORTERS.
REPORTING REQUIREMENTS.
Court reporting.

See COURT REPORTING.
Pending cases, status, 2.245(b).
System, case, 2.245(a).
RETENTION OF RECORDS.
Administrative records.

See ADMINISTRATIVE RECORDS, RETENTION.
Court records.

See COURT RECORDS.
RULES ADVISORY COMMITTEE.
See SUPREME COURT.
RULES COORDINATING COMMITTEE, 2.140(a)(5).
RULES OF COURT.
Amendments.

See AMENDMENTS TO RULES, PROCEDURE FOR.
Generally.

See COURT RULES.
Local.

See LOCAL COURT RULES.



S

SCHEDULE FOR RULE PROPOSALS.
Expedited proposals, 2.140(e).
Legislative changes, proposals responding to, 2.140(e).
SCOPE OF RULES, 2.110.
SERVICE OF NOTICE, PROCESS AND OTHER DOCUMENTS.
Attorneys, service on.

E-mail.
Exceptions, 2.516(b)(1)(B), 2.525(d)(3).
Generally, 2.516(b)(1).

Method other than e-mail, 2.516(b)(2).
Certificate of service, 2.516(f).
Clerk, service by, 2.516(g).
Confidential addresses, victims and affected non-parties with, 2.420(k).
Delivery of copy with party, attorney or clerk of court, 2.516(b)(2).
Electronic transmission of documents, 2.525(e).

Certificate of attorney.
Effect of filing or serving by electronic transmission, 2.515(c)(2).
Signature constituting, 2.515(a)(4).

E-mail.
Additional time after service by mail or e-mail, 2.514(b).
Attorneys.

E-mail addresses designated by attorney, 2.516(b)(1)(A).
Exceptions from requirement, 2.516(b)(1)(B).

Compliance with requirement, 2.516(b)(1).
E-mail service required, 2.516(b)(1).
Format, PDF documents, 2.516(b)(1)(F).
Parties not represented by attorney, 2.516(b)(1)(C).



Address.
Designation, 2.602.

Change of designated address, 2.603.
Exceptions, 2.516(b)(1)(D).

Request for excuse, 2.601.
Size limitations, 2.516(b)(1)(F).
Time of service, 2.516(b)(1)(E).

E-mail service.
Additional time after service by mail or email, 2.514(b).

Filing of original documents, 2.516(d).
Definition of filing, 2.516(e).

Judges.
Disqualification, motions, 2.330.

Mail, service by, 2.516(b)(2).
Manner of service, 2.516(b).
Numerous defendants, 2.516(c).
Orders, service of, 2.516(h).
Pro se representation.

E-mail service.
Exceptions, 2.516(b)(1)(D).

Request for excuse, 2.601.
Time, computation.

Additional time after service by mail or email, 2.514(b).
E-mail service, 2.516(b)(1)(E).

When required, 2.516(a).
SEXUALLY VIOLENT PREDATORS.
Involuntary civil commitment.

Parental leave continuances.
Applicability of rules of civil procedure for involuntary commitment of

sexually violent predators, 2.570(f).



STATE COURTS ADMINISTRATOR, 2.205(e), 2.225(e), 2.230(f),
2.235(f), 2.241(b)(3).

STIPULATIONS, 2.505(d).
SUPREME COURT.
Chief justice.

Death, 2.205(a)(2)(D).
Duties, 2.205(a)(2)(B).
Generally, 2.205(a)(2).
Incapacity, 2.205(a)(2)(D).
Judges and justices, assignment, 2.205(a)(2)(B)(iii), 2.205(a)(3)(A),

2.205(a)(4), 2.210(e).
Powers, 2.205(a)(2)(B), 2.205(a)(3)(A).
Public health emergencies, powers, 2.205(a)(2)(B)(v).
Retirement, 2.205(a)(2)(D).
Selection, 2.205(a)(2)(A).

Clerk.
See CLERK.

Confidentiality of proceedings, 2.205(f).
Exercise of powers and jurisdiction, 2.205(a)(1).
Jury instructions.

Standard jury instructions.
Supreme court committees on standard jury instructions.

Composition, 2.270(d).
Duties, 2.270(b).
Established, 2.270(a).
Operating procedures, 2.270(c).
Publication of approved instructions, 2.270(f).
Purpose, 2.270(a).
Staff support, 2.270(e).

Justices.



Absence, 2.205(a)(2)(C).
Assignment, 2.205(a)(3)(A), 2.205(a)(4).
Associate, 2.205(g).
Temporary, 2.205(g).
Temporary service as chief justice, 2.205(a)(2)(D).

Librarian, 2.205(c).
Local rules advisory committee, 2.140(h), 2.215(e).
Mandates, 2.205(b)(5).
Marshal, 2.205(d).
Powers, 2.205(a)(1).
Quorum, 2.205(a)(1).



T

TECHNOLOGICAL COVERAGE OF JUDICIAL PROCEEDINGS,
2.450.

TECHNOLOGY COMMISSION, FLORIDA COURTS, 2.236.
TELEVISION COVERAGE OF JUDICIAL PROCEEDINGS, 2.450.
THANKSGIVING.
Time computation.

Definition of legal holiday, 2.514(a)(6).
TIME STANDARDS.
Additional time after service by mail or email, 2.514(b).
Circuit court, 2.250(a)(4).
Computation of time, 2.514(a).
Definitions.

Last day, 2.514(a)(4).
Legal holiday, 2.514(a)(6).
Next day, 2.514(a)(5).

District courts, 2.250(a)(2).
Electronic filing of documents.

Date of filing, 2.525(f)(3).
Florida Bar referees, 2.250(a)(3).
Period stated in days less than 7 days, 2.514(a)(3).
Period stated in days or longer unit of time, 2.514(a)(1).
Period stated in hours, 2.514(a)(2).
Reporting of cases, 2.250(b).
Service of process and papers.

Additional time after service by mail or email, 2.514(b).
E-mail service, 2.516(b)(1)(E).

Supreme court, 2.250(a)(2).



Trial court, 2.250(a)(1).
TRANSCRIPTS.
See COURT REPORTING.
TRIAL COURT.
Administration, 2.215.
Budget commission, 2.230.
Case numbering system, uniform, 2.245(b).
Case reporting system, 2.245(a).
Chief judge.

See JUDGES.
Circuit court.

See CIRCUIT COURT.
Designation of most serious charge in complaint, 2.555(a).
Disqualification of judges, 2.330.
Indictment, 2.555(a), 2.555(c).
Information, 2.555(a), 2.555(c).
Ordinance violations, 2.555(b).
Uniform case numbering system, 2.245(b).
TRIAL COURT BUDGET COMMISSION.
Funding, 2.230(f).
Membership, 2.230(e).
Operating procedures, 2.230(c).
Organization, 2.230(e).
Purpose of rule, 2.230(a).
Recommendations by, action on, 2.230(d).
Responsibilities, 2.230(a), 2.230(b).



U

UNIFIED COMMITTEE ON JUDICIAL COMPENSATION, 2.244.
UNIFORM CASE NUMBERING SYSTEM, 2.245(b).
UNIFORM COMPUTATION OF TIME.
Additional time after service by mail or email, 2.514(b).
Computation of time, 2.514(a).
Definitions.

Last day, 2.514(a)(4).
Legal holiday, 2.514(a)(6).
Next day, 2.514(a)(5).

Period stated in days less than 7 days, 2.514(a)(3).
Period stated in days or longer unit of time, 2.514(a)(1).
Period stated in hours, 2.514(a)(2).
Service of process and papers.

Additional time after service by mail or email, 2.514(b).



V

VENUE, CHANGE OF.
Case file, 2.260(g).
Costs, reimbursement, 2.260(c)(e).
Media relations, 2.260(f).
Preliminary procedures, 2.260(a).
Presiding judge, 2.260(b).
VETERANS DAY.
Time computation.

Definition of legal holiday, 2.514(a)(6).
VICTIMS OF CRIME.
Public access to judicial branch records.

Confidentiality, determination.
Marsys Law crime information within court filing, 2.423.

Notice of confidential crime victim information within court filing,
2.423 Appx A.

VIDEOTAPE COVERAGE OF JUDICIAL PROCEEDINGS, 2.450.



Licensed to Otis K Pitts, Otis K Pitts

FLORIDA PROBATE RULES
2023 Edition

(Includes probate and guardianship rules, Florida Probate Code, Florida
Guardianship Law, and related rules, statutes, and constitutional

provisions)
Rules reflect all changes through 346 So.3d 1105. Subsequent amendments,
if any, can be found at www.floridasupremecourt.org/decisions/rules.shtml.
The Florida Bar also updates the rules on its website at www.FloridaBar.org
(on the homepage click Rules Updates). Statutes are current through the
2022 Legislative Session.

 
 

CONTINUING LEGAL EDUCATION PUBLICATIONS

THE FLORIDA BAR 
TALLAHASSEE, FLORIDA 32399-2300



CITATIONS TO OPINIONS ADOPTING OR AMENDING
RULES

ORIGINAL ADOPTION, effective 1-1-68: 201 So.2d 409.
OTHER   
OPINIONS:
Effective 1-1-76: 324 So.2d 38. Complete revision (temporary

rules).
Effective 7-1-77: 344 So.2d 828. Complete revision.
Effective 1-1-81: 387 So.2d 949. Four-year-cycle revision. Amended

5.020, 5.040, 5.340, 5.345, 5.400,
5.440, 5.520, 5.540, 5.550, 5.560,
5.570, 5.630, 5.660, 5.690; added
5.205.

Effective 1-1-85: 458 So.2d 1079. Four-year-cycle revision. Amended
5.020-5.040, 5.080, 5.110, 5.150,
5.170, 5.180, 5.210, 5.230, 5.240-
5.270, 5.340-5.420, 5.440, 5.460-
5.490, 5.510-5.560, 5.600, 5.620,
5.660, 5.670; deleted 5.280, 5.290,
5.410, 5.450, 5.500, 5.570; added
5.041, 5.042, 5.065, 5.395, 5.401,
5.405, 5.406.

Effective 1-1-85: 460 So.2d 906. Amended 5.340.
Effective 12-23- 517 So.2d 675. Amended 5.540, 5.560; added
87: 5.710.
Effective 1-1-89: 531 So.2d 1261. Four-year-cycle revision. Amended

5.015, 5.025, 5.042, 5.050, 5.080,
5.110, 5.160, 5.180, 5.205-5.240,
5.270, 5.340, 5.360, 5.400, 5.405-
5.420, 5.440, 5.490, 5.510, 5.620,
5.630, 5.650-5.670, 5.690; deleted



5.190, 5.390, 5.540, 5.590; added
5.122, 5.171, 5.201, 5.235, 5.275,
5.346, 5.355, 5.385, 5.386, 5.475,
5.495.

Effective 10-1- 551 So.2d 452. Amended 5.015, 5.550, 5.560,
89: 5.610-5.660, 5.680-5.700; added

5.590, 5.800.
Effective 10-1- 584 So.2d 964. Amended 5.010, 5.040, 5.050,
91: 5.240, 5.550, 5.560, 5.590-5.630,

5.650-5.680, 5.700-5.800; amended
and renumbered 5.690 to 5.695;
deleted 5.495; added 5.540, 5.541,
5.555, 5.635, 5.690, 5.696, 5.697,
5.705, 5.900.

Effective 1-1-93: 607 So.2d 1306. Four-year-cycle revision. Amended
5.025, 5.120, 5.200, 5.240, 5.260,
5.310, 5.346, 5.400, 5.470, 5.690,
5.695, 5.900; added 5.496, 5.636.

Effective 1-1-97: 683 So.2d 78. Four-year-cycle revision. Amended
5.040, 5.041, 5.080, 5.100, 5.180,
5.210, 5.235, 5.240, 5.346, 5.370,
5.400, 5.401, 5.405, 5.406, 5.470,
5.560, 5.590, 5.680.

Effective 1-1-01: 778 So.2d 272. Four-year-cycle revision. Amended
5.015, 5.040, 5.041, 5.065, 5.100,
5.110, 5.555, 5.560, 5.705.

Effective 10-11- 807 So.2d 622.  
01:
 816 So.2d 1095. Amended 5.025, 5.340, 5.360;

added 5.365.
Effective 5-2-02,   
applicable to
decedents dying
after
December 31, 824 So.2d 849. Amended 5.080, 5.200, 5.205,



2001: 5.210, 5.240, 5.310, 5.340, 5.345,
5.346, 5.385, 5.405, 5.440, 5.510,
5.530; deleted 5.070, 5.520; added
5.215, 5.216, 5.241, 5.341, 5.404.

Effective 6-19-   
03, applicable to
decedents dying
after
December 31, 848 So.2d 1069. Two-year-cycle revision. Amended
2001: 5.122, 5.205, 5.240, 5.385, 5.430,

5.496; added 5.342.
Effective 1-1-04: 848 So.2d 1069. Two-year-cycle revision. Amended

5.555, 5.680; added 5.407, 5.552.
Effective 10-1- 887 So.2d 1090. Amended 5.697.
04:
Effective 1-1-06: 912 So.2d 1178. Two-year-cycle revision. Amended

5.040, 5.041, 5.042, 5.240, 5.241,
5.270, 5.345, 5.346, 5.360, 5.400,
5.404, 5.475, 5.496, 5.530, 5.620;
added 5.402, 5.403, 5.498, 5.499,
5.625.

Effective 2-1-07: 948 So.2d 735. Amended 5.180, 5.550, 5.552,
5.555, 5.560, 5.625, 5.630, 5.636,
5.660, 5.680, 5.695; added 5.646,
5.647, 5.685, 5.720, 5.725.

Effective 7-12- 964 So.2d 140. Amended 5.015, 5.240, 5.241;
07: added 5.648.
Effective 1-1-08: 959 So.2d 1170. Three-year-cycle revision. Amended

5.040, 5.041, 5.200, 5.210, 5.241,
5.490, 5.496, 5.498, 5.499, 5.530,
5.650, 5.670, 5.697, 5.710; added
5.095, 5.645.

Effective 7-10- 986 So.2d 576. Amended 5.015, 5.030, 5.040,
08: 5.050, 5.120, 5.540, 5.541, 5.620,

5.625, 5.640, 5.650, 5.660, 5.680,



5.720; added 5.649, 5.681.
Effective 1-11- 50 So.3d 578. Three-year cycle review. Amended
11: 5.020, 5.030, 5.040, 5.041, 5.060,

5.110, 5.200, 5.205, 5.210, 5.235,
5.260, 5.330, 5.340, 5.346, 5.360,
5.405, 5.406, 5.440, 5.470, 5.496,
5.696, 5.710, and 5.725.

Effective 1-1-11: 51 So.3d 1146. Amended 5.201, 5.260, 5.360 and
created 5.3425.

Effective 7-7-11: 67 So.3d 1035. Amended 5.260.
Effective 9-28- 73 So.3d 205. Amended 5.025, 5.240.
11:
Effective 10-1- 78 So.3d 1045. Amended 5.200, 5.210, 5.530.
11:
Effective 9-1-12: 102 So.3d 505. Amended 5.030, 5.040, 5.041,

5.060, 5.120. 5.200, 5.340, 5.342,
5.350, 5.355, 5.360, 5.370, 5.380,
5.385, 5.386, 5.400, 5.401, 5.402,
5.403, 5.405, 5.406, 5.407, 5.430,
5.440, 5.460, 5.470, 5.475. 5.496,
5.498, 5.499, 5.510, 5.530, 5.620,
5.630, 5.650, 5.660, 5.670, 5.680,
5.690. 5.695, 5.696, 5.700

Effective 10-1- 95 So.3d 96. Amended 5.042.
12:
Effective 4-1-13: 102 So.3d 451. Adopted 5.043.
Effective 11-27- 131 So.3d 717. Amended 5.240 and 5.260.
13:
Effective 1-1-14: 123 So.3d 31. Amended 5.060, 5.110, 5.230,

5.395, 5.400, 5.404, 5.530, 5.649,
5.660, 5.681, 5.696; added 5.2405.

Effective 4-22- 139 So.3d 875. Amended 5.120, 5.200, 5.210,
14: 5.385, 5.405, 5.406, 5.407, 5.530,

5.550, 5.555, 5.560, 5.590, 5.636,



5.646.
Effective 11-6- 150 So.3d 1100. Amended 5.590.
14:
Effective 12-17- 181 So.3d 480. Amended 5.240, 5.310, 5.648,
15: 5.695, 5.705.
Effective 9-15- 200 So.3d 761. Amended 5.050; 5.560; 5.646;
16: 5.648; 5.670, 5.710.
Effective 1-1-17: 199 So.3d 835. Amended 5.040; 5.041; 5.042;

5.080; 5.345; 5.346; 5.550; 5.560;
5.620; 5.690; 5.696.

Effective 9-7-17: 226 So.3d 245. Amended 5.550 and 5.695.
Effective 9-27- 253 So.3d 983. Amended 5.025.
18:
Effective 1-1-20: 287 So.3d 492. Amended 5.020, 5.040, 5.200,

5.240, 5.241, 5.240, 5.275, 5.320,
5.360, 5.407, 5.470, 5.490, 5.636,
5.649, 5.681, 5.695, 5.900.

Effective 1-16- 288 So.3d 565. Amended 5.015, 5.043, 5.120,
20: 5.200, 5.210, 5.215, 5.230.
Effective 9-3-20: 301 So.3d 859. Amended 5.550, 5.560, 5.649;

renumbered 5.850; adopted 5.901,
5.902, 5.903, 5.904, 5.905, 5.906,
5.910.

Effective 9-24- 45 FLW S255. Adopted 5.920.
20:
Effective 12-31- 309 So.3d 196. Amended 5.040, 5.065, 5.240;
20: Added 5.425; Amended 5.550,

5.555, 5.560, 5.630; Renumbered
5.900.

Effective 2-18- 309 So.3d 196. Amended 5.550, 5.555, 5.560,
21: 5.590.
Effective 10-28- 344 So.3d 940. Amended 5.030, 5.040, 5.041,
21: 5.042, 5.043, 5.060, 5.080, 5.120,

5.340, 5.342, 5.350, 5.355, 5.360,



5.370, 5.380, 5.385, 5.386, 5.400,
5.401, 5.402, 5.403, 5.404, 5.405,
5.406, 5.407, 5.430, 5.440, 5.460,
5.470, 5.475, 5.490, 5.496, 5.498,
5.499, 5.510, 5.530, 5.550, 5.555,
5.560, 5.590, 5.620, 5.630, 5.636,
5.646, 5.650, 5.660, 5.670, 5.680,
5.690, 5.695, 5.696, 5.700.

Effective 11-4- 334 So.3d 562. Amended 5.020, 5.200, 5.320,
21: 5.340, 5.402, 5.403, 5.404, 5.405,

5.555.
Effective 10-1- 346 So.3d 1105 Amended 5.080.
22:
NOTE TO USERS: Rules in this pamphlet are current through 346 So.3d
1105. Subsequent amendments, if any, can be found at
www.floridasupremecourt.org/decisions/rules.shtml. The Florida Bar also
updates the rules on its website at www.FloridaBar.org (on the homepage
click Rules Updates).



TABLE OF CONTENTS

__________

PART I. GENERAL

5.010. SCOPE
5.015. GENERAL DEFINITIONS
5.020. PLEADINGS; VERIFICATION; MOTIONS
5.025. ADVERSARY PROCEEDINGS
5.030. ATTORNEYS
5.040. NOTICE
5.041. SERVICE OF PLEADINGS AND DOCUMENTS
5.042. TIME
5.043. DEPOSIT OF WILLS AND CODICILS
5.050. TRANSFER OF PROCEEDINGS
5.060. REQUEST FOR NOTICES AND COPIES OF PLEADINGS
5.065. NOTICE OF CIVIL ACTION OR ANCILLARY

ADMINISTRATION
5.080. DISCOVERY AND SUBPOENA
5.095. GENERAL AND SPECIAL MAGISTRATES
5.100. RIGHT OF APPEAL
5.110. ADDRESS DESIGNATION FOR PERSONAL REPRESENTATIVE

OR GUARDIAN; DESIGNATION OF RESIDENT AGENT AND
ACCEPTANCE

5.120. ADMINISTRATOR AD LITEM AND GUARDIAN AD LITEM
5.122. CURATORS
5.150. ORDER REQUIRING ACCOUNTING



5.160. PRODUCTION OF ASSETS
5.170. EVIDENCE
5.171. EVIDENCE OF DEATH
5.180. WAIVER AND CONSENT

PART II. PROBATE

5.200. PETITION FOR ADMINISTRATION
5.201. NOTICE OF PETITION FOR ADMINISTRATION
5.205. FILING EVIDENCE OF DEATH
5.210. PROBATE OF WILLS WITHOUT ADMINISTRATION
5.215. AUTHENTICATED COPY OF WILL
5.216. WILL WRITTEN IN FOREIGN LANGUAGE
5.230. COMMISSION TO PROVE WILL
5.235. ISSUANCE OF LETTERS, BOND
5.240. NOTICE OF ADMINISTRATION
5.2405. SERVICE OF NOTICE OF ADMINISTRATION ON PERSONAL

REPRESENTATIVE
5.241. NOTICE TO CREDITORS
5.260. CAVEAT; PROCEEDINGS
5.270. REVOCATION OF PROBATE
5.275. BURDEN OF PROOF IN WILL CONTESTS
5.310. DISQUALIFICATION OF PERSONAL REPRESENTATIVE;

NOTIFICATION
5.320. OATH OF PERSONAL REPRESENTATIVE
5.330. EXECUTION BY PERSONAL REPRESENTATIVE
5.340. INVENTORY
5.341. ESTATE INFORMATION



5.342. INVENTORY OF SAFE-DEPOSIT BOX
5.3425. SEARCH OF SAFE DEPOSIT BOX
5.345. ACCOUNTINGS OTHER THAN PERSONAL

REPRESENTATIVES FINAL ACCOUNTINGS
5.346. FIDUCIARY ACCOUNTING
APPENDIX A
APPENDIX B
5.350. CONTINUANCE OF UNINCORPORATED BUSINESS OR

VENTURE
5.355. PROCEEDINGS FOR REVIEW OF EMPLOYMENT OF AGENTS

AND COMPENSATION OF PERSONAL REPRESENTATIVES AND
ESTATE EMPLOYEES

5.360. ELECTIVE SHARE
5.365. PETITION FOR DOWER
5.370. SALES OF REAL PROPERTY WHERE NO POWER CONFERRED
5.380. COMPULSORY PAYMENT OF DEVISES OR DISTRIBUTIVE

INTERESTS
5.385. DETERMINATION OF BENEFICIARIES AND SHARES
5.386. ESCHEAT
5.395. NOTICE OF FEDERAL ESTATE TAX RETURN
5.400. DISTRIBUTION AND DISCHARGE
5.401. OBJECTIONS TO PETITION FOR DISCHARGE OR FINAL

ACCOUNTING
5.402. NOTICE OF LIEN ON PROTECTED HOMESTEAD
5.403. PROCEEDINGS TO DETERMINE AMOUNT OF LIEN ON

PROTECTED HOMESTEAD
5.404. NOTICE OF TAKING POSSESSION OF PROTECTED

HOMESTEAD



5.405. PROCEEDINGS TO DETERMINE PROTECTED HOMESTEAD
REAL PROPERTY

5.406. PROCEEDINGS TO DETERMINE EXEMPT PROPERTY
5.407. PROCEEDINGS TO DETERMINE FAMILY ALLOWANCE
5.420. DISPOSITION OF PERSONAL PROPERTY WITHOUT

ADMINISTRATION
5.425. DISPOSITION WITHOUT ADMINISTRATION OF INTESTATE

PERSONAL PROPERTY IN SMALL ESTATES.
5.430. RESIGNATION OF PERSONAL REPRESENTATIVE
5.440. PROCEEDINGS FOR REMOVAL OF PERSONAL

REPRESENTATIVE
5.460. SUBSEQUENT ADMINISTRATION
5.470. ANCILLARY ADMINISTRATION
5.475. ANCILLARY ADMINISTRATION, SHORT FORM
5.490. FORM AND MANNER OF PRESENTING CLAIM
5.496. FORM AND MANNER OF OBJECTING TO CLAIM
5.498. PERSONAL REPRESENTATIVES PROOF OF CLAIM
5.499. FORM AND MANNER OF OBJECTING TO PERSONAL

REPRESENTATIVES PROOF OF CLAIM
5.510. ESTABLISHMENT AND PROBATE OF LOST OR DESTROYED

WILL
5.530. SUMMARY ADMINISTRATION

PART III. GUARDIANSHIP

5.540. HEARINGS
5.541. RECORDING OF HEARINGS
5.550. PETITION TO DETERMINE INCAPACITY
5.552. VOLUNTARY GUARDIANSHIP OF PROPERTY



5.555. GUARDIANSHIPS OF MINORS
5.560. PETITION FOR APPOINTMENT OF GUARDIAN OF AN

INCAPACITATED PERSON
5.590. APPLICATION FOR APPOINTMENT AS GUARDIAN;

DISCLOSURE STATEMENT; FILING
5.600. OATH
5.610. EXECUTION BY GUARDIAN
5.620. INVENTORY
5.625. NOTICE OF COMPLETION OF GUARDIAN EDUCATION

REQUIREMENTS
5.630. PETITION FOR APPROVAL OF ACTS
5.635. PETITION FOR EXTRAORDINARY AUTHORITY
5.636. SETTLEMENT OF MINORS CLAIMS
5.640. CONTINUANCE OF UNINCORPORATED BUSINESS OR

VENTURE OF WARD
5.645. MANAGEMENT OF PROPERTY OF NONRESIDENT WARD BY

FOREIGN GUARDIAN
5.646. STANDBY GUARDIANS
5.647. SURROGATE GUARDIAN
5.648. EMERGENCY TEMPORARY GUARDIAN
5.649. GUARDIAN ADVOCATE
5.650. RESIGNATION OR DISQUALIFICATION OF GUARDIAN;

APPOINTMENT OF SUCCESSOR
5.660. PROCEEDINGS FOR REMOVAL OF GUARDIAN
5.670. TERMINATION OF GUARDIANSHIP ON CHANGE OF

DOMICILE OF RESIDENT WARD
5.680. TERMINATION OF GUARDIANSHIP
5.681. RESTORATION OF RIGHTS OF PERSON WITH



DEVELOPMENTAL DISABILITY
5.685. DETERMINATION REGARDING ALTERNATIVES TO

GUARDIANSHIP
5.690. INITIAL GUARDIANSHIP REPORT
5.695. ANNUAL GUARDIANSHIP REPORT
5.696. GUARDIAN ACCOUNTING
5.696. APPENDIX A
5.696. APPENDIX B
5.697. MAGISTRATES REVIEW OF GUARDIANSHIP INVENTORIES,

ACCOUNTINGS, AND PLANS
5.700. OBJECTION TO GUARDIANSHIP REPORTS
5.705. PETITION FOR INTERIM JUDICIAL REVIEW
5.710. REPORTS OF PUBLIC GUARDIAN
5.720. COURT MONITOR
5.725. EMERGENCY COURT MONITOR
5.800. APPLICATION OF REVISED CHAPTER 744 TO EXISTING

GUARDIANSHIPS
5.850. EXPEDITED JUDICIAL INTERVENTION CONCERNING

MEDICAL TREATMENT PROCEDURES [RENUMBERED].

PART IV. EXPEDITED JUDICIAL INTERVENTION CONCERNING
MEDICAL TREATMENT PROCEDURES

5.900. EXPEDITED JUDICIAL INTERVENTION CONCERNING
MEDICAL TREATMENT PROCEDURES.

PART V. FORMS

5.901. FORM FOR PETITION TO DETERMINE INCAPACITY
5.902. FORM FOR PETITION AND ORDER OF GUARDIAN
5.903. LETTERS OF GUARDIANSHIP



5.904. FORMS FOR INITIAL AND ANNUAL GUARDIANSHIP PLANS
5.905. FORM FOR PETITION, NOTICE, AND ORDER FOR

APPOINTMENT OF GUARDIAN ADVOCATE OF THE PERSON
5.906. LETTERS OF GUARDIAN ADVOCACY
5.910. INVENTORY
5.920. FORMS RELATED TO INJUNCTION FOR PROTECTION

AGAINST EXPLOITATION OF A VULNERABLE ADULT



FLORIDA PROBATE RULES

________
 Pt. I. 

Fla. Prob. R., Pt. I



PART I. GENERAL
 Pt. I. ,  Rule 5.010. 

Fla. Prob. R. 5.010

RULE 5.010. SCOPE.
These rules govern the procedure in all probate and guardianship

proceedings and shall be known as the Florida Probate Rules and may be
cited as Fla. Prob. R. Part I applies to all proceedings. Part II applies to
probate alone, Part III applies to guardianship alone, and Part IV applies to
expedited judicial intervention concerning medical treatment procedures. The
Florida Rules of Civil Procedure apply only as provided herein.

COMMITTEE NOTES

Rule History
1975 Revision: These rules shall govern the procedures to be followed in

all matters pending on or commenced after January 1, 1976, including
procedures for the enforcement of substantive rights that have vested before
that date. See section 731.011, Florida Statutes.

1977 Revision: The changes in these rules shall take effect on July 1, 1977.
1988 Revision: In the opinion reported at 460 So. 2d 906, the Florida

Supreme Court directed the Probate and Guardianship Rules Committee to
study the statutes and attempt to identify those portions of the Florida Probate
Code, the Florida Guardianship Law, and other statutes that contained
procedural provisions. When those procedural provisions were identified, the
committee was charged to promulgate rules incorporating those procedures.

The committee has reviewed the statutes and has found a substantial
measure of procedure that was contained only in the statutes for which there
were no corresponding rules. The committee also determined that much of
the procedure in the statutes already had a rule counterpart.

New rules added, or prior rules amended, in 1988 to add procedural
matters previously found only in the statutes are rules 5.050, 5.122, 5.171,
5.180, 5.201, 5.235, 5.270, 5.275, 5.355, 5.360, 5.385, 5.386, 5.400, 5.440,



5.475, 5.490, and 5.510. With only one exception (see rule 5.050), the only
portion of the statutes that has been reviewed in detail, and for which rules
have been created, is the Florida Probate Code. Other portions of the statutes
mentioned in the opinion cited above remain for the next cycle of this
committee to review.

As the committee wrote rules to transfer the statutory procedure into these
rules, an attempt was made to write the rule without changing the meaning of
the statute. It was not possible or advisable to use the exact wording of the
statute in some instances, and in those instances the committee rewrote the
statutory language in the format used in the rules generally. Even under those
circumstances, the committee attempted to transfer the entire procedural
portion of the statute without changing its meaning. Where it was specifically
intended in a few instances to add to existing statutory procedure, that fact is
noted in the relevant committee note. The committee felt strongly that it
would be detrimental to the orderly process of estate probate and related
procedures if a rule specified a different procedure than was specified in the
related statute, even though the statute must, under the Florida Constitution,
yield to the rule when there is a conflict.

The committee, through the proper channels in the Florida Bar (initially,
the Probate Law Committee of the Real Property, Probate and Trust Law
Section), intends to ask the legislature to repeal those portions of the statutes
that are procedural when there are similar rules already in place, or when
similar new rules are added by this opinion. It is the opinion of the committee
that continuing to maintain procedure in the statutes when there is a rule
specifying that procedure is detrimental to the orderly process of the court
and the public that it serves, especially when, over time, the statute and the
rule may diverge.

Although the supreme court has adopted these recommended rules, it has
not specifically determined that all of the provisions of the statutes that were
procedural have now been adopted as a rule. This is a continuing project for
the committee and although these new rules and changes represent a
substantial transition of procedure into the rules, the committee does not
suggest that the transition is complete. The court is not precluded from
examining any particular statute or rule in the context of a particular actual
dispute.



1991 Revision: Rule revised to reflect addition of new Part IV dealing with
expedited judicial intervention concerning medical treatment procedures.

1992 Revision: In 1989, the Florida Legislature enacted a comprehensive
revision to Floridas guardianship law. In response, the Florida Supreme
Court appointed an ad hoc committee to recommend temporary rules of
procedure for the new law. In an opinion at 551 So. 2d 452 (Fla. 1989), the
court adopted the temporary rules recommended by the ad hoc committee, to
replace Part III of the then-existing Florida Probate Rules, effective October
1, 1989. In its opinion, the court also directed the Florida Probate Rules
Committee to review the new laws and, on a priority basis, to recommend
permanent rules of procedure.

The committee reviewed the Florida Guardianship Law enacted in 1989, as
well as revisions to the law enacted in 1990, and presented its rule
recommendations to the court in 1991. The court, in an opinion at 584 So. 2d
964, adopted the recommendations with minor exceptions, to be effective
October 1, 1991.

In 1990, the court also rendered its opinion in In re Guardianship of
Browning, 568 So. 2d 4 (Fla. 1990), regarding a persons right to refuse
lifeprolonging medical procedures. In that decision, the court directed the
committee to recommend a response, the committee created a new Part IV of
these rules and recommended rule 5.900, which was adopted by the court,
with minor changes, in its opinion at 584 So. 2d 964, effective October 1,
1991.

The committee continued its efforts to review the Florida Probate Code
and to promulgate or amend rules regarding any procedural portions of those
statutes. As a result of those efforts, as well as the efforts described above,
the committee recommended amendments to rules 5.010, 5.025, 5.040, 5.050,
5.200, 5.240, 5.310, 5.346, 5.400, 5.470, 5.550, 5.560, 5.590, 5.600, 5.610,
5.620, 5.630, 5.640, 5.650, 5.660, 5.670, 5.680, 5.695, 5.700, 5.710, and
5.800; creation of new rules 5.496, 5.540, 5.541, 5.555, 5.635, 5.636, 5.690,
5.696, 5.697, 5.705, and 5.900; and deletion of rule 5.495. In addition, the
committee recommended editorial changes in virtually all the rules so that
they would conform stylistically to one another and to all other rules
promulgated by the supreme court.

2003 Revision: The committee has promulgated numerous changes in the



rules and in the committee notes to many of the rules, in response to
legislative amendments that deleted procedural aspects of a number of
statutes in the Florida Probate Code, including deletion and re-titling of some
statutes. See Ch. 2001-226, Laws of Fla.

Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040(a)(3)(B) Notice.
Fla. Prob. R. 5.050 Transfer of proceedings.
Fla. Prob. R. 5.080 Discovery and subpoena.
Fla. Prob. R. 5.230(e) Commission to prove will.
Fla. R. App. P. 9.800 Uniform citation system.



 Pt. I. ,  Rule 5.015. 
Fla. Prob. R. 5.015

RULE 5.015. GENERAL DEFINITIONS.
(a) General. The definitions and rules of construction stated or referred to

in sections 1.01 and 393.12, Florida Statutes, and chapters 731, 732, 733,
734, 735, 736, 738, 739, and 744, Florida Statutes, as amended from time to
time, shall apply to these rules, unless otherwise defined in these rules.

(b) Specific Definitions. When used in these rules
(1) certified copy means a copy of a document signed and verified as a

true copy by the officer to whose custody the original, whether in paper or
electronic form, is entrusted;

(2) formal notice means notice under rule 5.040(a);
(3) informal notice means notice under rule 5.040(b);
(4) judge means a judge of the circuit court, including any judge

elected, appointed, substituted, or assigned to serve as judge of the court;
(5) guardian advocate means a person appointed for a person with a

developmental disability pursuant to section 393.12, Florida Statutes;
(6) guardian means a person appointed pursuant to chapter 744,

Florida Statutes, or a guardian advocate unless a rule indicates otherwise;
(7) ward means an individual for whom a guardian is appointed.

COMMITTEE NOTES

Rule History
1977 Revision: No change in rule. Correction of typographical error in

committee note.
This is intended to simplify drafting of these rules and should be liberally

construed. See Fla. Prob. R. 5.190 and 5.540 and also  731.201 and
744.102, Fla. Stat.

1988 Revision: Rule was expanded due to deletion of rule 5.190.
Committee notes expanded. Citation form changes in rule and committee



notes.
1992 Revision: Citation form changes in rule and committee notes.
2000 Revision: Subdivision (b)(2) amended to delete outdated reference to

rule 5.550(c).
2007 Revision: Subdivision (a) amended to add reference to chapter 736,

Florida Statutes, which was added to the statutes effective July 1, 2007, and
which replaces deleted chapter 737, and to add reference to chapter 739,
Florida Statutes, which was added effective July 1, 2005. Committee notes
revised.

2008 Revision: Subdivision (a) amended to add reference to section
393.12, Florida Statutes, which governs guardian advocates for persons with
developmental disabilities, As provided by section 744.102(11), the term
guardian advocate as used in the Florida Guardianship Law and these rules
does not include a guardian advocate appointed for a person determined to
lack capacity to consent to treatment under section 394,4598, Florida
Statutes. Subdivisions (b)(5) through (b)(7) added to reflect 2008
amendments to section 393.12, Florida Statutes. Committee notes revised.

2020: Revision: Subdivision (b)(1) amended to reference electronic
original documents consistent with section 732.526, Florida Statutes.
Committee notes revised.

Statutory References
 1.01, Fla. Stat. Definitions.
 393.063, Fla. Stat. Definitions.
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 731.201, Fla. Stat. General definitions.
 732.526, Fla. Stat. Probate.
 736.0103, Fla. Stat. Definitions.
 738.102, Fla. Stat. Definitions.
 739.102, Fla. Stat. Definitions.
 744.102, Fla. Stat. Definitions.



 Pt. I. ,  Rule 5.020. 
Fla. Prob. R. 5.020

RULE 5.020. PLEADINGS; VERIFICATION; MOTIONS.
(a) Forms of Pleading. Pleadings shall be signed by the attorney of

record, and by the pleader when required by these rules. All technical forms
of pleadings are abolished. No defect of form impairs substantial rights, and
no defect in the statement of jurisdictional facts actually existing renders any
proceeding void.

(b) Petition. A petition shall contain a short and plain statement of the
relief sought, the grounds therefor, and the jurisdiction of the court where the
jurisdiction has not already been shown.

(c) Motions. Any other application to the court for an order shall be by
written motion, unless made orally during a hearing or trial. The motion shall
state with particularity the grounds therefor and shall set forth the relief or
order sought.

(d) Rehearing. A motion for rehearing of any order or judgment shall be
served not later than 15 days after the date of filing the order or judgment
with the clerk as shown on the face of the order or judgment.

(e) Verification. When verification of a document is required, the
document filed shall include an oath, affirmation, or the following statement:

Under penalties of perjury, I declare that I have read the foregoing, and
the facts alleged are true, to the best of my knowledge and belief.

COMMITTEE NOTES

The time for determining when a motion for rehearing must be served has
been clarified in view of Casto v. Casto, 404 So. 2d 1046 (Fla. 1981).

Rule History
1977 Revision: Editorial change (rule) and expansion of committee note.

Subdivisions (a), (b), and (d) substantially the same as subdivisions (a), (b),
and (f) of prior rule 5.030. Subdivision (c) taken from section 731.104,
Florida Statutes. For adversary proceedings see new rule 5.025. Notice of
administration is not a pleading within the meaning of this rule.



1980 Revision: Subdivisions (c) and (d) have been redesignated as (e) and
(f). New subdivisions (c) and (d) are added to provide for the use of motions
in probate proceedings other then adversary proceedings and to specifically
authorize a procedure for rehearing.

1984 Revision: Minor editorial changes. Subdivision (f) of prior rule has
been deleted as it is now covered under the adversary rules.

1988 Revision: Editorial change in caption of (a). Committee notes
revised. Citation form change in committee notes.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in rule and committee notes.

2003 Revision: Committee notes revised.
2008 Revision: Committee notes revised.
2010 Revision: Committee notes revised.
2019 Revision: Subdivision (d) amended to change the deadline for service

of a motion for rehearing from 10 to 15 days after the specified event to
conform to 2013 amendments to the Florida Rule of Civil Procedure 1.530.
Committee notes revised.

Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 731.104, Fla. Stat. Verification of documents.
 731.201, Fla. Stat. General definitions.
 733.202, Fla. Stat. Petition.
 733.604(1), Fla. Stat. Inventories and accountings; public records

exemptions.
 733.901, Fla. Stat. Final discharge.
 735.203, Fla. Stat. Petition for summary administration.
 744.104, Fla. Stat. Verification of documents.
 744.3085, Fla. Stat. Guardian advocates.
 744.3201, Fla. Stat. Petition to determine incapacity.



 744.331, Fla. Stat. Procedures to determine incapacity.
 744.334, Fla. Stat. Petition for appointment of guardian or professional

guardian; contents.
Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.200 Petition for administration.
Fla. Prob. R. 5.205(b) Filing evidence of death.
Fla. Prob. R. 5.320 Oath of personal representative.
Fla. Prob. R. 5.330 Execution by personal representative.
Fla. Prob. R. 5.350 Continuance of unincorporated business or venture.
Fla. Prob. R. 5.370(a) Sales of real property where no power conferred.
Fla. Prob. R. 5.405(b) Proceedings to determine homestead status of real

property.
Fla. Prob. R. 5.530 Summary administration.
Fla. Prob. R. 5.550 Petition to determine incapacity.
Fla. Prob. R. 5.560 Petition for appointment of guardian of an

incapacitated person.
Fla. Prob. R. 5.600 Oath.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. R. Civ. P. 1.530 Motions for new trial and rehearing; amendments of

judgment.



 Pt. I. ,  Rule 5.025. 
Fla. Prob. R. 5.025

RULE 5.025. ADVERSARY PROCEEDINGS.
(a) Specific Adversary Proceedings. The following are adversary

proceedings unless otherwise ordered by the court: proceedings to remove a
personal representative, surcharge a personal representative, remove a
guardian, surcharge a guardian, obtain an injunction or temporary injunction
pursuant to section 825.1035, Florida Statutes, probate a lost or destroyed
will or later-discovered will, determine beneficiaries, construe a will, reform
a will, modify a will, cancel a devise, partition property for the purposes of
distribution, determine pretermitted status, determine pretermitted share,
determine amount of elective share and contribution, and for revocation of
probate of a will.

(b) Declared Adversary Proceedings. Other proceedings may be declared
adversary by service on interested persons of a separate declaration that the
proceeding is adversary.

(1) If served by the petitioner, the declaration must be served with the
petition to which it relates.

(2) If served by the respondent, the declaration and a written response to
the petition must be served at the earlier of:

(A) within 20 days after service of the petition, or
(B) prior to the hearing date on the petition.

(3) When the declaration is served by a respondent, the petitioner must
promptly serve formal notice on all other interested persons.
(c) Adversary Status by Order. The court may determine any proceeding

to be an adversary proceeding at any time.
(d) Notice and Procedure in Adversary Proceedings.

(1) Petitioner must serve formal notice, except as provided in
proceedings pursuant to section 825.1035, Florida Statutes.

(2) After service of formal notice, the proceedings, as nearly as
practicable, must be conducted similar to suits of a civil nature, including



entry of defaults. The Florida Rules of Civil Procedure govern, except for
rule 1.525.

(3) The court on its motion or on motion of any interested person may
enter orders to avoid undue delay in the main administration.

(4) If a proceeding is already commenced when an order is entered
determining the proceeding to be adversary, it must thereafter be
conducted as an adversary proceeding. The order must require interested
persons to serve written defenses, if any, within 20 days from the date of
the order. It is not necessary to re-serve the petition except as ordered by
the court.

(5) When the proceedings are adversary, the caption of subsequent
pleadings, as an extension of the probate caption, must include the name of
the first petitioner and the name of the first respondent.

COMMITTEE NOTES

The court on its initiative or on motion of any party may order any
proceeding to be adversary or nonadversary or enter any order that will avoid
undue delay. The personal representative would be an interested person in all
adversary proceedings. A prescribed form for the caption is provided that will
facilitate the clerks and the courts ability to segregate such adversary
proceeding from other adversary proceedings and from the main probate file:

Court
Case #

Rule History
1975 Revision: New rule. 324 So. 2d 38.
1977 Revision: Editorial changes to (a)(1).
1984 Revision: Extensive changes, committee notes revised and expanded.



1988 Revision: Changes in (a) add proceedings to remove a guardian and
to surcharge a guardian to the list of specific adversary proceedings and
delete proceedings to determine and award the elective share from the list.
Change in (b)(4) clarifies on whom the petitioner must serve formal notice.
Editorial change in (d)(2) and (d)(5). Committee notes revised. Citation form
changes in committee notes.

1992 Revision: Deletion of (b)(3) as unnecessary. Former (b)(4)
renumbered as new (b)(3). Committee notes revised. Citation form changes
in committee notes.

2001 Revision: Change in (a) to add determination of amount of elective
share and contribution as specific adversary proceedings. Committee notes
revised.

2003 Revision: Committee notes revised.
2008 Revision: Committee notes revised.
2011 Revision: Subdivision (a) revised to add reform a will, modify a

will and determine pretermitted status. Subdivision (d)(2) modified to
insure that an award of attorneys fees in a probate or guardianship
proceeding follows the law and procedures established for such proceedings,
rather than the law and procedures for civil proceedings. See Amendments to
the Florida Family Law Rules of Procedure (Rule 12.525), 897 So. 2d 467
(Fla. 2005). Editorial changes to conform to the courts guidelines for rules
submissions as set forth in Administrative Order AOSC06-14. Committee
notes revised.

2018 Revision: Subdivisions (a) and (d)(1) amended to reference section
825.1035, Florida Statutes. Committee notes revised.

Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 732.201-732.2155, Fla. Stat. Elective share of surviving spouse.
 732.301, Fla. Stat. Pretermitted spouse.
 732.302, Fla. Stat. Pretermitted children.
 732.507, Fla. Stat. Effect of subsequent marriage, birth, adoption, or

dissolution of marriage.



 732.6005-732.611, Fla. Stat. Rules of construction.
 732.615, Fla. Stat. Reformation to correct mistakes.
 732.616, Fla. Stat. Modification to achieve testators tax objectives.
 733.105, Fla. Stat. Determination of beneficiaries.
 733.107, Fla. Stat. Burden of proof in contests; presumption of undue

influence.
 733.109, Fla. Stat. Revocation of probate.
 733.207, Fla. Stat. Establishment and probate of lost or destroyed will.
 733.208, Fla. Stat. Discovery of later will.
 733.504, Fla. Stat. Removal of personal representative; causes for

removal.
 733.505, Fla. Stat. Jurisdiction in removal proceedings.
 733.506, Fla. Stat. Proceedings for removal.
 733.5061, Fla. Stat. Appointment of successor upon removal.
 733.603, Fla. Stat. Personal representative to proceed without court

order.
 733.609, Fla. Stat. Improper exercise of power; breach of fiduciary duty.
 733.619(2), (4), Fla. Stat. Individual liability of personal representative.
 733.814, Fla. Stat. Partition for purpose of distribution.
 744.3085, Fla. Stat. Guardian advocates.
 744.474, Fla. Stat. Reasons for removal of guardian.
 744.477, Fla. Stat. Proceedings for removal of a guardian.
 825.1035, Fla. Stat. Injunction for protection against exploitation of a

vulnerable adult.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.270 Revocation of probate.



Fla. Prob. R. 5.360 Elective share.
Fla. Prob. R. 5.365 Petition for dower.
Fla. Prob. R. 5.440 Proceedings for removal.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. Prob. R. 5.660 Proceedings for removal of guardian.
Fla. Prob. R. 5.681 Restoration of rights of person with developmental

disability.
Fla. R. Civ. P. 1.140 Defenses.
Fla. R. Civ. P. 1.160 Motions.
Fla. R. Civ. P. 1.200 Pretrial procedure.
Fla. R. Civ. P. 1.280 General provisions governing discovery.
Fla. R. Civ. P. 1.290 Depositions before action or pending appeal.
Fla. R. Civ. P. 1.310 Depositions upon oral examination.
Fla. R. Civ. P. 1.340 Interrogatories to parties.
Fla. R. Civ. P. 1.380 Failure to make discovery; sanctions.



 Pt. I. ,  Rule 5.030. 
Fla. Prob. R. 5.030

RULE 5.030. ATTORNEYS.
(a) Required; Exception. Every guardian and every personal

representative, unless the personal representative remains the sole interested
person, shall be represented by an attorney admitted to practice in Florida. A
guardian or personal representative who is an attorney admitted to practice in
Florida may represent himself or herself as guardian or personal
representative. A guardian advocate is not required to be represented by an
attorney unless otherwise required by law or the court.

(b) Limited Appearance without Court Order. An attorney of record for
an interested person in a proceeding governed by these rules shall be the
attorney of record in all other proceedings in the administration of the same
estate or guardianship, except service of process in an independent action on
a claim, unless at the time of appearance the attorney files a notice
specifically limiting the attorneys appearance only to the particular
proceeding or matter in which the attorney appears. At the conclusion of that
proceeding or matter, the attorneys role terminates upon the attorney filing
notice of completion of limited appearance and serving a copy on the client
and other interested persons.

(c) Withdrawal or Limited Appearance with Court Order. An attorney
of record may withdraw or limit the attorneys appearance with approval of
the court after filing a motion setting forth the reasons and serving a copy on
the client and other interested persons.

COMMITTEE NOTES

The appearance of an attorney in an estate is a general appearance unless
(i) specifically limited at the time of such appearance or (ii) the court orders
otherwise. This rule does not affect the right of a party to employ additional
attorneys who, if members of The Florida Bar, may appear at any time.

Rule History
1975 Revision: Subdivision (a) is same as prior rule 5.040 with added

provision for withdrawal of attorney similar to Florida Rule of Appellate



Procedure 2.3(d)(2). Subdivision (b) reflects ruling in case of State ex rel.
Falkner v. Blanton, 297 So. 2d 825 (Fla. 1974).

1977 Revision: Editorial change requiring filing of petition for withdrawal
and service of copy upon interested persons. Editorial change in citation
forms in rule and committee note.

1984 Revision: Minor editorial changes and addition of subdivision (c).
Committee notes expanded.

1988 Revision: Editorial changes and order of subdivisions rearranged.
Committee notes expanded. Citation form changes in committee notes.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

2003 Revision: Committee notes revised.
2005 Revision: Committee notes revised.
2006 Revision: Committee notes revised.
2008 Revision: Subdivision (a) amended to reflect that a guardian advocate

may not be required to be represented by an attorney in some instances.
Committee notes revised.

2010 Revision: Subdivisions (b) and (c) amended to clarify the procedure
for termination of an attorneys representation of an interested person either
with or without court order.

2012 Revision: Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 731.301, Fla. Stat. Notice.
 733.106, Fla. Stat. Costs and attorney fees.
 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.6175, Fla. Stat. Proceedings for review of employment of agents and

compensation of personal representatives and employees of estate.
 744.108, Fla. Stat. Guardians and attorneys fees and expenses.



 744.3085, Fla. Stat. Guardian advocates.
Rule References
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.110(b), (c) Resident agent.
Fla. R. Gen. Prac. & Jud. Admin. 2.505 Attorneys.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. App. P. 9.440 Attorneys.



 Pt. I. ,  Rule 5.040. 
Fla. Prob. R. 5.040

RULE 5.040. NOTICE.
(a) Formal Notice.

(1) Procedure for Formal Notice. When formal notice is given, a copy of
the pleading or motion shall be served on interested persons, together with
a notice requiring the person served to serve written defenses on the person
giving notice within 20 days after service of the notice, exclusive of the
day of service, and to file the original of the written defenses with the clerk
of the court either before service or immediately thereafter, and notifying
the person served that failure to serve written defenses as required may
result in a judgment or order for the relief demanded in the pleading or
motion, without further notice.

(2) Effect of Service of Formal Notice. After service of formal notice,
informal notice of any hearing on the pleading or motion shall be served on
interested persons, provided that if no written defense is served within 20
days after service of formal notice on an interested person, the pleading or
motion may be considered ex parte as to that person, unless the court
orders otherwise.

(3) Manner of Service of Formal Notice. Formal notice shall be served
in the following manner:

(A) by sending a copy by any commercial delivery service requiring a
signed receipt or by any form of mail requiring a signed receipt;

(B) as provided in the Florida Rules of Civil Procedure for service of
process;

(C) as otherwise provided by Florida law for service of process; or
(D) by first-class mail when only in rem or quasi in rem relief is

sought against a person if:
(i) registered or certified mail service to the addressee requiring a

signed receipt is unavailable and if delivery by commercial delivery
service requiring a signed receipt is also unavailable;

(ii) delivery pursuant to subdivision (a)(3)(A) is attempted and is



refused by the addressee; or
(iii) delivery pursuant to subdivision (a)(3)(A) is attempted and is

unclaimed after notice to the addressee by the delivering entity.
(4) Persons to be Served. Service of formal notice under (a)(3)(A) and

(a)(3)(D) shall be made on the following:
(A) service on an interested person represented by an attorney shall be

made by delivery to the attorney at his or her regular place of business;
(B) service on an interested person who has filed a request for notice

shall be made by delivery to such interested person at the address given
in the request for notice;

(C) service on an incapacitated person or a person with a
developmental disability shall be made by delivery:

(i) to such person at his or her usual place of abode; and
(ii) to such persons legal guardian at the legal guardians usual

place of abode or regular place of business or, if such person does not
have a legal guardian, to the person having care or custody of such
person at his or her usual place of abode or regular place of business;
(D) service on a minor whose disabilities of nonage are not removed

shall be made by delivery to the persons designated to accept service of
process on a minor under chapter 48, Florida Statutes, at their usual
place of abode or regular place of business;

(E) service on any other individual shall be made by delivery to such
individual at his or her usual place of abode or to any person authorized
to receive service of a summons on behalf of the individual as provided
in chapter 48, Florida Statutes; or

(F) service on a corporation or other business entity shall be made by
delivery to such corporation or other business entity as provided in
chapter 48, Florida Statutes.
(5) Completion of Service. Service of formal notice pursuant to

subdivision (a)(3)(A) shall be complete upon receipt by the person to
whom delivery is made. Service of formal notice pursuant to subdivision
(a)(3)(B) shall be complete as provided in the Florida Rules of Civil



Procedure for service of process. Service of formal notice pursuant to
subdivision (a)(3)(C) shall be complete as provided by Florida law for
service of process. Service of formal notice pursuant to subdivision (a)(3)
(D) shall be complete upon mailing.

(6) Proof of Service. Proof of service shall be by verified statement of
the person serving formal notice and there shall be attached to the verified
statement the receipt signed by the person to whom delivery was made or
other evidence satisfactory to the court that delivery was made.
Alternatively, if service is obtained pursuant to subdivision (a)(3)(D), the
verified statement must state the basis for service by first-class mail, the
date of mailing, and the address to which the first-class mail was sent.
Proof of service pursuant to subdivisions (a)(3)(B) or (a)(3)(C) shall be
made as provided by Florida law for service of process.
(b) Informal Notice. When informal notice of a petition or other

proceeding is required or permitted, it shall be served as provided in rule
5.041.

(c) Notice Defined. In these rules, the Florida Probate Code, and the
Florida Guardianship Law notice shall mean informal notice unless formal
notice is specified.

(d) Formal Notice Optional. Formal notice may be given in lieu of
informal notice at the option of the person giving notice unless the court
orders otherwise. When formal notice is given in lieu of informal notice,
formal notice shall be given to all interested persons entitled to notice. When
formal notice is given in lieu of informal notice, that notice does not modify
any time period otherwise specified by statute or these rules.

(e) In the Manner Provided for Service of Formal Notice. If a document
is served in the manner provided for service of formal notice, service is
completed on receipt of the document, and proof of service shall be in the
manner set forth in subdivision (a)(4)(6).

COMMITTEE NOTES

Formal notice is the method of service used in probate proceedings and the
method of service of process for obtaining in rem jurisdiction over the
persons interest in the estate property. The court does not acquire personal



jurisdiction over a person by service of formal notice. The manner provided
for service of formal notice is as provided in rule 5.040(a)(3).

Informal notice is the method of service of notice given to interested
persons entitled to notice when formal notice is not given or required.

Reference in this rule to the terms mail or mailing refers to use of the
United States Postal Service.

Rule History
1975 Revision: Implements section 731.301, Florida Statutes.
1977 Revision: Reference to elisor.
1980 Revision: Editorial changes. Clarification of time for filing defenses

after formal notice. Authorizes court to give relief to delinquent respondent
from ex parte status; relief from service on numerous persons; allows
optional use of formal notice.

1984 Revision: Editorial changes. Eliminates deadline for filing as
opposed to serving defenses after formal notice; defines procedure
subsequent to service of defenses after formal notice; new requirements for
service of formal notice on incompetents and corporations; defines when
service of formal notice is deemed complete; provisions relating to method of
service of informal notice transferred to new rules 5.041 and 5.042;
eliminates waiver of notice by will.

1988 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

1991 Revision: Subdivision (b) amended to define informal notice more
clearly.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

1996 Revision: Subdivision (a) amended to permit service of formal notice
by commercial delivery service to conform to 1993 amendment to section
731.301(1), Florida Statutes. Editorial changes.

2001 Revision: Editorial changes in subdivision (a)(3)(A) to clarify
requirements for service of formal notice.



2003 Revision: Committee notes revised.
2005 Revision: Subdivision (a)(3)(A) amended to delete requirement of

court approval of commercial delivery service.
2006 Revision: Committee notes revised.
2007 Revision: Committee notes revised.
2007 Revision: New subdivision (a)(3)(A)(iv) inserted in response to

Cason ex rel. Saferight v. Hammock, 908 So.2d 512 (Fla. 5th DCA 2005),
and subsequent subdivisions renumbered accordingly. Committee notes
revised.

2008 Revision: Subdivision (a)(3)(A)(iii) revised to include person with a
developmental disability. Committee notes revised.

2010 Revision: Subdivision (d) amended to clarify that the optional use of
formal notice when only informal notice is required does not modify any time
period otherwise specified by statute or rule. Committee notes revised.

2012 Revision: Subdivision (b) revised to reflect amendment to rule 5.041.
2016 Revision: Subdivision (e) created to specify when service in the

manner provided for service of formal notice is completed. Committee notes
revised.

2019 Revision: Subdivision (a) reformatted for easier reading and
corrected syntax. Subdivision (a)(3)(D) amended to provide for service by
first-class mail when only in rem or quasi in rem relief is sought under certain
circumstances. Committee notes revised.

2020 Revision: Committee notes amended.
Statutory References
 1.01(3), Fla. Stat. Definitions.
ch. 48, Fla. Stat. Process and service of process.
ch. 49, Fla. Stat. Constructive service of process.
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 731.105, Fla. Stat. In rem proceeding.
 731.201(18), (22), Fla. Stat. General definitions.



 731.301, Fla. Stat. Notice.
 731.302, Fla. Stat. Waiver and consent by interested person.
 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.2123, Fla. Stat. Adjudication before issuance of letters.
 733.502, Fla. Stat. Resignation of personal representative.
 733.613, Fla. Stat. Personal representatives right to sell real property.
 733.6175, Fla. Stat. Proceedings for review of employment of agents and

compensation of personal representatives and employees of estate.
 733.901, Fla. Stat. Final discharge.
ch 743, Fla. Stat. Disability of nonage of minors removed.
 744.106, Fla. Stat. Notice.
 744.301, Fla. Stat. Natural guardians.
 744.3085, Fla. Stat. Guardian advocates.
 744.3201, Fla. Stat. Petition to determine incapacity.
 744.331, Fla. Stat. Procedures to determine incapacity.
 744.3371, Fla. Stat. Notice of petition for appointment of guardian and

hearing.
 744.441, Fla. Stat. Powers of guardian upon court approval.
 744.447, Fla. Stat. Petition for authorization to act.
 744.477, Fla. Stat. Proceedings for removal of a guardian.
Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.030 Attorneys.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.180 Waiver and consent.



Fla. Prob. R. 5.560 Petition for appointment of a guardian of an
incapacitated person.

Fla. Prob. R. 5.649 Guardian advocate.
Fla. Prob. R. 5.681 Restoration of rights of person with developmental

disability.
Fla. R. Gen. Prac. & Jud. Admin. 2.505 Attorneys.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. Civ. P. 1.070 Process.
Fla. R. Civ. P. Form 1.902 Summons.



 Pt. I. ,  Rule 5.041. 
Fla. Prob. R. 5.041

RULE 5.041. SERVICE OF PLEADINGS AND DOCUMENTS.
Unless the court orders otherwise, every petition or motion for an order

determining rights of an interested person, and every other pleading or
document filed in the particular proceeding which is the subject matter of
such petition or motion, except applications for witness subpoenas, shall be
served on interested persons as set forth in Florida Rule of General Practice
and Judicial Administration 2.516 unless these rules, the Florida Probate
Code, or the Florida Guardianship Law provides otherwise. No service need
be made on interested persons against whom a default has been entered, or
against whom the matter may otherwise proceed ex parte, unless a new or
additional right or demand is asserted. For purposes of this rule an interested
person shall be deemed a party under rule 2.516.

If the interested person is a minor whose disabilities of nonage are not
removed, and who is not represented by an attorney, then service shall be on
the persons designated to accept service of process on a minor under chapter
48, Florida Statutes.

COMMITTEE NOTES

Derived from Florida Rule of Civil Procedure 1.080. Regulates the service
of pleadings and documents in proceedings on petitions or motions for
determination of rights. It is not applicable to every pleading and document
served or filed in the administration of a guardianship or decedents estate.

Rule History
1984 Revision: New rule. Subdivision (c) is same as former rule 5.040(d).
1988 Revision: Committee notes revised. Citation form changes in

committee notes.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
1996 Revision: Subdivision (b) amended to allow service to be made by

facsimile. Committee notes revised.



2000 Revision: Subdivision (b) amended to clarify requirements for
service of pleadings and papers. Subdivision (e) amended to clarify date of
filing. Editorial changes in subdivision (f).

2003 Revision: Committee notes revised.
2005 Revision: Changes in subdivisions (b) and (f) to clarify service

requirements, and editorial changes in (e).
2006 Revision: Committee notes revised.
2007 Revision: Provisions regarding service on a minor added in

subdivision (b) in response to Cason ex rel. Saferight v. Hammock, 908 So.
2d 512 (Fla. 5th DCA 2005). Committee notes revised.

2008 Revision: Committee notes revised.
2010 Revision: Committee notes revised.
2012 Revision: Portions of subdivision (b) and all of subdivisions (d), (e),

(f), and (g) deleted in response to creation of Rule 2.516 of the Rules of
General Practice and Judicial Administration. Committee notes revised.

2016 Revision: Committee notes revised.
Statutory References
ch. 39, Fla. Stat. Proceedings relating to children.
ch. 48, Fla. Stat. Process and service of process.
ch. 61, Fla. Stat. Dissolution of marriage; support; time-sharing.
ch. 63, Fla. Stat. Adoption.
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 731.201, Fla. Stat. General definitions.
 731.301, Fla. Stat. Notice.
 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.2123, Fla. Stat. Adjudication before issuance of letters.
 733.705(2), (4), Fla. Stat. Payment of and objection to claims.
ch. 743, Fla. Stat. Disability of nonage of minors removed.



 744.3085, Fla. Stat. Guardian advocates.
 744.3201, Fla. Stat. Petition to determine incapacity.
 744.331, Fla. Stat. Procedures to determine incapacity.
 744.3371, Fla. Stat. Notice of petition for appointment of guardian and

hearing.
 744.447, Fla. Stat. Petition for authorization to act.
ch. 751, Fla. Stat. Temporary custody of minor children by extended

family.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.030 Attorneys.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.150(c) Order requiring accounting.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.240(a) Notice of administration.
Fla. Prob. R. 5.340(d) Inventory.
Fla. Prob. R. 5.550 Petition to determine incapacity.
Fla. Prob. R. 5.560 Petition for appointment of a guardian of an

incapacitated person.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. Prob. R. 5.681 Restoration of rights of person with developmental

disability.
Fla. R. Civ. P. 1.080 Service of pleadings and documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.505 Attorneys.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. I. ,  Rule 5.042. 
Fla. Prob. R. 5.042

RULE 5.042. TIME.
(a) Computation. Computation of time shall be governed by Florida Rule

of General Practice and Judicial Administration 2.514.
(b) Enlargement. When an act is required or allowed to be done at or

within a specified time by these rules, by order of court, or by notice given
thereunder, for cause shown the court at any time in its discretion

(1) with or without notice, may order the period enlarged if request
therefor is made before the expiration of the period originally prescribed or
as extended by a previous order; or

(2) on motion made and notice, after the expiration of the specified
period, may permit the act to be done when failure to act was the result of
excusable neglect. The court under this rule may not extend the time for
serving a motion for rehearing or enlarge any period of time governed by
the Florida Rules of Appellate Procedure.
(c) Service for Hearings. A copy of any written petition or motion which

may not be heard ex parte and a copy of the notice of the hearing thereon
shall be served a reasonable time before the time specified for the hearing.

(d) Additional Time after Service by Mail or E-mail. Florida Rule of
General Practice and Judicial Administration 2.514(b) shall apply to the
computation of time following service, except for documents served by
formal notice or in the manner provided for service of formal notice.

COMMITTEE NOTES

This rule is derived from Florida Rule of Civil Procedure 1.090.
Rule History
1984 Revision: New rule.
1988 Revision: Editorial changes in (a) and (b). Subdivision (a) enlarged to

include closing of the clerks office as a legal holiday. In Clara P. Diamond,
Inc. v. Tam-Bay Realty, Inc., 462 So. 2d 1168 (Fla. 2d DCA 1984), the
Second District Court of Appeal suggested that Florida Rule of Civil



Procedure 1.090(b) be clarified to leave no question that the court may not
extend the time for rehearing, appeal, or petition for certiorari regardless of
whether a request to enlarge the time therefor was made before the expiration
of the time allowed. Because the format of rule 5.042(b) was substantially the
same as the format of rule 1.090(b), subdivision (b) is amended to conform
for the sake of clarity. Committee notes revised.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

2003 Revision: Committee notes revised.
2005 Revision: Subdivision (d) amended to clarify exception to mailing

rule for service of formal notice and service in the manner provided for
service of formal notice. Committee notes revised.

2008 Revision: Committee notes revised.
2012 Revision: Subdivision (a) revised to refer to Rule 2.514 and delete

duplicative provisions. Subdivision (d) revised to incorporate service by e-
mail and the filing and service of documents, rather than papers. Committee
notes revised.

2016 Revision: Subdivision (d) revised to clarify that Florida Rule of
General Practice and Judicial Administration 2.514(b) does not apply if a
document is served by formal notice or in the manner provided for service of
formal notice. Committee notes revised.

Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 683.01, Fla. Stat. Legal holidays.
 731.301, Fla. Stat. Notice.
 732.107, Fla. Stat. Escheat.
 732.2135, Fla. Stat. Time of election; extensions; withdrawal.
 732.402, Fla. Stat. Exempt property.
 732.901, Fla. Stat. Production of wills.
 733.104, Fla. Stat. Suspension of statutes of limitation in favor of the

personal representative.



 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.2121, Fla. Stat. Notice to creditors; filing of claims.
 733.701, Fla. Stat. Notifying creditors.
 733.702, Fla. Stat. Limitations on presentation of claims.
 733.705, Fla. Stat. Payment of and objection to claims.
 733.710, Fla. Stat. Limitations on claims against estates.
 733.816, Fla. Stat. Disposition of unclaimed property held by personal

representatives.
 744.3085, Fla. Stat. Guardian advocates.
Rule References
Fla. Prob. R. 5.040(a)(1) Notice.
Fla. Prob. R. 5.150 Order requiring accounting.
Fla. Prob. R. 5.240 Notice of administration.
Fla. Prob. R. 5.241 Notice to creditors.
Fla. Prob. R. 5.340(a)-(b) Inventory.
Fla. Prob. R. 5.345 Accountings other than personal representatives final

accountings.
Fla. Prob. R. 5.395 Notice of federal estate tax return.
Fla. Prob. R. 5.400 Distribution and discharge.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. Prob. R. 5.681 Restoration of rights of person with developmental

disability.
Fla. Prob. R. 5.700 Objections to guardianship reports.
Fla. R. Civ. P. 1.090 Time.
Fla. R. Gen. Prac. & Jud. Admin. 2.514 Computing and extending time.



 Pt. I. ,  Rule 5.043. 
Fla. Prob. R. 5.043

RULE 5.043. DEPOSIT OF WILLS AND CODICILS.
Notwithstanding any rule to the contrary, and unless the court orders

otherwise, any original executed will or codicil, including but not limited to
an electronic will, deposited with the court must be retained by the clerk in its
original form and must not be destroyed or disposed of by the clerk for 20
years after submission regardless of whether the will or codicil has been
permanently recorded as defined by Florida Rule of General Practice and
Judicial Administration 2.430.

COMMITTEE NOTES

2012 Adoption. Florida Rule of General Practice and Judicial
Administration 2.525 requires that all documents be filed with the court
electronically. Although the Florida Statutes direct the deposit of a will,
rather than the filing of the will, the committee believes that original wills
and codicils should be retained in their original form longer than other
documents filed with the court due to the unique evidentiary aspects of the
actual document. These unique aspects could be lost forever if the original
document were converted to electronic form and the original destroyed.

Rule History
2012 Revision: New Rule.
2020 Revision: Added reference to deposit of electronic wills consistent

with section 732.526, Florida Statutes. Committee notes revised.
Statutory References
 731.201(16), (40), Fla. Stat. General definitions.
 732.526, Fla. Stat. Probate.
 732.901, Fla. Stat. Production of wills.
Rule References
Fla. R. Gen. Prac. & Jud. Admin. 2.430 Retention of court records.
Fla. R. Gen. Prac. & Jud. Admin. 2.525 Electronic filing.



 Pt. I. ,  Rule 5.050. 
Fla. Prob. R. 5.050

RULE 5.050. TRANSFER OF PROCEEDINGS.
(a) Incorrect Venue. When any proceeding is filed laying venue in the

wrong county, the court may transfer the proceeding in the same manner as
provided in the Florida Rules of Civil Procedure. Any action taken by the
court or the parties before the transfer is not affected because of the improper
venue.

(b) Change of Residence of Ward. When the residence of a ward is
changed to another county, the guardian of the person or the guardian
advocate shall have the venue of the guardianship changed to the county of
the acquired residence.

COMMITTEE NOTES

Subdivision (b) of this rule represents a rule implementation of the
procedure found in section 744.1097(3), Florida Statutes.

Rule History
1975 Revision: Same as section 733.101(3), Florida Statutes.
1977 Revision: Title changed to indicate that the rule is one dealing with

transfer.
1988 Revision: Prior rule renumbered as (a). New (b) is rule

implementation of procedure in section 744.202(2), Florida Statutes. Editorial
changes. Committee notes expanded. Citation form changes in rule and
committee notes.

1991 Revision: Editorial changes.
1992 Revision: Committee notes revised. Citation form changes in

committee notes.
2003 Revision: Committee notes revised.
2008 Revision: Change in (b) to add reference to guardian advocate.

Committee notes revised.
2016 Revision: Committee notes revised to reflect renumbering of section



744.202(3) to section 744.1097(3), Florida Statutes. Updated statutory
references.

Statutory References
ch. 47, Fla. Stat. Venue.
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 733.101, Fla. Stat. Venue of probate proceedings.
 744.106, Fla. Stat. Notice.
 744.1096, Fla. Stat. Domicile of ward.
 744.1097, Fla. Stat. Venue.
 744.1098, Fla. Stat. Change of wards residence.
 744.306, Fla. Stat. Foreign guardians.
 744.3085, Fla. Stat. Guardian advocates.
 744.3201, Fla. Stat. Petition to determine incapacity.
Rule References
Fla. Prob. R. 5.200(d) Petition for administration.
Fla. Prob. R. 5.240(b)(3), (d) Notice of administration.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. R. Civ. P. 1.060 Transfers of actions.



 Pt. I. ,  Rule 5.060. 
Fla. Prob. R. 5.060

RULE 5.060. REQUEST FOR NOTICES AND COPIES OF
PLEADINGS.

(a) Request. Any interested person who desires notice of proceedings in
the estate of a decedent or ward may file a separate written request for notice
of further proceedings, designating therein such persons residence and post
office address. When such persons residence or post office address changes,
a new designation of such change shall be filed in the proceedings. A person
filing such request, or address change, must serve a copy on the attorney for
the personal representative or guardian and include a certificate of service.

(b) Notice and Copies. A party filing a request shall be served thereafter
by the moving party with notice of further proceedings and with copies of
subsequent pleadings and documents as long as the party is an interested
person.

COMMITTEE NOTES

Rule History
1975 Revision: This rule substantially incorporates the provisions of prior

rule 5.060 except that now a copy of the request shall be mailed by the clerk
only to the attorney for the personal representative or guardian. Even though
arequest under this rule has not been made, informal notice as provided in
rule 5.040(b)(3) may still be required.

1977 Revision: Editorial and citation form change in committee note.
1980 Revision: Caveat, the personal representative may want to give notice

to parties even though not required, for example, where an independent
action has been filed on an objected claim.

1988 Revision: Captions added to subdivisions. Committee notes
expanded. Citation form changes in committee notes.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

2003 Revision: Committee notes revised.



2010 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
2013 Revision: Subdivisions (a) and (b) revised to reflect service of

documents, rather than papers. Subdivision (a) revised to shift responsibility
for service of the request from the clerk to the interested person making the
request for notice and copies. Editorial changes to conform to the courts
guidelines for rule submissions as set forth in AOSC06-14.

Statutory References
 731.201, Fla. Stat. General definitions.
 733.604, Fla. Stat. Inventories and accountings; public records

exemptions.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.340 Inventory.
Fla. Prob. R. 5.341 Estate information.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. I. ,  Rule 5.065. 
Fla. Prob. R. 5.065

RULE 5.065. NOTICE OF CIVIL ACTION OR ANCILLARY
ADMINISTRATION.

(a) Civil Action. A personal representative and a guardian shall file a
notice when a civil action has been instituted by or against the personal
representative or the guardian. The notice shall contain:

(1) the names of the parties;
(2) the style of the court and the case number;
(3) the county and state where the proceeding is pending;
(4) the date of commencement of the proceeding; and
(5) a brief statement of the nature of the proceeding.

(b) Ancillary Administration. The domiciliary personal representative
shall file a notice when an ancillary administration has commenced, which
notice shall contain:

(1) the name and residence address of the ancillary personal
representative; and

(2) the information required in subdivisions (a)(2), (3), and (4) above.
(c) Copies Exhibited. A copy of the initial pleading may be attached to the

notice. To the extent an attached initial pleading states the required
information, the notice need not restate it.

COMMITTEE NOTES

This rule reflects a procedural requirement not founded on a statute or rule.
Rule History
1984 Revision: New rule.
1988 Revision: Committee notes expanded.
1992 Revision: Editorial change. Citation form changes in committee

notes.



2000 Revision: Subdivision (b) amended to eliminate requirement to set
forth nature and value of ancillary assets.

2020 Revision: Statutory references amended.
Statutory References
 733.612(20), Fla. Stat. Transactions authorized for the personal

representative; exceptions.
 744.441(1)(k), Fla. Stat. Powers of guardian upon court approval.



 Pt. I. ,  Rule 5.080. 
Fla. Prob. R. 5.080

RULE 5.080. DISCOVERY AND SUBPOENA.
(a) Adoption of Civil Rules. The following Florida Rules of Civil

Procedure shall apply in all probate and guardianship proceedings:
(1) Rule 1.280, general provisions governing discovery.
(2) Rule 1.290, depositions before action or pending appeal.
(3) Rule 1.300, persons before whom depositions may be taken.
(4) Rule 1.310, depositions upon oral examination.
(5) Rule 1.320, depositions upon written questions.
(6) Rule 1.330, use of depositions in court proceedings.
(7) Rule 1.340, interrogatories to parties.
(8) Rule 1.350, production of documents and things and entry upon land

for inspection and other purposes.
(9) Rule 1.351, production of documents and things without deposition.
(10) Rule 1.360, examination of persons.
(11) Rule 1.370, requests for admission.
(12) Rule 1.380, failure to make discovery; sanctions.
(13) Rule 1.390, depositions of expert witnesses.
(14) Rule 1.410, subpoena.

(b) Limitations and Costs. In order to conserve the assets of the estate,
the court has broad discretion to limit the scope and the place and manner of
the discovery and to assess the costs, including attorneys fees, of the
discovery against the party making it or against 1 or more of the beneficiaries
of the estate or against the ward in such proportions as the court determines,
considering, among other factors, the benefit derived therefrom.

(c) Application. It is not necessary to have an adversary proceeding under
rule 5.025 to utilize the rules adopted in subdivision (a) above. Any interested
person may utilize the rules adopted in subdivision (a).



COMMITTEE NOTES

Subdivision (b) is not intended to result in the assessment of costs,
including attorneys fees, in every instance in which discovery is sought.
Subdivision (c) is not intended to overrule the holdings in In re Estate of
Shaw, 340 So. 2d 491 (Fla. 3d DCA 1976), and In re Estate of Posner, 492
So. 2d 1093 (Fla. 3d DCA 1986).

Rule History
1975 Revision: This rule is the same as prior rule 5.080, broadened to

include guardianships and intended to clearly permit the use of discovery
practices in nonadversary probate and guardianship matters.

1977 Revision: Editorial change in citation form in committee note.
1984 Revision: Florida Rules of Civil Procedure 1.290, 1.300, 1.351, and

1.410 have been added.
1988 Revision: Subdivision (a)(15) deleted as duplicative of rule 5.070

Subpoena. Editorial change in (b). Citation form change in committee notes.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
1996 Revision: Reference to rule 1.400 eliminated because of deletion of

that rule from the Florida Rules of Civil Procedure. Editorial change.
2002 Revision: Reference to rule 1.410 transferred to subdivision (a) from

former rule 5.070. Subdivision (b) amended to give court discretion to assess
attorneys fees. Subdivision (c) added. Committee notes revised.

2006 Revision: Committee notes revised.
2007 Revision: Committee notes revised.
2016 Revision: Florida Rule of Civil Procedure 1.451 has been added to

subdivision (a). Committee notes revised.
Statutory References
 731.201(23), Fla. Stat. General definitions.
 733.106, Fla. Stat. Costs and attorneys fees.
 744.105, Fla. Stat. Costs.



 744.108, Fla. Stat. Guardians and attorneys fees and expenses.
Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. R. Gen. Prac. & Jud. Admin. 2.535 Court reporting.



 Pt. I. ,  Rule 5.095. 
Fla. Prob. R. 5.095

RULE 5.095. GENERAL AND SPECIAL MAGISTRATES.
(a) General Magistrates. The court may appoint general magistrates as

the court finds necessary. General magistrates shall be members of The
Florida Bar and shall continue in office until removed by the court. The order
making an appointment shall be recorded. Each general magistrate shall take
the oath required of officers by the Florida Constitution. The oath shall be
recorded before the magistrate begins to act.

(b) Special Magistrates. The court may appoint members of The Florida
Bar as special magistrates for any particular service required by the court.
Special magistrates shall be governed by all laws and rules relating to general
magistrates, except special magistrates shall not be required to make oath
unless specifically required by the court. For good cause shown, the court
may appoint a person other than a member of The Florida Bar as a special
magistrate.

(c) Reference. No referral shall be made to a magistrate without the
consent of the parties. When a referral is made to a magistrate, either party
may set the action for hearing before the magistrate.

(d) General Powers and Duties. Every magistrate shall act under the
direction of the court. Process issued by a magistrate shall be directed as
provided by law. All grounds for disqualification of a judge shall apply to
magistrates.

(e) Bond. When not otherwise provided by law, the court may require
magistrates who are appointed to dispose of real or personal property to give
bond and surety conditioned for the proper payment of all money that may
come into their hands and for the due performance of their duties. The bond
shall be made payable to the State of Florida and shall be for the benefit of all
persons aggrieved by any act of the magistrate.

(f) Hearings. Hearings before any magistrate may be held in the county
where the action is pending or at any other place by order of the court for the
convenience of the witnesses or the parties. The magistrate shall assign a time
and place for proceedings as soon as reasonably possible after a referral is
made and give notice to all parties. If any party fails to appear, the magistrate



may proceed ex parte or may continue the hearing to a future day, with notice
to the absent party. The magistrate shall proceed with reasonable diligence
and the least practicable delay. Any party may apply to the court for an order
directing the magistrate to accelerate the proceedings and to make a report
promptly. Evidence shall be taken in writing or by electronic recording by the
magistrate or by some other person under the magistrates authority in the
magistrates presence and shall be filed with the magistrates report. The
magistrate may examine and take testimony from the parties and their
witnesses under oath on all matters contained in the referral and may require
production of all books, papers, writings, vouchers, and other documents
applicable to those matters. The magistrate shall admit only evidence that
would be admissible in court. The magistrate may take all actions concerning
evidence that may be taken by the court. All parties accounting before a
magistrate shall bring in their accounts in the form of accounts payable and
receivable, and any other parties who are not satisfied with the account may
examine the accounting party orally or by interrogatories or deposition as the
magistrate directs. All depositions and documents that have been taken or
used previously in the action may be used before the magistrate.

(g) Magistrates Report. The magistrates report shall contain a
description of the matters considered and the magistrates conclusion and any
recommendations. No part of any statement of facts, account, charge,
deposition, examination, or answer used before the magistrate shall be
recited.

(h) Filing Report; Notice; Exceptions. The magistrate shall file the report
and serve copies on the parties. The parties may serve exceptions to the
report within 10 days from the time it is served on them. If no exceptions are
filed within that period, the court shall take appropriate action on the report.
All timely filed exceptions shall be heard on reasonable notice by either
party.

(i) Application of Rule. This rule shall not apply to the appointment of
magistrates for the specific purpose of reviewing guardianship inventories,
accountings, and plans as otherwise governed by law and these rules.

COMMITTEE NOTES

Rule History



2007 Revision: This rule, patterned after Florida Rule of Civil Procedure
1.490, is created to implement the use of magistrates in probate and
guardianship proceedings other than those specifically addressed in rule
5.697.

Rule References
Fla. Prob. R. 5.697 Magistrates review of guardianship inventories,

accountings, and plans.
Fla. R. Civ. P. 1.490 Magistrates.



 Pt. I. ,  Rule 5.100. 
Fla. Prob. R. 5.100

RULE 5.100. RIGHT OF APPEAL.
Appeal of final orders and discretionary appellate review of non-final

orders are governed by the Florida Rules of Appellate Procedure.

COMMITTEE NOTES

For purposes of appellate review, the service of a motion for rehearing
postpones rendition of final orders only. A motion for rehearing of a non-
final order does not toll the running of the time to seek review of that order.

Rule History
1975 Revision: Same as prior rule 5.100 with editorial changes.
1977 Revision: Citation form change in committee note.
1988 Revision: Committee notes expanded. Citation form changes in rule

and committee notes.
1992 Revision: Editorial changes. Citation form changes in committee

notes.
1996 Revision: Superseded by Florida Rule of Appellate Procedure

9.110(a)(2).
2000 Revision: Rewritten because former rule was superseded. Revisions

to committee notes to amend text and to include cross-references to other
rules.

2003 Revision: Committee notes revised.
Rule References
Fla. Prob. R. 5.020(d) Pleadings; verifications; motions.
Fla. R. App. P. 9.020(h) Definitions.
Fla. R. App. P. 9.110(a)(2), (b) Appeal proceedings to review final orders

of lower tribunals and orders granting new trial in jury and non-jury cases.
Fla. R. App. P. 9.130(b) Proceedings to review non-final orders and



specified final orders.



 Pt. I. ,  Rule 5.110. 
Fla. Prob. R. 5.110

RULE 5.110. ADDRESS DESIGNATION FOR PERSONAL
REPRESENTATIVE OR GUARDIAN; DESIGNATION OF
RESIDENT AGENT AND ACCEPTANCE.

(a) Address Designation of Personal Representative or Guardian.
Before letters are issued, the personal representative or guardian must file a
designation of street address, and mailing address. If the personal
representative or guardian is an individual, the designation must also include
the individuals residence address. The personal representative or guardian
must notify the court of any change in its residence address, street address, or
mailing address within 20 days of the change.

(b) Designation of Resident Agent. Before letters are issued, a personal
representative or guardian must file a designation of resident agent for service
of process or notice, and the acceptance by the resident agent. A designation
of resident agent is not required if a personal representative or guardian is (1)
a corporate fiduciary having an office in Florida, or (2) a Florida Bar member
who is a resident of and has an office in Florida. The designation must
contain the name, street address, and mailing address of the resident agent. If
the resident agent is an individual who is not an attorney, the designation
must also include the individuals residence address.

(c) Residency Requirement. A resident agent, other than a member of
The Florida Bar who is a resident of Florida, must be a resident of the county
where the proceedings are pending.

(d) Acceptance by Resident Agent. The resident agent must sign a
written acceptance of designation.

(e) Incorporation in Other Pleadings. The designation of the address of
the personal representative or guardian, the designation of resident agent, or
acceptance may be incorporated in the petition for administration, the petition
for appointment of guardian, or the personal representatives or guardians
oath.

(f) Effect of Designation and Acceptance. The designation of and
acceptance by the resident agent shall constitute consent to service of process
or notice on the agent and shall be sufficient to bind the personal



representative or guardian:
(1) in its representative capacity in any action; and
(2) in its personal capacity only in those actions in which the personal

representative or guardian is sued personally for claims arising from the
administration of the estate or guardianship.
(g) Successor Agent. If the resident agent dies, resigns, or is unable to act

for any other reason, the personal representative or guardian must appoint a
successor agent within 10 days after receiving notice that such event has
occurred.

COMMITTEE NOTES

Rule History
1977 Revision: Change in committee note to conform to statutory

renumbering.
Substantially the same as prior rule 5.210, except that under prior rule,

designation was required to be filed within 10 days after letters issued.
1984 Revision: Captions added to subdivisions. New subdivision (b)

added. Requires filing acceptance at the same time as filing designation.
Committee notes revised.

1988 Revision: Change in (c) to clarify that the personal representative, if a
member of The Florida Bar, may not also serve as resident agent for service
of process or notice. Citation form change in committee notes.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

2000 Revision: Extensive editorial changes to rule. Rule reformatted for
clarity and revised to permit an attorney serving as resident agent to designate
a business address in lieu of a residence address.

2003 Revision: Committee notes revised.
2008 Revision: Committee notes revised.
2010 Revision: Subdivision (a) amended to require the personal

representative or guardian to notify the court of any change of address to



facilitate timely communication with the personal representative or guardian.
2013 Revision: Subdivision (b) amended to limit to individuals the

requirement that the guardian or personal representative provide a
designation of residence address, excluding corporate fiduciaries. Editorial
changes to conform to the courts guidelines for rules submissions as set forth
in AOSC06-14.

Rule References
Fla. Prob. R. 5.200 Petition for administration.
Fla. Prob. R. 5.320 Oath of personal representative.
Fla. Prob. R. 5.560 Petition for appointment of guardian of an

incapacitated person.
Fla. Prob. R. 5.649 Guardian advocate.



 Pt. I. ,  Rule 5.120. 
Fla. Prob. R. 5.120

RULE 5.120. ADMINISTRATOR AD LITEM AND GUARDIAN AD
LITEM.

(a) Appointment. When it is necessary that the estate of a decedent or a
ward be represented in any probate or guardianship proceeding and there is
no personal representative of the estate or guardian of the ward, or the
personal representative or guardian is or may be interested adversely to the
estate or ward, or is enforcing the personal representatives or guardians own
debt or claim against the estate or ward, or the necessity arises otherwise, the
court may appoint an administrator ad litem or a guardian ad litem, as the
case may be, without bond or notice for that particular proceeding. At any
point in a proceeding, a court may appoint a guardian ad litem to represent
the interests of an incapacitated person, an unborn or unascertained person, a
minor or any other person otherwise under a legal disability, a person with a
developmental disability, or a person whose identity or address is unknown,
if the court determines that representation of the interest otherwise would be
inadequate. If not precluded by conflict of interest, a guardian ad litem may
be appointed to represent several persons or interests. The administrator ad
litem or guardian ad litem shall file an oath to discharge all duties faithfully
and upon the filing shall be qualified to act. No process need be served upon
the administrator ad litem or guardian ad litem, but such person shall appear
and defend as directed by the court.

(b) Petition. The petition for appointment of a guardian ad litem shall state
to the best of petitioners information and belief:

(1) the initials and residence address of each minor, person with a
developmental disability, or incapacitated person and year of birth of each
minor who has an interest in the proceedings;

(2) the name and address of any guardian appointed for each minor,
person with a developmental disability, or incapacitated person;

(3) the name and residence address of any living natural guardians or
living natural guardian having legal custody of each minor, person with a
developmental disability, or incapacitated person;

(4) a description of the interest in the proceedings of each minor, person



with a developmental disability, or incapacitated person; and
(5) the facts showing the necessity for the appointment of a guardian ad

litem.
(c) Notice. Within 10 days after appointment, the petitioner shall serve

conformed copies of the petition for appointment of a guardian ad litem and
order to any guardian, or if there is no guardian, to the living natural
guardians or the living natural guardian having legal custody of the minor,
person with a developmental disability, or incapacitated person.

(d) Report. The guardian ad litem shall serve conformed copies of any
written report or finding of the guardian ad litems investigation and answer
filed in the proceedings, petition for compensation and discharge, and the
notice of hearing on the petition to any guardian, or in the event that there is
no guardian, to the living natural guardians or the living natural guardian
having legal custody of the minor, person with a developmental disability, or
incapacitated person.

(e) Service of Petition and Order. Within 10 days after appointment, the
petitioner for an administrator ad litem shall serve conformed copies of the
petition for appointment and order to the attorney of record of each
beneficiary and to each known beneficiary not represented by an attorney of
record.

(f) Enforcement of Judgments. When an administrator ad litem or
guardian ad litem recovers any judgment or other relief, it shall be enforced
as other judgments. Execution shall issue in favor of the administrator ad
litem or guardian ad litem for the use of the estate or ward and the money
collected shall be paid to the personal representative or guardian, or as
otherwise ordered by the court.

(g) Claim of Personal Representative. The fact that the personal
representative is seeking reimbursement for claims against the decedent paid
by the personal representative does not require appointment of an
administrator ad litem.

COMMITTEE NOTES

Rule History



1977 Revision: Editorial change in (a) limiting application of rule to
probate and guardianship proceedings. In (b) the petition for appointment of a
guardian need not be verified. Deletion of (g) as being substantive rather than
procedural and changing former (h) to new (g). Change in committee note to
conform to statutory renumbering.

This rule implements sections 731.303(5), 733.308, and 744.391, Florida
Statutes, and includes some of the provisions of prior rule 5.230.

1988 Revision: Editorial changes; captions added to paragraphs. Citation
form changes in committee notes.

1992 Revision: Addition of phrase in subdivision (a) to conform to 1992
amendment to section 731.303(5), Florida Statutes. Editorial changes.
Committee notes revised. Citation form changes in committee notes.

2003 Revision: Committee notes revised.
2006 Revision: Committee notes revised.
2008 Revision: Subdivisions (a), (b), (c), and (d) amended to include

persons with a developmental disability. Committee notes revised.
2012 Revision: The phrase deliver or mail in subdivisions (c), (d), and

(e) has been replaced with the word serve to comply with other rules
relating to service of pleadings and documents. Committee notes revised.

2014 Revision: Amends subdivision (b)(1) to conform to Florida Rule of
General Practice and Judicial Administration 2.425. Committee notes revised.

2020 Revision: Committee notes revised. Citation form changes in
committee notes.

Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 731.303, Fla. Stat. Representation.
 733.308, Fla. Stat. Administrator ad litem.
 733.708, Fla. Stat. Compromise.
 744.3025, Fla. Stat. Claims of minors.
 744.3085, Fla. Stat. Guardian advocates.



 744.387, Fla. Stat. Settlement of claims.
 744.391, Fla. Stat. Actions by and against guardian or ward.
 744.446, Fla. Stat. Conflicts of interest; prohibited activities; court

approval; breach of fiduciary duty.
 985.43, Fla. Stat. Predisposition reports; other evaluations.
 985.441, Fla. Stat. Commitment.
 985.455, Fla. Stat. Other dispositional issues.
Rule References
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. I. ,  Rule 5.122. 
Fla. Prob. R. 5.122

RULE 5.122. CURATORS.
(a) Petition for Appointment. The petition for appointment of a curator

shall be verified and shall contain:
(1) the petitioners name, address, and interest, if any, in the estate;
(2) the decedents name, address, date and place of death, and state and

county of domicile;
(3) the names and addresses of the persons apparently entitled to letters

of administration and any known beneficiaries;
(4) the nature and approximate value of the assets;
(5) a statement showing venue;
(6) a statement as to why a curator should be appointed; and
(7) the name and address of any proposed curator.

The court may appoint a curator sua sponte.
(b) Appointment. Before letters of curatorship are issued, the curator shall

file a designation of resident agent and acceptance, and an oath, as is required
for personal representatives under these rules. The court shall issue letters of
curatorship that shall entitle the curator to possess or control the decedents
property, which the court may enforce through contempt proceedings.

(c) Notice. Formal notice shall be given to the person apparently entitled to
letters, if any. If it is likely that the decedents property will be wasted,
destroyed, or removed beyond the jurisdiction of the court and if the
appointment of a curator would be delayed by giving notice, the court may
appoint a curator without notice.

(d) Powers. By order, the court may authorize the curator to perform any
duty or function of a personal representative, including publication and
service of notice to creditors, or if a will has been admitted, service of notice
of administration.

(e) Inventory and Accounting. The curator shall file an inventory within
30 days after issuance of letters of curatorship. When the personal



representative is appointed, the curator shall account for and deliver all estate
assets in the curators possession to the personal representative within 30
days after issuance of letters of administration.

(f) Petition to Reconsider. If a curator has been appointed without notice,
any interested party who did not receive notice may, at any time, petition to
reconsider the appointment.

(g) Subject to Other Provisions. Curators shall be subject to the
provisions of these rules and other applicable law concerning personal
representatives.

COMMITTEE NOTES

This rule implements the procedure found in section 733.501, Florida
Statutes, as amended in 1997 and 2001. The rule has been modified, in part,
to reflect the addition of new rule 5.241 regarding notice to creditors.
Because the fundamental concern of curatorship is protection of estate
property, the procedure facilitates speed and flexibility while recognizing due
process concerns. It is not intended that this rule change the effect of the
statute from which it has been derived, but the rule has been reformatted to
conform to the structure of these rules. Furthermore, the Committee does not
intend to create a new procedure, except that subdivision (d) specifies certain
acts that the court may authorize the curator to perform. This specificity of
example, while not included in the statute, is not intended to limit the
authorized acts to those specified in the rule. The appointment of a curator
without notice is tantamount to a temporary injunction. Thus, due process
considerations suggest an expedited hearing to reconsider the appointment of
a curator by any interested party who did not receive notice.

Rule History
1988 Revision: New rule.
1992 Revision: Editorial changes. Citation form changes in committee

notes.
2003 Revision: Extensive changes to rule to clarify procedure for

appointment of curator. Committee notes revised.
Statutory References



 733.402, Fla. Stat. Bond of fiduciary; when required; form.
 733.501, Fla. Stat. Curators.
Rule Reference
Fla. Prob. R. 5.020 Pleadings; verification; motions.



 Pt. I. ,  Rule 5.150. 
Fla. Prob. R. 5.150

RULE 5.150. ORDER REQUIRING ACCOUNTING.
(a) Accountings Required by Statute. When any personal representative

or guardian fails to file an accounting or return required by statute or rule, the
court on its own motion or on the petition of an interested person shall order
the personal representative or guardian to file the accounting or return within
15 days from the service on the personal representative or guardian of the
order, or show cause why he or she should not be compelled to do so.

(b) Accountings Not Required by Statute. On the petition of an
interested person, or on its own motion, the court may require the personal
representative or guardian to file an accounting or return not otherwise
required by statute or rule. The order requiring an accounting or return shall
order the personal representative or guardian to file the accounting or return
within a specified time from service on the personal representative or
guardian of the order, or show cause why he or she should not be compelled
to do so.

(c) Service. A copy of the order shall be served on the personal
representative or guardian and the personal representatives or guardians
attorney.

COMMITTEE NOTES

The court on its motion or on petition of an interested person may require a
personal representative or guardian to file an accounting or return not
otherwise required by statute.

Rule History
1977 Revision: Change in committee notes.
1984 Revision: Extensive editorial changes. Committee notes revised and

expanded.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
2003 Revision: Committee notes revised.



2008 Revision: Committee notes revised.
Statutory References
 38.22, Fla. Stat. Power to punish contempts.
 38.23, Fla. Stat. Contempts defined.
 393.12(2)(h), Fla. Stat. Capacity; appointment of guardian advocate.
 733.5036, Fla. Stat. Accounting and discharge following resignation.
 733.508, Fla. Stat. Accounting and discharge of removed personal

representatives upon removal.
 783.901, Fla. Stat. Final discharge.
ch. 738, Fla. Stat. Principal and income.
 744.3085, Fla. Stat. Guardian advocates.
 744.367, Fla. Stat. Duty to file annual guardianship report.
 744.3678, Fla. Stat. Annual accounting.
 744.3685, Fla. Stat. Order requiring guardianship report; contempt.
 744.369, Fla. Stat. Judicial review of guardianship reports.
 744.467, Fla. Stat. Resignation of guardian.
 744.511, Fla. Stat. Accounting upon removal.
 744.517, Fla. Stat. Proceedings for contempt.
 744.521, Fla. Stat. Termination of guardianship.
 744.524, Fla. Stat. Termination of guardianship on change of domicile of

resident ward.
 744.527, Fla. Stat. Final reports and applications for discharge; hearing.
Rule References
Fla. Prob. R. 5.649 Guardian advocate.
Fla. Prob. R. 5.650 Resignation or disqualification of guardian;

appointment of successor.
Fla. Prob. R. 5.660 Proceedings for removal of guardian.



Fla. Prob. R. 5.670 Termination of guardianship on change of domicile of
resident ward.

Fla. Prob. R. 5.680 Termination of guardianship.
Fla. Prob. R. 5.681 Restoration of rights of person with developmental

disability.
Fla. Prob. R. 5.695 Annual guardianship report.
Fla. Prob. R. 5.696 Annual accounting.
Fla. Prob. R. 5.697 Magistrates review of guardianship accountings and

plans.



 Pt. I. ,  Rule 5.160. 
Fla. Prob. R. 5.160

RULE 5.160. PRODUCTION OF ASSETS.
On the petition of an interested person, or on its own motion, the court may

require any personal representative or guardian to produce satisfactory
evidence that the assets of the estate are in the possession or under the control
of the personal representative or guardian and may order production of the
assets in the manner and for the purposes directed by the court.

COMMITTEE NOTES

Rule History
1977 Revision: Change in committee notes.
1984 Revision: Minor editorial changes. Committee notes revised.
1988 Revision: Editorial changes.
1992 Revision: Editorial changes Committee notes revised.
Statutory Reference
 744.373, Fla. Stat. Production of property.



 Pt. I. ,  Rule 5.170. 
Fla. Prob. R. 5.170

RULE 5.170. EVIDENCE.
In proceedings under the Florida Probate Code and the Florida

Guardianship Law the rules of evidence in civil actions are applicable unless
specifically changed by the Florida Probate Code, the Florida Guardianship
Law, or these rules.

COMMITTEE NOTES

Rule History.
1977 Revision: New rule.
1984 Revision: To further clarify the intent of the rule to incorporate the

provisions of the Florida Evidence Code (chapter 90, Florida Statutes) when
not in conflict with the Florida Probate Code or Florida Guardianship Law, or
rules applicable to these particular proceedings.

1992 Revision: Citation form changes in committee notes.
2003 Revision: Committee notes revised.
Statutory References.
ch. 90, Fla. Stat. Florida Evidence Code.
 733.107, Fla. Stat. Burden of proof in contests; presumption of undue

influence.



 Pt. I. ,  Rule 5.171. 
Fla. Prob. R. 5.171

RULE 5.171. EVIDENCE OF DEATH.
In a proceeding under these rules, the following shall apply:
(a) Death certificate. An authenticated copy of a death certificate issued

by an official or agency of the place where the death purportedly occurred or
by an official or agency of the United States is prima facie proof of the fact,
place, date, and time of death and the identity of the decedent.

(b) Other records. A copy of any record or report of a governmental
agency, domestic or foreign, that a person is dead, alive, missing, detained,
or, from the facts related, presumed dead is prima facie evidence of the status,
dates, circumstances, and places disclosed by the record or report.

(c) Extended absence. A person who is absent from the place of that
persons last known domicile for a continuous period of 5 years and whose
absence is not satisfactorily explained after diligent search and inquiry is
presumed dead. The persons death is presumed to have occurred at the end
of the period unless there is evidence establishing that death occurred earlier.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure found in
section 731.103, Florida Statutes. It is not intended to change the effect of the
statute from which it was derived but has been reformatted to conform with
the structure of these rules. It is not intended to create a new procedure or
modify an existing procedure, except that additional language has been added
which was not in the statute, to permit issuance of a death certificate by an
official or agency of the United States. An example would be such a
certificate issued by the Department of State or the Department of Defense.

Rule History
1988 Revision: New rule.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
Statutory References



 731.103, Fla. Stat. Evidence as to death or status.
 744.521, Fla. Stat. Termination of guardianship.
Rule References
Fla. Prob. R. 5.205 Filing evidence of death.
Fla. Prob. R. 5.680 Termination of guardianship.



 Pt. I. ,  Rule 5.180. 
Fla. Prob. R. 5.180

RULE 5.180. WAIVER AND CONSENT.
(a) Manner of Execution. A waiver or consent as authorized by law shall

be in writing and signed by the person executing the waiver or consent.
(b) Contents. The waiver or consent shall state:

(1) the persons interest in the subject of the waiver or consent;
(2) if the person is signing in a fiduciary or representative capacity, the

nature of the capacity;
(3) expressly what is being waived or consented to; and
(4) if the waiver pertains to compensation, language declaring that the

waiving party has actual knowledge of the amount and manner of
determining the compensation and, in addition, either:

(A) that the party has agreed to the amount and manner of
determining that compensation and waives any objection to payment; or

(B) that the party has the right to petition the court to determine the
compensation and waives that right.

(c) Filing. The waiver or consent shall be filed.

COMMITTEE NOTES

One person who serves in two fiduciary capacities may not waive or
consent to the persons acts without the approval of those whom the person
represents. This rule represents a rule implementation of the procedure found
in section 731.302, Florida Statutes.

Rule History
1977 Revision: Extends right of waiver to natural guardian; clarifies right

to waive service of notice of administration.
1984 Revision: Extends waiver to disclosure of compensation and

distribution of assets. Committee notes revised.
1988 Revision: Procedure from section 731.302, Florida Statutes, inserted



as new (1)(f), and a new requirement that the waiver be in writing has been
added. Editorial changes. Committee notes expanded. Citation form changes
in committee notes.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

1996 Revision: Addition of specific fee waiver disclosure requirements
found in  733.6171(9), Florida Statutes, and expanded to cover all fees.
Committee notes revised.

2003 Revision: Committee notes revised.
2006 Revision: Rule extensively amended to remove references to

interested persons right to waive or consent, which is governed by section
731.302, Florida Statutes, and to address manner of execution and contents of
waiver. Committee notes revised.

Statutory References
 731.302, Fla. Stat. Waiver and consent by interested person.
 731.303, Fla. Stat. Representation.
 733.6171, Fla. Stat. Compensation of attorney for the personal

representative.



 Pt. II. 
Fla. Prob. R., Pt. II



PART II. PROBATE
 Pt. II. ,  Rule 5.200. 

Fla. Prob. R. 5.200

RULE 5.200. PETITION FOR ADMINISTRATION.
The petition for administration shall be verified by the petitioner and shall

contain:
(a) a statement of the interest of the petitioner, the petitioners name and

address, and the name and office address of the petitioners attorney;
(b) the name and last known address of the decedent, last 4 digits of the

decedents social security number, date and place of death of the decedent,
and state and county of the decedents domicile;

(c) so far as is known, the names and addresses of the surviving spouse, if
any, the beneficiaries and their relationship to the decedent and the year of
birth of any beneficiaries who are minors;

(d) a statement showing venue;
(e) the priority, under section 733.301, Florida Statutes, of the person

whose appointment as the personal representative is sought, whether or not
any other person has equal or higher preference, and if so, their name and
whether they will be served with formal notice, and a statement that the
person is qualified to serve under the laws of Florida;

(f) a statement whether domiciliary or principal proceedings are pending in
another state or country, if known, and the name and address of the foreign
personal representative and the court issuing letters;

(g) a statement of the approximate value and nature of the assets;
(h) in an intestate estate, a statement that after the exercise of reasonable

diligence the petitioner is unaware of any unrevoked wills or codicils, or if
the petitioner is aware of any unrevoked wills or codicils, a statement why
the wills or codicils are not being probated;

(i) in a testate estate, a statement identifying all unrevoked wills
and codicils being presented for probate, and a statement that the



petitioner is unaware of any other unrevoked wills or codicils or, if
the petitioner is aware of any other unrevoked wills or codicils, a
statement why the other wills or codicils are not being probated;

(j) in a testate estate, a statement that the original of the decedents last will
is in the possession of the court or accompanies the petition, or that an
authenticated copy of a will deposited with or probated in another jurisdiction
or that an authenticated copy of a notarial will, the original of which is in the
possession of a foreign notary, accompanies the petition; and

(k) a statement that the personal representative seeking appointment is
qualified to serve under the laws of Florida as a business entity under section
733.305, Florida Statutes, or, if an individual, that the person is qualified to
serve under the laws of Florida, including:

(1) whether the person has been convicted of a felony;
(2) whether the person has been convicted in any state or foreign

jurisdiction of abuse, neglect, or exploitation of an elderly person or a
disabled adult, as those terms are defined in section 825.101, Florida
Statutes;

(3) that the person is mentally and physically able to perform the duties
of a personal representative;

(4) that the person is 18 years of age or older; and
(5) whether the person is a resident of Florida and, if not a resident, a

statement of the persons relationship to the decedent in accordance with
section 733.304, Florida Statutes.

COMMITTEE NOTES

Rule History
1977 Revision: Addition to (b)(5) to require an affirmative statement that

the person sought to be appointed as personal representative is qualified to
serve. Committee note expanded to include additional statutory references.

Substantially the same as section 733.202, Florida Statutes, and
implementing sections 733.301 through 733.305, Florida Statutes.

1988 Revision: Editorial changes. Committee notes revised.



1992 Revision: Addition of phrase in subdivision (b) to conform to 1992
amendment to section 733.202(2)(b), Florida Statutes. Reference to clerk
ascertaining the amount of the filing fee deleted in subdivision (g) because of
repeal of sliding scale of filing fees. The remaining language was deemed
unnecessary. Editorial changes. Committee notes revised. Citation form
changes in committee notes.

2002 Revision: Addition of phrases in subdivision (j) to add references to
wills probated in Florida where the original is in the possession of a foreign
official. Editorial changes. Committee notes revised.

2003 Revision: Committee notes revised.
2007 Revision: Editorial changes in (h) and (i).
2007 Revision: Committee notes revised.
2010 Revision: Editorial change in (e) to clarify reference to Florida

Probate Code.
2011 Revision: Subdivision (b) amended to limit listing of decedents

social security number to last four digits.
2012 Revision: Committee notes revised.
2014 Revision: Subdivision (c) amended to conform to Florida Rule of

General Practice and Judicial Administration 2.425. Committee notes revised.
2019 Revision: Subdivision (e) amended to require a statement identifying

any other person who has equal or higher preference than the petitioner for
the appointment of a personal representative under section 733.301, Florida
Statutes. Subdivision (k) adopted to require a statement of the specific facts
that show the petitioners qualifications to serve as personal representative
under sections 733.303 and 733.304, Florida Statutes.

2020 Revision: Committee notes revised. Citation form changes in
committee notes.

2021 Revision: Subdivision (k) amended to require a statement as to
whether the personal representative seeking appointment has been convicted
of abuse, neglect, or exploitation of an elderly or disabled adult.

Statutory References



 731.201(23), Fla. Stat. General definitions.
 731.301, Fla. Stat. Notice.
 732.522, Fla. Stat. Method and place of execution.
 732.526, Fla. Stat. Probate.
 733.202, Fla. Stat. Petition.
 733.301, Fla. Stat. Preference in appointment of personal representative.
 733.302, Fla. Stat. Who may be appointed personal representative.
 733.303, Fla. Stat. Persons not qualified.
 733.304, Fla. Stat. Nonresidents.
 733.305, Fla. Stat. Trust companies and other corporations and

associations.
 825.101, Fla. Stat. Definitions.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.201 Notice of petition for administration.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. II. ,  Rule 5.201. 
Fla. Prob. R. 5.201

RULE 5.201. NOTICE OF PETITION FOR ADMINISTRATION.
(a) Petitioner Entitled to Preference of Appointment. Except as may

otherwise be required by these rules or the Florida Probate Code, no notice
need be given of the petition for administration or the issuance of letters
when it appears that the petitioner is entitled to preference of appointment as
personal representative.

(b) Petitioner Not Entitled to Preference. Before letters shall be issued to
any person who is not entitled to preference, formal notice must be served on
all known persons qualified to act as personal representative and entitled to
preference equal to or greater than the applicant, unless those entitled to
preference waive it in writing.

(c) Service of Petition by Formal Notice. If the petitioner elects or is
required to serve formal notice of the petition for administration prior to the
issuance of letters, a copy of the will offered for probate must be attached to
the notice.

COMMITTEE NOTES

Rule History. 
This rule represents a rule implementation of the procedure formerly found

in section 733.203(2), Florida Statutes, which was repealed as procedural in
2001.

Rule History
1988 Revision: New rule.
1992 Revision: Committee notes revised. Citation form changes in

committee notes.
2003 Revision: Committee notes revised.
2010 Revision: Subdivision (c) added to require service of a copy of the

will offered for probate. This requirement was included in section 733.2123,
Florida Statutes, but was removed in 2010 because it was deemed to be a
procedural requirement. Committee notes revised. Editorial changes.



Statutory References
 731.301, Fla. Stat. Notice.
 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.2123, Fla. Stat. Adjudication before issuance of letters.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.200 Petition for administration.



 Pt. II. ,  Rule 5.205. 
Fla. Prob. R. 5.205

RULE 5.205. FILING EVIDENCE OF DEATH.
(a) Requirements for Filing. A copy of an official record of the death of a

decedent shall be filed by the personal representative, if any, or the petitioner
in each of the following proceedings and at the times specified:

(1) Administration of decedents estate: not later than 3 months
following the date of the first publication of the notice to creditors.

(2) Ancillary proceedings: not later than 3 months following the date of
first publication of notice to creditors.

(3) Summary administration: at any time prior to entry of the order of
summary administration.

(4) Disposition without administration: at the time of filing the
application for disposition without administration.

(5) Determination of beneficiaries: at any time prior to entry of the final
judgment determining beneficiaries.

(6) Determination of protected homestead: at any time prior to entry of
the final judgment determining protected homestead status of real property.

(7) Probate of will without administration: at any time prior to entry of
the order admitting will to probate.
(b) Waiver. On verified petition by the personal representative, if any, or

the petitioner the court may enter an order dispensing with this rule, without
notice or hearing.

(c) Authority to Require Filing. The court may, without notice or
hearing, enter an order requiring the personal representative, if any, or the
petitioner to file a copy of an official record of death at any time during the
proceedings.

COMMITTEE NOTES

A short form certificate of death, which does not disclose the cause of
death, should be filed.



Rule History
1980 Revision: This rule is intended to provide a uniform procedure for

filing an official record of death in any judicial or statutory proceeding upon
the death of a decedent. The court may, upon ex parte application, waive
compliance with this rule or require filing at any stage in the proceedings.

1984 Revision: Captions and minor editorial changes. Committee notes
revised.

1988 Revision: Editorial and substantive changes. Adds (a)(8) to require
filing when will is admitted to probate without administration of the estate or
an order disposing of property. Committee notes revised.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

2002 Revision: Replaces homestead with protected homestead in (a)
(7) to conform to addition of term in section 731.201(29), Florida Statutes.
Committee notes revised.

2003 Revision: Revises subdivision (a)(1) to change notice of
administration to notice to creditors. Deletes subdivision (a)(3) referring to
family administration, and renumbers subsequent subdivisions. Committee
notes revised.

2010 Revision: Committee notes revised.
Statutory References
 28.222(3)(g), Fla. Stat. Clerk to be county recorder.
 382.008(6), Fla. Stat. Death and fetal death registration.
 731.103, Fla. Stat. Evidence as to death or status.
 733.2121, Fla. Stat. Notice to creditors; filing of claims.
Rule References
Fla. Prob. R. 5.042(a) Time.
Fla. Prob. R. 5.171 Evidence of death.
Fla. Prob. R. 5.241 Notice to creditors.



 Pt. II. ,  Rule 5.210. 
Fla. Prob. R. 5.210

RULE 5.210. PROBATE OF WILLS WITHOUT ADMINISTRATION.
(a) Petition and Contents. A petition to admit a decedents will to probate

without administration shall be verified by the petitioner and shall contain:
(1) a statement of the interest of the petitioner, the petitioners name and

address, and the name and office address of the petitioners attorney;
(2) the name and last known address of the decedent, last 4 digits of the

decedents social security number, date and place of death of the decedent,
and state and county of the decedents domicile;

(3) so far as is known, the names and addresses of the surviving spouse,
if any, the beneficiaries and their relationships to the decedent, and the
name and year of birth of any who are minors;

(4) a statement showing venue;
(5) a statement whether domiciliary or principal proceedings are pending

in another state or country, if known, and the name and address of the
foreign personal representative and the court issuing letters;

(6) a statement that there are no assets subject to administration in
Florida;

(7) a statement identifying all unrevoked wills and codicils being
presented for probate and a statement that the petitioner is unaware of any
other unrevoked wills or codicils or, if the petitioner is aware of any other
unrevoked wills or codicils, a statement why the other wills or codicils are
not being probated; and

(8) a statement that the original of the decedents last will is in the
possession of the court or accompanies the petition, or that an
authenticated copy of a will deposited with or probated in another
jurisdiction or that an authenticated copy of a notarial will, the original of
which is in the possession of a foreign notary, accompanies the petition.
(b) Service. The petitioner shall serve a copy of the petition on those

persons who would be entitled to service under rule 5.240.



(c) Objections. Objections to the validity of the will shall follow the form
and procedure set forth in these rules pertaining to revocation of probate.
Objections to the venue or jurisdiction of the court shall follow the form and
procedure set forth in the Florida Rules of Civil Procedure.

(d) Order. An order admitting the will to probate shall include a finding
that the will has been executed as required by law.

COMMITTEE NOTES

Examples illustrating when a will might be admitted to probate are when
an instrument (such as a will or trust agreement) gives the decedent a power
exercisable by will, such as the power to appoint a successor trustee or a
testamentary power of appointment. In each instance, the will of the person
holding the power has no legal significance until admitted to probate. There
may be no assets, creditors issues, or other need for a probate beyond
admitting the will to establish the exercise or non-exercise of such powers.

Rule History
1975 Revision: Proof of will may be taken by any Florida circuit judge or

clerk without issuance of commission.
1984 Revision: This rule has been completely revised to set forth the

procedure for proving all wills except lost or destroyed wills and the title
changed. The rule requires an oath attesting to the statutory requirements for
execution of wills and the will must be proved before an order can be entered
admitting it to probate. Former rules 5.280, 5.290, and 5.500 are included in
this rule. Committee notes revised.

1988 Revision: Editorial and substantive changes. Change in (a)(3) to
clarify which law determines validity of a notarial will; change in (a)(4) to
clarify requirement that will of a Florida resident must comply with Florida
law; adds new subdivision (b) to set forth required contents of petition for
probate of will; moves former (b) to (c). Committee notes expanded; citation
form change in committee notes.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

1996 Revision: Subdivision (a)(4) changed to allow authenticated copies of



wills to be admitted to probate if the original is filed or deposited in another
jurisdiction.

2002 Revision: Substantial revision to the rule setting forth the
requirements of a petition to admit a will to probate when administration is
not required. Self proof of wills is governed by the Florida Statutes. Former
subdivision (a)(4) amended and transferred to new rule 5.215. Former
subdivision (a)(5) amended and transferred to new rule 5.216.

2003 Revision: Committee notes revised.
2007 Revision: Existing text redesignated as subdivision (a) and editorial

change made in (a)(7). New subdivisions (b) and (c) added to provide for
service of the petition and the procedure for objections consistent with the
procedures for probate of a will with administration. Committee notes
revised.

2010 Revision: Subdivision (b) amended to reflect that service of the
petition to admit a decedents will to probate without administration shall be
served on the persons who would be entitled to service of the notice of
administration in a formal administration as set forth in rule 5.240. New
subdivision (d) added to provide that any order admitting the decedents will
to probate without administration contain a finding that the will was executed
as required by law. Committee notes revised.

2011 Revision: Subdivision (a)(2) amended to limit listing of decedents
social security number to last four digits.

2014 Revision: Subdivision (a)(3) amended to conform to Fla. R. Gen.
Prac. & Jud. Admin. 2.425. Committee notes revised.. Committee notes
revised.

2020 Revision: Committee notes revised. Citation form changes in
committee notes.

Statutory References
 731.201, Fla. Stat. General definitions.
 731.301, Fla. Stat. Notice.
 732.502, Fla. Stat. Execution of wills.
 732.503, Fla. Stat. Self-proof of will.



 732.523, Fla. Stat. Self-proof of electronic will.
 732.526, Fla. Stat. Probate.
 733.103, Fla. Stat. Effect of probate.
 733.201, Fla. Stat. Proof of wills.
 733.202, Fla. Stat. Petition.
 733.204, Fla. Stat. Probate of a will written in a foreign language.
 733.205, Fla. Stat. Probate of notarial will.
 733.206, Fla. Stat. Probate of will of resident after foreign probate.
 733.207, Fla. Stat. Establishment and probate of lost or destroyed will.
 734.104, Fla. Stat. Foreign wills; admission to record; effect on title.
Rule References
Fla. Prob. R. 5.015 General definitions.
Fla. Prob. R. 5.020 Pleadings, verification; motions.
Fla. Prob. R. 5.205(a)(7) Filing evidence of death.
Fla. Prob. R. 5.215 Authenticated copy of will.
Fla. Prob. R. 5.216 Will written in foreign language.
Fla. Prob. R. 5.230 Commission to prove will.
Fla. Prob. R. 5.240 Notice of administration.
Fla. Prob. R. 5.270 Revocation of probate.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. II. ,  Rule 5.215. 
Fla. Prob. R. 5.215

RULE 5.215. AUTHENTICATED COPY OF WILL.
An authenticated copy of a will may be admitted to probate if the original

could be admitted to probate in Florida.

COMMITTEE NOTES

Rule History
2002 Revision: New rule, derived from former rule 5.210(a)(4).
2003 Revision: Committee notes revised.
2020 Revision. Committee notes revised.
Statutory References
 732.523, Fla. Stat. Self-proof of electronic will.
 732.526, Fla. Stat. Probate.
 733.205, Fla. Stat. Probate of notarial will.
 733.206, Fla. Stat. Probate of will of resident after foreign probate.
 734.102, Fla. Stat. Ancillary administration.
 734.1025, Fla. Stat. Nonresident decedents testate estate with property

not exceeding $50,000 in this state; determination of claims.
 734.104, Fla. Stat. Foreign wills; admission to record; effect on title.
Rule References
Fla. Prob. R. 5.200 Petition for administration.
Fla. Prob. R. 5.210 Probate of wills without administration.
Fla. Prob. R. 5.470 Ancillary administration.
Fla. Prob. R. 5.475 Ancillary administration, short form.



 Pt. II. ,  Rule 5.216. 
Fla. Prob. R. 5.216

RULE 5.216. WILL WRITTEN IN FOREIGN LANGUAGE.
A will written in a foreign language being offered for probate shall be

accompanied by a true and complete English translation. In the order
admitting the foreign language will to probate, the court shall establish the
correct English translation. At any time during administration, any interested
person may have the correctness of the translation redetermined after formal
notice to all other interested persons.

COMMITTEE NOTES

Rule History
2002 Revision: New rule, derived from former rule 5.210(a)(5) and section

733.204(2), Florida Statutes.
Statutory Reference
 733.204, Fla. Stat. Probate of a will written in a foreign language.



 Pt. II. ,  Rule 5.230. 
Fla. Prob. R. 5.230

RULE 5.230. COMMISSION TO PROVE WILL.
(a) Petition. On petition the court may appoint a commissioner to take the

oath of any person qualified to prove the will under Florida law. The petition
must set forth the date of the will and the place where it was executed, if
known; the names of the witnesses and address of the witness whose oath is
to be taken; and the name, title, and address of the proposed commissioner.

(b) Commission. The commission must be directed to a person who is
authorized to administer an oath by the laws of Florida, the United States of
America, or the state or country where the witness may be found, and it shall
empower the commissioner to take the oath of the witness to prove the will
and shall direct the commissioner to certify the oath and file the executed
commission, copy of the will, oath of the witness, and certificate of
commissioner. An oath of the commissioner is not required.

(c) Mailing or Delivery. The petitioner or the petitioners attorney must
cause the commission, together with a copy of the will, the oath, and the
certificate of commissioner, to be mailed or delivered to the commissioner.

(d) Filing. The executed commission, copy of the will, oath of the witness,
and certificate of commissioner must be filed.

COMMITTEE NOTES

Rule History
1975 Revision: Substantially the same as prior rule 5.130(a) and (b) and

carries forward prior procedures as to a matter upon which Florida Probate
Code is silent.

1984 Revision: This rule has been completely changed to set forth the
procedure for the issuance and return of a commission. The rule has been
broadened to allow anyone authorized by Florida Statutes or by the U.S.
Code to be a commissioner as well as those authorized by the state or country
where the witness resides.

The rule now provides that the petitioner or his attorney shall forward the



commission to the commissioner. The rule also contemplates that a Florida
notary may be appointed as commissioner to take the proof of a witness
outside the State of Florida. Committee notes revised and expanded.

1988 Revision. Editorial and substantive changes. Change in (a) to provide
that commissioner may take the oath of not only the attesting witness to the
will but also the oath of any other person qualified to prove the will; change
in (c) to permit copies other than photographic copies to be furnished to the
commissioner, and to permit delivery of documents in a manner other than by
mailing; change in (d) to require the filing of documents with the court.
Committee notes revised. Citation form changes in rule and committee notes.

1992 Revision: Editorial change. Committee notes revised. Citation form
changes in committee notes.

2003 Revision: Committee notes revised.
2013 Revision: Subdivision (e) deleted because it duplicates subdivision

(d) in Rule 5.240. Committee notes revised. Editorial changes to conform to
the courts guidelines for rules submissions as set forth in AOSC06-14.

2020 Revision: Committee notes revised.
Statutory References
 92.50, Fla. Stat. Oaths, affidavits, and acknowledgments; who may take

or administer; requirements.
 117.215, Fla. Stat. Relation to other laws.
 733.101, Fla. Stat. Venue of probate proceedings.
 732.522, Fla. Stat. Method and place of execution.
 732.523, Fla. Stat. Self-proof of electronic will.
 733.201, Fla. Stat. Proof of wills.
22 U.S.C. 4215 Notarial acts, oaths, affirmations, affidavits, and

depositions; fees.
Rule References
Fla. Prob. R. 5.050 Transfer of proceedings.
Fla. R. Civ. P. 1.060 Transfers of actions.



 Pt. II. ,  Rule 5.235. 
Fla. Prob. R. 5.235

RULE 5.235. ISSUANCE OF LETTERS, BOND.
(a) Appointment of Personal Representative. After the petition for

administration is filed and the will, if any, is admitted to probate:
(1) the court shall appoint the person entitled and qualified to be

personal representative;
(2) the court shall determine the amount of any bond required. The clerk

may approve the bond in the amount determined by the court; and
(3) any required oath or designation of, and acceptance by, a resident

agent shall be filed.
(b) Issuance of Letters. Upon compliance with all of the foregoing, letters

shall be issued to the personal representative.
(c) Bond. On petition by any interested person or on the courts own

motion, the court may waive the requirement of filing a bond, require a
personal representative or curator to give bond, increase or decrease the bond,
or require additional surety.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure formerly found
in sections 733.401 and 733.403(2), Florida Statutes, both of which were
repealed in 2001. It is not intended to change the effect of the statutes from
which it was derived but has been reformatted to conform with the structure
of these rules. It is not intended to create a new procedure or modify an
existing procedure.

Rule History
1988 Revision: New rule.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
1996 Revision: Mandate in subdivision (a)(2) prohibiting charge of service

fee by clerk deleted. Statutory references added.



2003 Revision: Committee notes revised.
2010 Revision: Committee notes revised.
Statutory References
 28.24(19), Fla. Stat. Service charges by clerk of the circuit court.
 28.2401, Fla. Stat. Service charges in probate matters.
 733.402, Fla. Stat. Bond of fiduciary; when required; form.
 733.403, Fla. Stat. Amount of bond.
 733.405, Fla. Stat. Release of surety.
 733.501, Fla. Stat. Curators.
Rule References
Fla. Prob. R. 5.110 Address designation for personal representative or

guardian; designation of resident agent and acceptance.
Fla. Prob. R. 5.122 Curators.
Fla. Prob. R. 5.320 Oath of personal representative.



 Pt. II. ,  Rule 5.240. 
Fla. Prob. R. 5.240

RULE 5.240. NOTICE OF ADMINISTRATION.
(a) Service. The personal representative shall promptly serve a copy of the

notice of administration on the following persons who are known to the
personal representative and who were not previously served under section
733.2123, Florida Statutes:

(1) the decedents surviving spouse;
(2) all beneficiaries;
(3) a trustee of any trust described in section 733.707(3), Florida

Statutes, and each qualified beneficiary of the trust as defined in section
736.0103(16), Florida Statutes, if each trustee is also a personal
representative of the estate; and

(4) persons who may be entitled to exempt property
in the manner provided for service of formal notice. The personal
representative may similarly serve a copy of the notice on any devisee
under another will or heirs or others who claim or may claim an interest in
the estate.
(b) Contents. The notice shall state:

(1) the name of the decedent, the file number of the estate, the
designation and address of the court in which the proceedings are pending,
whether the estate is testate or intestate, and, if testate, the date of the will
and any codicils;

(2) the name and address of the personal representative and the name
and address of the personal representatives attorney, and that the fiduciary
lawyer-client privilege in section 90.5021, Florida Statutes, applies with
respect to the personal representative and any attorney employed by the
personal representative;

(3) that any interested person on whom a copy of the notice of
administration is served must file, on or before the date that is 3 months
after the date of service of a copy of the notice of administration on that
person any objection that challenges the validity of the will, the venue, or



the jurisdiction of the court. The 3-month time period may only be
extended for estoppel based upon a misstatement by the personal
representative regarding the time period within which an objection must be
filed. The time period may not be extended for any other reason, including
affirmative representation, failure to disclose information, or misconduct
by the personal representative or any other person. Unless sooner barred by
section 733.212(3), Florida Statutes, all objections to the validity of a will,
venue, or the jurisdiction of the court must be filed no later than the earlier
of the entry of an order of final discharge of the personal representative, or
1 year after service of the notice of administration;

(4) the persons who may be entitled to exempt property under section
732.402, Florida Statutes, will be deemed to have waived their rights to
claim that property as exempt property unless a petition for determination
of exempt property is filed by such persons or on their behalf on or before
the later of the date that is 4 months after the date of service of a copy of
the notice of administration on such persons or the date that is 40 days
after the date of termination of any proceedings involving the construction,
admission to probate, or validity of the will or involving any other matter
affecting any part of the exempt property;

(5) that an election to take an elective share must be filed on or before
the earlier of the date that is 6 months after the date of service of a copy of
the notice of administration on the surviving spouse, an agent under
chapter 709, Florida Statutes, or a guardian of the property of the surviving
spouse; or the date that is 2 years after the date of the decedents death; and

(6) that, under certain circumstances and by failing to contest the will,
the recipient of the notice of administration may be waiving his or her right
to contest the validity of a trust or other writing incorporated by reference
into a will.
(c) Copy of Will. Unless the court directs otherwise, the personal

representative of a testate estate must, upon written request, furnish a copy of
the will and all codicils admitted to probate to any person on whom the notice
of administration was served.

(d) Objections. Objections to the validity of the will shall follow the form
and procedure set forth in these rules pertaining to revocation of probate.
Objections to the venue or jurisdiction of the court shall follow the form and



procedure set forth in the Florida Rules of Civil Procedure.
(e) Waiver of Service. For the purpose of determining deadlines

established by reference to the date of service of a copy of the notice of
administration in cases in which service has been waived, service on a person
who has waived notice is deemed to occur on the date the waiver is filed.

COMMITTEE NOTES

Rule History
1977 Revision: Former subdivision (c) is deleted as being substantive

rather than procedural.
1984 Revision: Editorial changes; new requirement to file proof of

publication; new requirements as to form of objections to will and
qualifications of personal representative. Committee notes revised.

1988 Revision: The obligation to mail notice of administration to all
known or reasonably ascertainable creditors has been added to comply with
the dictates of Tulsa Professional Collection Services, Inc. v. Pope, 485 U.S.
478, 108 S. Ct. 1340, 99 L. Ed. 2d 565 (1988).

This rule does not require sending notice of administration to creditors in
estates where the time for filing claims has expired before the effective date
of this rule. However, no opinion is offered whether such claims are barred
by the provisions of section 733.702, Florida Statutes.

Committee notes revised. Citation form changes in committee notes.
1991 Revision: Subdivision (a) modified to make it consistent with recent

changes to sections 733.212 and 733.702, Florida Statutes. Those statutes
were amended to comply with the dictates of Tulsa Professional Collection
Services, Inc. v. Pope, 485 U.S. 478, 108 S. Ct. 1340, 99 L. Ed. 2d 565
(1988). For the same reason, subdivision (e) was eliminated.

1992 Revision: Former subdivision (e) revised and reinstated to emphasize
need for personal representative to determine all known or reasonably
ascertainable creditors. Editorial changes; committee notes revised; citation
form changes in committee notes.

1996 Revision: Subdivision (a) amended to require service of notice of



administration on trustees of certain revocable trusts as defined by Florida
statute. Editorial changes.

2002 Revision: Procedures for notifying creditors are now governed by
new rule 5.241. Committee notes revised.

2003 Revision: Change in title of (a) to reflect elimination of publication
of notice. Committee notes revised.

2005 Revision: Subdivision (a)(3) amended to make it consistent with
2003 change to section 733.212(1)(c), Florida Statutes, regarding when
service on trust beneficiaries is required, and clarifying editorial change made
in (a). New subdivision (b)(5) added regarding notice to file election to take
elective share. Committee notes revised.

2007 Revision: Subdivision (a)(3) amended to replace reference to
beneficiary with qualified beneficiary and to change reference from
former section 737.303(4)(b) to new section 736.0103(14), which defines that
term. Subdivision (b)(5) amended to delete the reference to the surviving
spouse filing the election as another person can file the election on behalf of
the surviving spouse. New subdivision (e) added to provide a deadline for
objection by a person who waives service. Committee notes revised.

2011 Revision: Subdivision (b)(2) amended to conform to amendment to
section 732.212, Florida Statutes, relating to attorney-client privilege for
fiduciaries and their attorneys. Editorial changes to conform to the courts
guidelines for rules submissions as set forth in Administrative Order
AOSC06-14. Statutory reference to section 732.402, Florida Statutes, added.
Committee notes revised.

2013 Revision: Updated statutory reference in subdivision (a)(3).
Committee notes revised.

2015 Revision: Subdivisions (b)(3) and (d) amended to conform to
amendments to section 733.212, Florida Statutes, relating to the removal of
the requirement to object to the qualifications of a personal representative
within this statutory framework due to other statutory amendments. The 2011
Revision contains a scriveners error and it should reference section 733.212,
Florida Statutes, as opposed to section 732.212, Florida Statutes.

2019 Revision: For clarity purposes, subdivisions (b)(2), (b)(3), (b)(4), and
(b)(5) amended for consistency with section 733.212, Florida Statutes,



relating to the contents of a notice of administration. Subdivision (b)(5)
amended to replace the term attorney-in-fact with agent to reflect 2011
enactment of section 709.2102(1), Florida Statutes.

2020 Revision: Subdivision (b)(6) was created to conform to an
amendment to section 733.212, Florida Statutes, that requires the Notice of
Administration include a notice of a potential waiver of rights by failing to
contest the will.

Statutory References
 709.2102(1), Fla. Stat. Definitions.
 731.201(23), Fla. Stat. General definitions.
 731.301, Fla. Stat. Notice.
 731.302, Fla. Stat. Waiver and consent by interested person.
 732.2135, Fla. Stat. Time of election; extensions; withdrawal.
 732.402, Fla. Stat. Exempt property.
 732.5165, Fla. Stat. Effect of fraud, duress, mistake, and undue

influence.
 733.101, Fla. Stat. Venue of probate proceedings.
 733.109, Fla. Stat. Revocation of probate.
 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.2123, Fla. Stat. Adjudication before issuance of letters.
 733.302, Fla. Stat. Who may be appointed personal representative.
 733.303, Fla. Stat. Persons not qualified.
 733.305, Fla. Stat. Trust companies and other corporations and

associations.
 733.504, Fla. Stat. Removal of personal representative; causes for

removal.
 733.506, Fla. Stat. Proceedings for removal.
Rule References



Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.050 Transfer of proceedings.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.270 Revocation of probate.
Fla. Prob. R. 5.440 Proceedings for removal.
Fla. R. Civ. P. 1.060 Transfers of actions.



 Pt. II. ,  Rule 5.2405. 
Fla. Prob. R. 5.2405

RULE 5.2405. SERVICE OF NOTICE OF ADMINISTRATION ON
PERSONAL REPRESENTATIVE.

(a) Date Notice of Administration is Considered Served on Person who
is Personal Representative. Unless service of the notice of administration is
waived pursuant to Rule 5.240(e), when a person who is entitled to service of
the notice of administration pursuant to Rule 5.240(a) is also a personal
representative, the notice of administration shall be deemed served upon the
person on the earliest of the following dates:

(1) the date on which the person acknowledges in writing receipt of the
notice of administration;

(2) the date on which the notice of administration is first served on any
other person entitled to service of the notice of administration (or the first
among multiple persons entitled to service); or

(3) the date that is 30 days after the date letters of administration are
issued.
(b) Date Other Notices are Considered Served on Person who is

Personal Representative. When a person who is entitled to service of notice
under these rules or the Florida Probate Code (other than the notice of
administration) is also a personal representative, any notice shall be deemed
as having been served on the personal representative on the earliest of the
following dates:

(1) the date on which the person acknowledges in writing receipt of the
notice;

(2) the date on which the notice is required to be served by the personal
representative under these rules or the Florida Probate Code; or,

(3) the date on which the notice is first served by the personal
representative on any other person entitled to service of the same notice.

COMMITTEE NOTES

This rule is intended to address situations in which the personal



representative is also an interested person in an estate, but claims that he or
she has not received the notice of administration, despite the personal
representative being required to serve the notice. The receipt of the notice of
administration can trigger time limits for the person receiving the notice with
regard to certain rights, such as the right to claim an elective share.

Rule History
2013 Revision: New rule.
Statutory References
 731.201(23), Fla. Stat. General definitions.
 731.301, Fla. Stat. Notice.
 731.302, Fla. Stat. Waiver and consent by interested person.
 732.2135, Fla. Stat. Time of election; extensions; withdrawal.
 732.5165, Fla. Stat. Effect of fraud, duress, mistake, and undue

influence.
 733.101, Fla. Stat. Venue of probate proceedings.
 733.109, Fla. Stat. Revocation of probate.
 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.2123, Fla. Stat. Adjudication before issuance of letters.
 733.302, Fla. Stat. Who may be appointed personal representative.
 733.303, Fla. Stat. Persons not qualified.
 733.305, Fla. Stat. Trust companies and other corporations and

associations.
 733.504, Fla. Stat. Removal of personal representative; causes for

removal.
 733.506, Fla. Stat. Proceedings for removal.
Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.



Fla. Prob. R. 5.050 Transfer of proceedings.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.270 Revocation of probate.
Fla. Prob. R. 5.440 Proceedings for removal of personal representative.
Fla. R. Civ. P. 1.060 Transfers of actions.



 Pt. II. ,  Rule 5.241. 
Fla. Prob. R. 5.241

RULE 5.241. NOTICE TO CREDITORS.
(a) Publication and Service. Unless creditors claims are otherwise barred

by law, the personal representative shall promptly publish a notice to
creditors and serve a copy of the notice on all creditors of the decedent who
are reasonably ascertainable and, if required by law, on the Agency for
Health Care Administration. Service of the notice shall be either by informal
notice, or in the manner provided for service of formal notice at the option of
the personal representative. Service on one creditor by a chosen method shall
not preclude service on another creditor by another method.

(b) Contents. The notice to creditors shall contain the name of the
decedent, the file number of the estate, the designation and address of the
court, the name and address of the personal representative and of the personal
representatives attorney, and the date of first publication of the notice to
creditors. The notice shall require all creditors to file all claims against the
estate with the court, within the time provided by law.

(c) Method of Publication and Proof. Publication shall be made as
required by law. The personal representative shall file proof of publication
with the court within 45 days after the date of first publication of the notice to
creditors.

(d) Statement Regarding Creditors. Within 4 months after the date of the
first publication of notice to creditors, the personal representative shall file a
verified statement that diligent search has been made to ascertain the name
and address of each person having a claim against the estate. The statement
shall indicate the name and address of each person at that time known to the
personal representative who has or may have a claim against the estate and
whether such person was served with the notice to creditors or otherwise
received actual notice of the information contained in the notice to creditors;
provided that the statement need not include persons who have filed a timely
claim or who were included in the personal representatives proof of claim.

(e) Service of Death Certificate. If service of the notice on the Agency for
Health Care Administration is required, it shall be accompanied by a copy of
the death certificate.



COMMITTEE NOTES

It is the committees opinion that the failure to timely file the proof of
publication of the notice to creditors shall not affect time limitations for filing
claims or objections.

On April 19, 1988, the United States Supreme Court decided Tulsa
Professional Collection Services, Inc. v. Pope, 485 U.S. 478, 108 S. Ct. 1340,
99 L. Ed. 2d 565. This case substantially impacted the method for handling
(and barring) creditors claims. This case stands for the proposition that a
creditor may not be barred by the usual publication if that creditor was
actually known to or reasonably ascertainable by the personal representative,
and the personal representative failed to give notice to the creditor by mail or
other means as certain to ensure actual notice. Less than actual notice in these
circumstances would deprive the creditor of due process rights under the 14th
Amendment to the U.S. Constitution. Probably actual notice of the death (as
in the case of a hospital where the decedent died as a patient) without notice
of the institution of probate proceedings is not sufficient.

An elementary and fundamental requirement of due process in any
proceeding which is to be accorded finality is notice reasonably calculated,
under all the circumstances, to apprise interested persons of the pendency of
the proceeding and afford them an opportunity to present their claims.

The steps to be taken by a personal representative in conducting a diligent
search for creditors depends, in large measure, on how familiar the personal
representative is with the decedents affairs. Therefore, the committee
believes it is inappropriate to list particular steps to be taken in each estate,
since the circumstances will vary from case to case.

The statement required by this rule is not intended to be jurisdictional but
rather to provide evidence of satisfaction (or lack thereof) of the due process
requirements.

Rule History
2002 Revision: New rule to implement procedures consistent with new

section 733.2121, Florida Statutes.
2003 Revision: Committee notes revised.
2005 Revision: Subdivision (a) amended to clarify approved methods of



service on creditors. Committee notes revised.
2007 Revision: Editorial change in (a).
2007 Revision: New subdivision (e) added to require service of a copy of

the decedents death certificate on the Agency for Health Care
Administration, as is now required by section 733.2121(3)(d), Florida
Statutes.

2019 Revision: Subdivision (e) amended to clarify that a copy of a death
certificate suffices.

Statutory References
ch. 50, Fla. Stat. Legal and official advertisements.
 731.301, Fla. Stat. Notice.
 733.2121, Fla. Stat. Notice to creditors; filing of claims.
 733.702, Fla. Stat. Limitations on presentation of claims.
 733.703, Fla. Stat. Form and manner of presenting claim.
 733.704, Fla. Stat. Amendment of claims.
 733.705, Fla. Stat. Payment of and objection to claims.
 733.708, Fla. Stat. Compromise.
Rule Reference
Fla. Prob. R. 5.490 Form and manner of presenting claim.



 Pt. II. ,  Rule 5.260. 
Fla. Prob. R. 5.260

RULE 5.260. CAVEAT; PROCEEDINGS.
(a) Filing. Any creditor or interested person other than a creditor may file a

caveat with the court. The caveat of an interested person, other than a
creditor, may be filed before or after the death of the person for whom the
estate will be, or is being, administered. The caveat of a creditor may be filed
only after the persons death.

(b) Contents. The caveat shall contain the name of the person for whom
the estate will be, or is being, administered, the last 4 digits of the persons
social security number or year of birth, if known, a statement of the interest
of the caveator in the estate, and the name and specific mailing address of the
caveator.

(c) Resident Agent of Caveator; Service. If the caveator is not a resident
of Florida, the caveator must file a designation of the name and specific
mailing address and residence address of a resident in the county where the
caveat is filed, as the caveators agent for service of notice. The written
acceptance by the person appointed as resident agent must be filed with the
designation or included in the caveat. The designation and acceptance shall
constitute the consent of the caveator that service of notice upon the
designated resident agent shall bind the caveator. If the caveator is
represented by an attorney admitted to practice in Florida who signs the
caveat, it shall not be necessary to designate a resident agent under this rule.

(d) Filing after Commencement. If at the time of the filing of any caveat
the decedents will has been admitted to probate or letters of administration
have been issued, the clerk must promptly notify the caveator in writing of
the date of issuance of letters and the names and addresses of the personal
representative and the personal representatives attorney.

(e) Creditor. When letters of administration issue after the filing of a
caveat by a creditor, the clerk must promptly notify the caveator, in writing,
advising the caveator of the date of issuance of letters and the names and
addresses of the personal representative and the personal representatives
attorney, unless notice has previously been served on the caveator. A copy of
any notice given by the clerk, together with a certificate of the mailing of the



original notice, must be filed in the estates proceedings.
(f) Other Interested Persons; Before Commencement. After the filing of

a caveat by an interested person other than a creditor, the court must not
admit a will of the decedent to probate or appoint a personal representative
without service of formal notice on the caveator or the caveators designated
agent. A caveator is not required to be served with formal notice of its own
petition for administration.

COMMITTEE NOTES

Caveat proceedings permit a decedents creditor or other interested person
to be notified when letters of administration are issued. Thereafter, the
caveator must take appropriate action to protect the caveators interests.

This rule treats the creditor caveator different from other caveators.
An attorney admitted to practice in Florida who represents the caveator

may sign the caveat on behalf of the client.
Rule History
1977 Revision: Carried forward prior rule 5.150.
1984 Revision: Changes in (a), (b), and (d) are editorial. Change in (c)

eliminates resident agent requirement for Florida residents and for
nonresidents represented by a Florida attorney. Service on the attorney binds
caveator. Former (e) is now subdivisions (e) and (f) and treats creditor
caveator differently from other interested persons. Change in (f) requires
formal notice. Committee notes revised.

1988 Revision: Committee notes revised. Citation form changes in
committee notes.

1992 Revision: Addition of language in subdivision (b) to implement 1992
amendment to section 731.110(2), Florida Statutes. Editorial changes.
Citation form changes in committee notes.

2003 Revision: Committee notes revised.
2010 Cycle Report Revision: Subdivision (c) amended to clarify that a

state agency filing a caveat need not designate an agent for service of process,
and to provide that a caveator who is not a resident of the county where the



caveat is filed must designate either a resident of that county or an attorney
licensed and residing in Florida as the caveators agent. Editorial changes in
(d) and (e). Committee notes revised.

2010 Out-of-Cycle Report Revision: Subdivisions (a) and (b) amended to
conform with statutory changes. Subdivision (c) amended to read as it existed
prior to SC10-171 (35 FLW S482) due to a subsequent legislative
amendment (Chapter 2010-132,  3, Laws of Fla.). Editorial changes in (d),
(e), and (f). Committee notes revised.

2011 Revision: Subdivision (b) amended to replace language removed in
2010 out-of-cycle revision, to replace term decedent with person for
whom the estate will be, or is being, administered, and to limit listing of a
social security number to the last four digits and a date of birth to the year of
birth.

2013 Revision: Subdivision (f) is updated to provide that a caveator is not
required to be served with formal notice of its own petition for
administration. Committee notes revised.

Statutory References
 731.110, Fla. Stat. Caveat; proceedings.
Rule Reference
Fla. Prob. R. 5.040(a) Notice.



 Pt. II. ,  Rule 5.270. 
Fla. Prob. R. 5.270

RULE 5.270. REVOCATION OF PROBATE.
(a) Petition and Contents. A petition for revocation of probate shall state

the interest of the petitioner in the estate and the facts constituting the
grounds on which revocation is demanded.

(b) Continued administration. Pending the determination of any issue for
revocation of probate, the personal representative shall proceed with the
administration of the estate as if no revocation proceeding had been
commenced, except that no distribution may be made to beneficiaries in
contravention of the rights of those who, but for the will, would be entitled to
the property disposed of.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure found in
section 733.109(2), Florida Statutes. It is not intended to change the effect of
the statute from which it was derived but has been reformatted to conform
with the structure of these rules. It is not intended to create a new procedure
or modify an existing procedure. The committee believes that subsections (1)
and (3) of the statute are substantive, and have therefore not been included.
Further, this rule revises subdivision (b) of the prior similar rule to track the
language in the statute from which it was derived.

Rule History
1984 Revision: Extensive changes. Committee notes revised.
1988 Revision: Language of subdivision (b) of the rule rewritten to track

the statute more closely. Committee notes expanded. Citation form change in
committee notes.

1992 Revision: Committee notes revised. Citation form changes in
committee notes.

2003 Revision: Committee notes revised.
2005 Revision: Beneficiaries substituted for devisees in subdivision

(b) to conform language to section 733.109(2), Florida Statutes.



2007 Revision: Committee notes revised.
Statutory References
 731.201(23), Fla. Stat. General definitions.
 732.5165, Fla. Stat. Effect of fraud, duress, mistake, and undue

influence.
 733.109, Fla. Stat. Revocation of probate.
 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.2123, Fla. Stat. Adjudication before issuance of letters.
Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.240 Notice of administration.



 Pt. II. ,  Rule 5.275. 
Fla. Prob. R. 5.275

RULE 5.275. BURDEN OF PROOF IN WILL CONTESTS.
(a) In all proceedings contesting the validity of a will, the burden shall be

upon the proponent of the will to establish prima facie its formal execution
and attestation. Thereafter, the contestant shall have the burden of
establishing the grounds on which the probate of the will is opposed or
revocation sought.

(b) In any transaction or event to which the presumption of undue
influence applies, the presumption shifts the burden of proof under sections
90.301-90.304, Florida Statutes.

COMMITTEE NOTES

This rule implements the procedure found in section 733.107, Florida
Statutes, and the public policy against abuse of fiduciary or confidential
relationships.

Rule History
1988 Revision: New rule.
1992 Revision: Citation form changes in committee notes.
2003 Revision: Committee notes revised.
2019 Revision: Adopts subdivision (b) and revises the committee note to

reflect that change.
Statutory References
 90.301, Fla. Stat. Presumption defined; inferences.
 90.302, Fla. Stat. Classification of rebuttable presumptions.
 90.303, Fla. Stat. Presumption affecting the burden of producing

evidence defined.
 90.304, Fla. Stat. Presumption affecting the burden of proof defined.
 733.107, Fla. Stat. Burden of proof in contests; presumption of undue

influence.



 Pt. II. ,  Rule 5.310. 
Fla. Prob. R. 5.310

RULE 5.310. DISQUALIFICATION OF PERSONAL
REPRESENTATIVE; NOTIFICATION.

Any time a personal representative, who was qualified to act at the time of
appointment, knows that he or she would not be qualified for appointment if
application for appointment were then made, the personal representative shall
promptly file and serve on all interested persons a notice stating:

(a) the reason(s) the personal representative would not be qualified for
appointment if application for appointment were then made and the date on
which the disqualifying event occurred; and

(b) that any interested person may file a petition to remove the personal
representative within 30 days after the date on which such notice is served.

COMMITTEE NOTES

Notification under this rule or section 733.3101(2), Florida Statutes, does
not automatically affect the authority of the personal representative to act.
The personal representative may resign or interested persons or the court
must act to remove the personal representative.

Rule History
1975 Revision: This is same as old rule 5.220 and old section 732.47(3),

Florida Statutes. The rule sets forth the imperative need for timely action and
the inherent responsibility of a fiduciary to effect orderly succession. It
further implies the inherent jurisdiction of the court to control by judicial
overview the succession.

1977 Revision: Citation form change in committee note.
1988 Revision: Committee notes revised. Citation form changes in

committee notes.
1992 Revision: Editorial changes to clarify rule. Committee notes revised.

Citation form changes in committee notes.
2002 Revision: Rule amended to implement procedures found in section

733.3101, Florida Statutes. Committee notes revised.



2015 Revision: Rule amended to conform to amendment to section
733.3101, Florida Statutes, which modifies the substance and procedure for
the disqualification of a personal representative. Citation revised in
committee notes. Committee notes revised.

Statutory References
 731.301, Fla. Stat. Notice.
 733.302, Fla. Stat. Who may be appointed personal representative.
 733.303, Fla. Stat. Persons not qualified.
 733.3101, Fla. Stat. Personal representative not qualified.
 733.502, Fla. Stat. Resignation of personal representative.
 733.504, Fla. Stat. Removal of personal representative; causes for

removal.
 733.505, Fla. Stat. Jurisdiction in removal proceedings.
 733.506, Fla. Stat. Proceedings for removal.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.430 Resignation of personal representative.
Fla. Prob. R. 5.440 Proceedings for removal.



 Pt. II. ,  Rule 5.320. 
Fla. Prob. R. 5.320

RULE 5.320. OATH OF PERSONAL REPRESENTATIVE.
Before the granting of letters of administration, the personal representative

shall file an oath to faithfully administer the estate of the decedent. The oath
shall also contain a statement that the personal representative has reviewed
the statutes relating to the requirements for appointment as personal
representative, that the personal representative is qualified to serve, and that
the personal representative has a continuing duty to file and serve a notice
upon the occurrence of an event that would disqualify the personal
representative. If the petition is verified by the prospective personal
representative individually, the oath may be incorporated in the petition or in
the designation of resident agent. The oath shall substantially comply with
the following form:

[CAPTION]
OATH OF PERSONAL REPRESENTATIVE

STATE OF ____________________
COUNTY OF ____________________
I, ____________________, (Affiant), state under oath that:
1. I am qualified within the provisions of sections 733.302,

733.303, and 733.304, Florida Statutes, to serve as personal
representative of the estate of ____________________,
deceased. I have reviewed the statutes and understand the
qualifications. Under penalties of perjury, I certify that the
following statements are true:

a. I am 18 years of age or older.
b. I have never been convicted of a felony.
c. I have never been convicted in any state or foreign

jurisdiction of abuse, neglect, or exploitation of an elderly person



or a disabled adult, as those terms are defined in section 825.101,
Florida Statutes.

d. I am mentally and physically able to perform the duties of
personal representative.

e. I am a resident of the State of Florida, or, if I am not a
resident of the State of Florida, I am:

____ a legally adopted child or adoptive parent of the
decedent;

related by lineal consanguinity to the decedent; a spouse or a
brother, sister, uncle, aunt, nephew, or niece of the decedent, or
someone related by lineal consanguinity to any such person; or

____ the spouse of a person otherwise qualified under one of
the provisions above.

2. I will faithfully administer the estate of the decedent
according to law.

3. My place of residence is ____________________, and my
post office address is ____________________.

4. I will promptly file and serve a notice on all interested
persons at any time I know that I would not be qualified for
appointment and will include the reason I would not then be
qualified and the date on which the disqualifying event occurred.

5. I will file and serve a notice within 20 days on all interested
persons, in the event there is a change in my residence address,
street address, or mailing address.

Affiant
Sworn to (or affirmed) and subscribed before me by means of

____________________ physical presence or



____________________ online notarization, this ____ day of
____, 20 ____, by ____ (name of person making statement).

Signature of Notary PublicState of Florida (Print, Type, or
Stamp Commissioned Name of Notary Public)

Personally Known ____ or Produced ____ Identification Type
of Identification Produced ____

COMMITTEE NOTES

It is contemplated the oath may be signed concurrently with the petition for
administration and will be valid even if it predates the order appointing the
personal representative.

Rule History
1977 Revision: No change in rule. Change in committee note to conform to

statutory renumbering.
This rule establishes the uniform requirement for an oath of faithful

performance of fiduciary duties within the permissiveness of section
733.401(1)(d), Florida Statutes. Should be taken together with new rule
5.110, Resident Agent.

1988 Revision: Committee notes expanded. Citation form changes in
committee notes.

1992 Revision: Editorial change. Committee notes revised. Citation form
changes in committee notes.

2003 Revision: Committee notes revised.
2019 Revision: Amended the rule to conform the oath to statutory changes

and to provide a proposed form for the oath of personal representative. The
oath is expanded to address the qualifications and continuing duties of the
personal representative.

2021 Revision: Form Oath amended to require a statement that the
personal representative has never been convicted of abuse, neglect, or
exploitation of an elderly or disabled adult and to revise notary block for
compliance with revised section 117.05, Florida Statutes.



Statutory References
733.302, Fla. Stat. Who may be appointed personal representative
733.303, Fla. Stat. Persons not qualified
733.304, Fla. Stat. Nonresidents
733.3101, Fla. Stat. Personal representative not qualified
825.101, Fla. Stat. Definitions
Rule References
Fla. Prob. R. 5.110 Address designation for personal representative or

guardian; designation of resident agent and acceptance.
Fla. Prob. R. 5.235 Issuance of letters, bond.



 Pt. II. ,  Rule 5.330. 
Fla. Prob. R. 5.330

RULE 5.330. EXECUTION BY PERSONAL REPRESENTATIVE.
Notwithstanding any other provisions of these rules, the personal

representative shall sign the:
(a) inventory;
(b) accountings;
(c) petition for sale or confirmation of sale or encumbrance of real or

personal property;
(d) petition to continue business of decedent;
(e) petition to compromise or settle claim;
(f) petition to purchase on credit;
(g) petition for distribution and discharge; and
(h) resignation of personal representative.

COMMITTEE NOTES

Rule History
1975 Revision: Where the jurisdiction of the court is invoked voluntarily

pursuant to section 733.603, Florida Statutes, or otherwise, the rule requires
that the personal representative have actual knowledge of the more important
steps and acts of administration.

1977 Revision: Citation form change in committee note.
1988 Revision: Editorial changes. Citation form changes in committee

notes.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
2003 Revision: Committee notes revised.
2010 Revision: Committee notes revised.
Statutory References



 733.502, Fla. Stat. Resignation of personal representative.
 733.604, Fla. Stat. Inventories and accountings; public records

exemptions.
 733.612(5), (22), (24), Fla. Stat. Transactions authorized for the personal

representative; exceptions.
 733.613, Fla. Stat. Personal representatives right to sell real property.
 733.708, Fla. Stat. Compromise.
 733.901, Fla. Stat. Final discharge.
Rule References
Fla. Prob. R. 5.340 Inventory.
Fla. Prob. R. 5.345 Accountings other than personal representatives final

accountings.
Fla. Prob. R. 5.346 Fiduciary accounting.
Fla. Prob. R. 5.350 Continuance of unincorporated business or venture.
Fla. Prob. R. 5.370 Sales of real property where no power conferred.
Fla. Prob. R. 5.400 Distribution and discharge.
Fla. Prob. R. 5.430 Resignation of personal representative.



 Pt. II. ,  Rule 5.340. 
Fla. Prob. R. 5.340

RULE 5.340. INVENTORY.
(a) Contents and Filing. Unless an inventory has been previously filed,

the personal representative shall file an inventory of the estate within 60 days
after issuance of letters. The inventory shall contain notice of the
beneficiaries rights under subdivision (e), list the estate with reasonable
detail, and include for each listed item (excluding real property appearing to
be protected homestead property) its estimated fair market value at the date of
the decedents death. Real property appearing to be protected homestead
property shall be listed and so designated.

(b) Extension. On petition the time for filing the inventory may be
extended by the court for cause shown without notice, except that the
personal representative shall serve copies of the petition and order on the
persons described in subdivision (d).

(c) Amendments. A supplementary or amended inventory containing the
information required by subdivision (a) as to each affected item shall be filed
and served by the personal representative if:

(1) the personal representative learns of property not included in the
original inventory; or

(2) the personal representative learns that the estimated value or
description indicated in the original inventory for any item is erroneous or
misleading; or

(3) the personal representative determines the estimated fair market
value of an item whose value was described as unknown in the original
inventory.
(d) Service. The personal representative shall serve a copy of the inventory

and all supplemental and amended inventories on the surviving spouse, each
heir at law in an intestate estate, each residuary beneficiary in a testate estate,
and any other interested person who may request it in writing.

(e) Information. On request in writing, the personal representative shall
provide the following:



(1) To the requesting residuary beneficiary or heir in an intestate estate,
a written explanation of how the inventory value for an asset was
determined or, if an appraisal was obtained, a copy of the appraisal.

(2) To any other requesting beneficiary, a written explanation of how the
inventory value for each asset distributed or proposed to be distributed to
that beneficiary was determined or, if an appraisal of that asset was
obtained, a copy of the appraisal.
(f) Notice to Nonresiduary Beneficiaries. The personal representative

shall provide to each nonresiduary beneficiary written notice of that
beneficiarys right to receive a written explanation of how the inventory
value for each asset distributed or proposed to be distributed to that
beneficiary was determined or a copy of an appraisal, if any, of the asset.

(g) Elective Share Proceedings. Upon entry of an order determining the
surviving spouses entitlement to the elective share, the personal
representative shall file an inventory of the property entering into the elective
estate which shall identify the direct recipient, if any, of that property. The
personal representative shall serve the inventory of the elective estate as
provided in rule 5.360. On request in writing, the personal representative
shall provide an interested person with a written explanation of how the
inventory value for an asset was determined and shall permit an interested
person to examine appraisals on which the inventory values are based.

(h) Verification. All inventories shall be verified by the personal
representative.

COMMITTEE NOTES

Inventories of the elective estate under subdivision (f) shall be afforded the
same confidentiality as probate inventories.  733.604(1) and (2), Fla. Stat.

Inventories are still required to be filed. Once filed, however, they are
subject to the confidentiality provisions found in sections 733.604(1) and (2),
Florida Statutes.

Constitutional protected homestead real property is not necessarily a
probatable asset. Disclosure on the inventory of real property appearing to be
constitutional protected homestead property informs interested persons of the
homestead issue.



Interested persons are entitled to reasonable information about estate
proceedings on proper request, including a copy of the inventory, an
opportunity to examine appraisals, and other information pertinent to their
interests in the estate. The rights of beneficiaries to information contained in
estate inventories is limited by section 733.604(3), Florida Statutes.
Inventories of the elective estate under subdivision (f) affects a broader class
of interested persons who may obtain information regarding the assets
disclosed therein subject to control by the court and the confidentiality
afforded such inventories under section 733.604(1) and (2).

Rule History
1980 Revision: Eliminated the time limit in requesting a copy of the

inventory by an interested person or in furnishing it by the personal
representative.

1984 (First) Revision: Extensive changes. Committee notes revised.
1984 (Second) Revision: Subdivision (a) modified to clarify or re-insert

continued filing requirement for inventory.
1988 Revision: Editorial changes in (b) and (d). Committee notes revised.

Citation form changes in committee notes.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
2001 Revision: Subdivision (a) amended to conform to statutory changes.

Subdivision (d) amended to add requirement of filing of proof of service.
Subdivision (e) amended to clarify personal representatives duty to furnish
explanation of how inventory values were determined. Subdivision (f) added
to require personal representative to file inventory of property entering into
elective share. Subdivision (g) added to require verification of inventories.
Committee notes revised.

2002 Revision: Subdivision (e) amended to conform to section 733.604(3),
Florida Statutes. Subdivision (f) amended to establish procedures for
interested persons to obtain information about assets and values listed in the
inventory of the elective estate. Committee notes revised.

2003 Revision: Committee notes revised.
2010 Revision: Subdivisions (d) and (g) (former (f)) amended to delete the



requirement to serve a copy of the inventory on the Department of Revenue.
Subdivision (e) amended, and new (f) created, to limit the kind of
information available to nonresiduary beneficiaries, and subsequent
subdivisions relettered. Editorial changes in (a), (e), and (g). Committee notes
revised.

2012 Revision: The last sentence of subdivision (d) is deleted to remove
duplicative requirement of filing a proof of service for a document which
includes a certificate of service as provided in Fla. R. Gen. Prac. & Jud.
Admin. 2.516. If service of the inventory is by service in the manner
provided for service of formal notice, then proof of service should be filed as
provided in rule 5.040(a)(5). Committee notes revised.

Constitutional Reference
Art. X,  4, Fla. Const.
Statutory References
 732.401, Fla. Stat. Descent of homestead.
 732.4015, Fla. Stat. Devise of homestead.
 733.604, Fla. Stat. Inventories and accountings; public records

exemptions.
Rule References
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.340 Execution by personal representative.
Fla. Prob. R. 5.360 Elective share.
Fla. Prob. R. 5.405 Proceedings to determine homestead status of real

property.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.341. 
Fla. Prob. R. 5.341

RULE 5.341. ESTATE INFORMATION.
On reasonable request in writing, the personal representative shall provide

an interested person with information about the estate and its administration.

COMMITTEE NOTES

This rule is not intended to overrule the holdings in In re Estate of Shaw,
340 So. 2d 491 (Fla. 3d DCA 1976), and In re Estate of Posner, 492 So. 2d
1093 (Fla. 3d DCA 1986).

Rule History
2002 Revision: New rule.



 Pt. II. ,  Rule 5.342. 
Fla. Prob. R. 5.342

RULE 5.342. INVENTORY OF SAFE-DEPOSIT BOX.
(a) Filing. The personal representative shall file an inventory of the

contents of the decedents safe-deposit box within 10 days of the initial
opening of the box by the personal representative or the personal
representatives attorney of record. The inventory shall include a copy of the
financial institutions entry record for the box from a date that is six months
prior to the decedents date of death to the date of the initial opening by the
personal representative or the personal representatives attorney of record.

(b) Verification. Each person who was present at the initial opening must
verify the contents of the box by signing a copy of the inventory under
penalties of perjury.

(c) Service. The personal representative shall serve a copy of the inventory
on the surviving spouse, each heir at law in an intestate estate, each residuary
beneficiary in a testate estate, and any other interested person who may
request it in writing.

COMMITTEE NOTES

Inventories and entry records, once filed, shall be afforded the same
confidentiality as probate inventories.

If a safe-deposit box is opened pursuant to section 655.935 of the Florida
Statutes, no written inventory of the box need be prepared or filed.

Rule History
2003 Revision: New rule.
2012 Revision: The last sentence of subdivision (c) is deleted to remove

duplicative requirement of filing a proof of service for a document which
includes a certificate of service as provided in Fla. R. Gen. Prac. & Jud.
Admin. 2.516. In service of the inventory is by service in the manner
provided for service of formal notice, then proof of service should be filed as
provided in rule 5.040(a)(5). Committee notes revised.

Statutory References



 655.935, Fla. Stat. Search procedure on death of lessee.
 655.936, Fla. Stat. Delivery of safe-deposit box contents or property held

in safekeeping to personal representative.
 733.6065, Fla. Stat. Opening safe-deposit box.
Rule References
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.340 Inventory.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.3425. 
Fla. Prob. R. 5.3425

RULE 5.3425. SEARCH OF SAFE DEPOSIT BOX.
(a) Petition for Order Authorizing Search. The petition for an order

authorizing the search of a safe deposit box leased or co-leased by a decedent
must be verified and must contain:

(1) The petitioners name, address, and interest, if any, in the estate;
(2) The decedents name, address, date and place of death, and state and

county of domicile;
(3) A description of the safe deposit box leased by the decedent and, if

known, the name of any co-lessee;
(4) The name and address of the institution where the safe deposit box is

located; and
(5) A statement that the petitioner believes that the decedent may have

left in the safe deposit box one or more of the following:
(A) A will or codicil of the decedent, or a writing described in section

732.515 of the Code;
(B) A deed to a burial plot;
(C) A writing giving burial instructions; or
(D) Insurance policies on the life of the decedent.

(b) Order. If the Court determines that the petitioner is entitled to an order
authorizing a search of the decedents safe deposit box, it must enter an order

(1) authorizing the petitioner to open the safe deposit box in the
presence of an officer of the lessor and, if requested by the petitioner, to
remove and deliver

(A) to the court having probate jurisdiction in the county where the
lessor is located any writing purporting to be a will or codicil of the
decedent and any writing purporting to identify devises of tangible
property;

(B) to the petitioner, any writing purporting to be a deed to a burial



plot to give burial instructions; and
(C) to the beneficiary named therein, any document purporting to be

an insurance policy on the life of the decedent.
(2) directing the officer of the lessor to make a complete copy of any

document removed and delivered pursuant to the court order, together with
a memorandum of delivery identifying the name of the officer, the person
to whom the document was delivered, and the date of delivery, to be
placed in the safe deposit box leased or co-leased by the decedent.

COMMITTEE NOTES

The search of the safe deposit box is not considered an initial opening and
is not subject to the inventory requirements of rule 5.342.

Rule History
2010 Revision: New rule.
Statutory References
 655.935, Fla. Stat. Search procedure on death of lessee.



 Pt. II. ,  Rule 5.345. 
Fla. Prob. R. 5.345

RULE 5.345. ACCOUNTINGS OTHER THAN PERSONAL
REPRESENTATIVES FINAL ACCOUNTINGS.

(a) Applicability and Accounting Periods. This rule applies to the
interim accounting of any fiduciary of a probate estate, the accounting of a
personal representative who has resigned or been removed, and the
accounting of a curator upon the appointment of a successor fiduciary. The
fiduciary may elect to file an interim accounting at any time, or the court may
require an interim or supplemental accounting. The ending date of the
accounting period for any accounting to which this rule applies shall be as
follows:

(1) For an interim accounting, any date selected by the fiduciary,
including a fiscal or calendar year, or as may be determined by the court.

(2) For the accounting of a personal representative who has resigned or
has been removed, the date the personal representatives letters are
revoked.

(3) For a curator who has been replaced by a successor fiduciary, the
date of appointment of the successor fiduciary.
(b) Notice of Filing. Notice of filing and a copy of any accounting to

which this rule applies shall be served on all interested persons. The notice
shall state that objections to the accounting must be filed within 30 days from
the date of service of notice.

(c) Objection. Any interested person may file an objection to any
accounting to which this rule applies within 30 days from the date of service
of notice on that person. Any objection not filed within 30 days from the date
of service shall be deemed abandoned. An objection shall be in writing and
shall state with particularity the item or items to which the objection is
directed and the grounds upon which the objection is based.

(d) Service of Objections. The objecting party shall serve a copy of the
objection on the fiduciary filing the accounting and other interested persons.

(e) Disposition of Objections and Approval of Accountings. The court
shall sustain or overrule any objection filed as provided in this rule. If no



objection is filed, any accounting to which this rule applies shall be deemed
approved 30 days from the date of service of the accounting on interested
persons.

(f) Substantiating Documents. On reasonable written request, the
fiduciary shall permit an interested person to examine documents
substantiating items in any accounting to which this rule applies.

(g) Supplemental Accountings. The court, on its own motion or on that of
any interested person, may require a fiduciary who has been replaced by a
successor fiduciary to file a supplemental accounting, the beginning date of
which shall be the ending date of the accounting as specified in subdivision
(a) of this rule and the ending date of which is the date of delivery of all of
the estates property to the successor fiduciary, or such other date as the court
may order.

(h) Verification. All accountings shall be verified by the fiduciary filing
the accounting.

COMMITTEE NOTES

The personal representative is required to file a final accounting when
administration is complete, unless filing is waived by interested persons.
Additionally, a fiduciary of a probate estate may elect, but is not required, to
file interim accountings at any time. An accounting is required for resigning
or removed fiduciaries. The filing, notice, objection, and approval procedure
is similar to that for final accounts.

Rule History
1977 Revision: Change in (a) to authorize selection of fiscal year.
1980 Revision: Change in (d) of prior rule to require the notice to state that

the basis for an objection is necessary. Change in (e) of prior rule to require
any person filing an objection to set forth the basis of such objection.

1984 Revision: Extensive changes. Committee notes revised.
1988 Revision: Citation form change in committee notes.
1992 Revision: Editorial change. Committee notes revised. Citation form

changes in committee notes.



2002 Revision: Implements procedures for interim accountings and
accountings by resigning or removed fiduciaries. Committee notes revised.

2003 Revision: Committee notes revised.
2005 Revision: Verification requirement added as new (h). Committee

notes revised.
2016 Revision: Subdivision (f) revised to substitute documents for

papers.
Statutory References
 733.3101, Fla. Stat. Personal representative not qualified.
 733.501, Fla. Stat. Curators.
 733.5035, Fla. Stat. Surrender of assets after resignation.
 733.5036, Fla. Stat. Accounting and discharge following resignation.
 733.508, Fla. Stat. Accounting and discharge of removed personal

representatives upon removal.
 733.509, Fla. Stat. Surrender of assets upon removal.
Ch. 738, Fla. Stat. Principal and income.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.122 Curators.
Fla. Prob. R. 5.150 Order requiring accounting.
Fla. Prob. R. 5.330 Execution by personal representative.
Fla. Prob. R. 5.346 Fiduciary accounting.
Fla. Prob. R. 5.430 Resignation of personal representative.
Fla. Prob. R. 5.440 Proceedings for removal.



 Pt. II. ,  Rule 5.346. 
Fla. Prob. R. 5.346

RULE 5.346. FIDUCIARY ACCOUNTING.
(a) Contents. A fiduciary accounting, other than a guardian accounting,

shall include:
(1) all cash and property transactions since the date of the last

accounting or, if none, from the commencement of administration, and
(2) a schedule of assests at the end of the accounting period.

(b) Accounting Standards. The following standards are required for the
accounting of all transactions occurring on or after January 1, 1994:

(1) Accountings shall be stated in a manner that is understandable to
persons who are not familiar with practices and terminology peculiar to the
administration of estates and trusts.

(2) The accounting shall begin with a concise summary of its purpose
and content.

(3) The accounting shall contain sufficient information to put interested
persons on notice as to all significant transactions affecting administration
during the accounting period.

(4) The accounting shall contain 2 values in the schedule of assets at the
end of the accounting period, the asset acquisition value or carrying value,
and estimated current value.

(5) Gains and losses incurred during the accounting period shall be
shown separately in the same schedule.

(6) The accounting shall show significant transactions that do not affect
the amount for which the fiduciary is accountable.
(c) Accounting Format. A model format for an accounting is attached to

these rules as Appendix A.
(d) Verification. All accountings shall be verified by the fiduciary filing

the accounting.

COMMITTEE NOTES



This rule substantially adopts the Uniform Fiduciary Accounting Principles
and Model Formats adopted by the Committee on National Fiduciary
Accounting Standards of the American Bar Association: Section of Real
Property, Probate and Trust Law, the American College of Probate Counsel,
the American Bankers Association: Trust Division, and other organizations.

Accountings shall also comply with the Florida principal and income law,
chapter 738, Florida Statutes.

Attached as Appendix B to this rule are an explanation and commentary
for each of the foregoing standards, which shall be considered as a
Committee Note to this rule.

Accountings that substantially conform to the model formats are
acceptable. The model accounting format included in Appendix A is only a
suggested form.

Rule History
1988 Revision: New rule.
1992 Revision: Editorial changes throughout. Rule changed to require

compliance with the Uniform Fiduciary Accounting Principles and Model
Formats for accounting of all transactions occurring on or after January 1,
1994. Committee notes revised. Citation form changes in committee notes.

1996 Revision: Committee notes revised.
1999 Revision: Committee notes revised to correct rule reference and to

reflect formatting changes in accounting formats.
2002 Revision: Subdivisions (a) and (b) amended to clarify contents of

accounting. Comittee notes revised.
2003 Revision: Committee notes revised.
2005 Revision: Verification requirement added as new (d). Committee

notes revised.
2007 Revision: Committee notes revised.
2010 Revision: Committee notes revised.
2016 Revision: Subdivision (a) amended to clarify that this rule does not

apply to guardian accounting. Committee notes revised.



Statutory References
 733.501, Fla. Stat. Curators.
 733.5036, Fla. Stat. Accounting and discharge following resignation.
 733.508, Fla. Stat. Accounting and discharge of removed personal

representatives upon removal.
 733.602(1), Fla. Stat. General duties.
 733.612(18), Fla. Stat. Transactions authorized for the personal

representative; exceptions.
ch. 738, Fla. Stat. Principal and income.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.122 Curators.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.330 Execution by personal representative.
Fla. Prob. R. 5.345 Accountings other than personal representatives final

accountings
Fla. Prob. R. 5.400 Distribution and discharge.
Fla. Prob. R. 5.430 Resignation of personal representative.
Fla. Prob. R. 5.440 Proceedings for removal.



 Pt. II. ,  Appx A 
Fla. Prob. R., Pt. II, Appx A

APPENDIX A


















 Pt. II. ,  Appx B 
Fla. Prob. R., Pt. II, Appx B

APPENDIX B

APPENDIX B 
UNIFORM FIDUCIARY ACCOUNTING PRINCIPLES

I. ACCOUNTS SHOULD BE STATED IN A MANNER THAT IS
UNDERSTANDABLE BY PERSONS WHO ARE NOT FAMILIAR WITH
PRACTICES AND TERMINOLOGY PECULIAR TO THE
ADMINISTRATION OF ESTATES AND TRUSTS.

Commentary: In order for an account to fulfill its basic function of
communication, it is essential that it be stated in a manner that recognizes that
the interested parties are not usually familiar with fiduciary accounts. It is
neither practical nor desirable to require that accounts be tailored to meet
individual disabilities of particular parties but any account should be capable
of being understood by a person of average intelligence, literate in English,
and familiar with basic financial terms who has read it with care and
attention.

Problems arising from terminology or style are usually a reflection of the
fact that people who become versed in a particular form of practice tend to
forget that terms which are familiar and useful to them may convey nothing
to someone else or may even be affirmatively misleading. For example, the
terms debit and credit are generally incomprehensible to people with no
knowledge of bookkeeping and many people who are familiar with them in
other contexts would assume that in the context of fiduciary accounting, the
receipt of an item is a credit to the fund rather than a debit to the
fiduciary.

While the need for concise presentation makes a certain amount of
abbreviation both acceptable and necessary, uncommon abbreviation of
matters essential to an understanding of the account should be avoided or
explained.

No position is taken for or against the use of direct print-outs from
machine accounting systems. The quality of the accounts produced by these
systems varies widely in the extent to which they can be understood by



persons who are not familiar with them. To endorse or object to a direct print-
out because it is produced by machine from previously stored data would
miss the essential point by focusing attention upon the manner of preparation
rather than the product.

II. A FIDUCIARY ACCOUNT SHALL BEGIN WITH A CONCISE
SUMMARY OF ITS PURPOSE AND CONTENT.

Commentary: Very few people can be expected to pay much attention to a
document unless they have some understanding of its general purpose and its
significance to them. Even with such an understanding, impressions derived
from the first page or two will often determine whether the rest is read. The
use that is made of these pages is therefore of particular significance.

The cover page should disclose the nature and function of the account.
While a complete explanation of the significance of the account and the effect
of its presentation upon the rights of the parties is obviously impractical for
inclusion at this point, there should be at least a brief statement identifying
the fiduciary and the subject matter, noting the importance of examining the
account and giving an address where more information can be obtained.

It is assumed that the parties would also have enough information from
other sources to understand the nature of their relationship to the fund (e.g.,
residuary legatee, life tenant, remainderman), the function of the account, and
the obligation of the fiduciary to supply further relevant information upon
request. It is also assumed that notice will be given of any significant
procedural considerations such as limitation on the time within which
objections must be presented. This would normally be provided by prior or
contemporaneous memoranda, correspondence, or discussions.

A summary of the account shall also be presented at the outset. This
summary, organized as a table of contents, shall indicate the order of the
details presented in the account and shall show separate totals for the
aggregate of the assets on hand at the beginning of the accounting period;
transactions during the period; and the assets remaining on hand at the end of
the period. Each entry in the summary shall be supported by a schedule in the
account that provides the details on which the summary is based.

III. A FIDUCIARY ACCOUNT SHALL CONTAIN SUFFICIENT
INFORMATION TO PUT THE INTERESTED PARTIES ON NOTICE AS



TO ALL SIGNIFICANT TRANSACTIONS AFFECTING
ADMINISTRATION DURING THE ACCOUNTING PERIOD.

Commentary: The presentation of the information account shall allow an
interested party to follow the progress of the fiduciarys administration of
assets during the accounting period.

An account is not complete if it does not itemize, or make reference to,
assets on hand at the beginning of the accounting period.

Illustration:
3.1 The first account for a decedents estate or a trust may detail the items

received by the fiduciary and for which the fiduciary is responsible. It may
refer to the total amount of an inventory filed elsewhere or assets described in
a schedule attached to a trust agreement.

Instead of retyping the complete list of assets in the opening balance, the
preparer may prefer to attach as an exhibit a copy of the inventory, closing
balance from the last account, etc., as appropriate, or may refer to them if
previously provided to the interested parties who will receive it.

Transactions shall be described in sufficient detail to give interested parties
notice of their purpose and effect. It should be recognized that too much
detail may be counterproductive to making the account understandable. In
accounts covering long periods or dealing with extensive assets, it is usually
desirable to consolidate information. For instance, where income from a
number of securities is being accounted for over a long period of time, a
statement of the total dividends received on each security with appropriate
indication of changes in the number of shares held will be more readily
understandable and easier to check for completeness than a chronological
listing of all dividends received.

Although detail should generally be avoided for routine transactions, it will
often be necessary to proper understanding of an event that is somewhat out
of the ordinary.

Illustrations:
3.2 Extraordinary appraisal costs should be shown separately and

explained.
3.3 Interest and penalties in connection with late filing of tax returns



should be shown separately and explained.
3.4 An extraordinary allocation between principal and income such as

apportionment of proceeds of property acquired on foreclosure should be
separately stated and explained.

3.5 Computation of a formula marital deduction gift involving non-probate
assets should be explained.

IV. A FIDUCIARY ACCOUNT SHALL CONTAIN TWO VALUES,
THE ASSET ACQUISITION VALUE OR CARRYING VALUE, AND
CURRENT VALUE.

Commentary: In order for transactions to be reported on a consistent basis,
an appropriate carrying value for assets must be chosen and employed
consistently.

The carrying value of an asset should reflect its value at the time it is
acquired by the fiduciary (or a predecessor fiduciary). When such a value is
not precisely determinable, the figure used should reflect a thoughtful
decision by the fiduciary. For assets owned by a decedent, inventory values
or estate tax values  generally reflective of date of death  would be
appropriate. Assets received in kind by a trustee from a settlor of an
intervivos trust should be carried at their value at the time of receipt. For
assets purchased during the administration of the fund, cost would normally
be used. Use of Federal income tax basis for carrying value is acceptable
when basis is reasonably representative of real values at the time of
acquisition. Use of tax basis as a carrying value under other circumstances
could be affirmatively misleading to beneficiaries and therefore is not
appropriate.

In the Model Account, carrying value is referred to as fiduciary
acquisition value. The Model Account establishes the initial carrying value
of assets as their value at date of death for inventoried assets, date of receipt
for subsequent receipts, and cost for investments.

Carrying value would not normally be adjusted for depreciation.
Except for adjustments that occur normally under the accounting system in

use, carrying values should generally be continued unchanged through
successive accounts and assets should not be arbitrarily written up or
written down. In some circumstances, however, with proper disclosure and



explanation, carrying value may be adjusted.
Illustrations:
4.1 Carrying values based on date of death may be adjusted to reflect

changes on audit of estate or inheritance tax returns.
4.2 Where appropriate under applicable local law, a successor fiduciary

may adjust the carrying value of assets to reflect values at the start of that
fiduciarys administration.

4.3 Assets received in kind in satisfaction of a pecuniary legacy should be
carried at the value used for purposes of distribution.

Though essential for accounting purposes, carrying values are commonly
misunderstood by laypersons as being a representation of actual values. To
avoid this, the account should include both current values and carrying
values.

The value of assets at the beginning and ending of each accounting period
is necessary information for the evaluation of investment performance.
Therefore, the account should show, or make reference to, current values at
the start of the period for all assets whose carrying values were established in
a prior accounting period.

Illustrations:
4.4 The opening balance of the first account of a testamentary trustee will

usually contain assets received in kind from the executor. Unless the carrying
value was written up at the time of distribution (e.g., 4.2 or 4.3 supra) these
assets will be carried at a value established during the executors
administration. The current value at the beginning of the accounting period
should also be shown.

4.5 An executors first account will normally carry assets at inventory
(date of death) values or costs. No separate listing of current values at the
beginning of the accounting period is necessary.

Current values should also be shown for all assets on hand at the close of
the accounting period. The date on which current values are determined shall
be stated and shall be the last day of the accounting period, or a date as close
thereto as reasonably possible.



Current values should be shown in a column parallel to the column of
carrying values. Both columns should be totalled.

In determining current values for assets for which there is no readily
ascertainable current value, the source of the value stated in the account shall
be explained. The fiduciary shall make a good faith effort to determine
realistic values but should not be expected to incur expenses for appraisals or
similar costs when there is no reason to expect that the resulting information
will be of practical consequence to the administration of the estate or the
protection of the interests of the parties.

Illustrations:
4.6 When an asset is held under circumstances that make it clear that it will

not be sold (e.g., a residence held for use of a beneficiary) the fiduciarys
estimate of value would be acceptable in lieu of an appraisal.

4.7 Considerations such as a pending tax audit or offer of the property for
sale may indicate the advisability of not publishing the fiduciarys best
estimate of value. In such circumstances, a statement that value was fixed by
some method such as per company books, formula under buy-sell
agreement, or 300% of assessed value would be acceptable, but the
fiduciary would be expected to provide further information to interested
parties upon request.

V. GAINS AND LOSSES INCURRED DURING THE ACCOUNTING
PERIOD SHALL BE SHOWN SEPARATELY IN THE SAME
SCHEDULE.

Commentary: Each transaction involving the sale or other disposition of
securities during the accounting period shall be shown as a separate item in
one combined schedule of the account indicating the transaction, date,
explanation, and any gain or loss.

Although gains and losses from the sale of securities can be shown
separately in accounts, the preferred method of presentation is to present this
information in a single schedule. Such a presentation provides the most
meaningful description of investment performance and will tend to clarify
relationships between gains and losses that are deliberately realized at the
same time.

VI. THE ACCOUNT SHALL SHOW SIGNIFICANT TRANSACTIONS



THAT DO NOT AFFECT THE AMOUNT FOR WHICH THE FIDUCIARY
IS ACCOUNTABLE.

Commentary: Transactions such as the purchase of an investment, receipt
of a stock split, or change of a corporate name do not alter the total fund for
which a fiduciary is accountable but must be shown in order to permit
analysis and an understanding of the administration of the fund. These can be
best shown in information schedules.

One schedule should list all investments made during the accounting
period. It should include those subsequently sold as well as those still on
hand. Frequently the same money will be used for a series of investments.
Therefore, the schedule should not be totalled in order to avoid giving an
exaggerated idea of the size of the fund.

A second schedule (entitled Changes in Investment Holdings in the
Model Account) should show all transactions affecting a particular security
holding, such as purchase of additional shares, partial sales, stocksplits,
change of corporate name, divestment distributions, etc. This schedule,
similar to a ledger account for each holding, will reconcile opening and
closing entries for particular holdings, explain changes in carrying value, and
avoid extensive searches through the account for information scattered
among other schedules.



 Pt. II. ,  Rule 5.350. 
Fla. Prob. R. 5.350

RULE 5.350. CONTINUANCE OF UNINCORPORATED BUSINESS
OR VENTURE.

(a) Separate Accounts and Reports. In the conduct of an unincorporated
business or venture, the personal representative shall keep separate, full, and
accurate accounts of all receipts and expenditures and make reports as the
court may require.

(b) Petition. If the personal representative determines it to be in the best
interest of the estate to continue an unincorporated business or venture
beyond the time authorized by statute or will, the personal representative
shall file a verified petition which shall include:

(1) a statement of the nature of that business or venture;
(2) a schedule of specific assets and liabilities;
(3) the reasons for continuation;
(4) the proposed form and times of accounting for that business or

venture;
(5) the period for which the continuation is requested; and
(6) any other information pertinent to the petition.

(c) Order. If the continuation is authorized, the order shall state:
(1) the period for which that business or venture is to continue;
(2) the particular powers of the personal representative in the

continuation of that business or venture; and
(3) the form and frequency of accounting by that business or venture.

(d) Petition by Interested Person. Any interested person, at any time,
may petition the court for an order regarding the operation of, accounting for,
or termination of an unincorporated business or venture, and the court shall
enter an order thereon.

COMMITTEE NOTES



Rule History
1975 Revision: New rule.  733.612.
1984 Revision: Extensive changes in rule and title. Clarifies procedural

steps to be taken by a personal representative who determines it to be in the
best interest of an estate to continue any unincorporated business beyond the
time authorized by statute. Information required to be filed in a verified
petition is specified, and normal information to be included in a court order is
listed. Other pertinent information under (b)(6) may include provisions for
insurance of business or venture, proposed professionals to be used in
connection with such activities, how the business or venture shall be
managed, the person or persons proposed for managerial positions, a list of
all other employees, agents, or independent contractors employed by or
affiliated with the business or venture, and proposed compensation for all
such management personnel, agents, employees, and independent contractors.
Committee notes revised and expanded.

1988 Revision: Editorial change in caption of (b). Committee notes
revised. Citation form changes in committee notes.

1992 Revision: Committee notes revised. Citation form changes in
committee notes.

2012 Revision: Committee notes revised.
Statutory References
F.S. 733.612(22), Fla. Stat. Transactions authorized for the personal

representative; exceptions.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.380 Execution by personal representative.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.355. 
Fla. Prob. R. 5.355

RULE 5.355. PROCEEDINGS FOR REVIEW OF EMPLOYMENT OF
AGENTS AND COMPENSATION OF PERSONAL
REPRESENTATIVES AND ESTATE EMPLOYEES.

After notice to all interested persons and upon petition of an interested
person bearing all or a part of the impact of the payment of compensation to
the personal representative or any person employed by the personal
representative, the propriety of the employment and the reasonableness of the
compensation or payment may be reviewed by the court. The petition shall
state the grounds on which it is based. The burden of proving the propriety of
the employment and the reasonableness of the compensation shall be upon
the personal representative and the person employed by the personal
representative. Any person who is determined to have received excessive
compensation from an estate may be ordered to make appropriate refunds.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure formerly found
in section 733.6175, Florida Statutes. It is not intended to change the effect of
the statute from which it was derived but has been reformatted to conform
with the structure of these rules. It is not intended to create a new procedure
or modify an existing procedure.

Rule History
1988 Revision: New rule.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
1996 Revision: Committee notes revised.
2003 Revision: Committee notes revised.
2007 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
Statutory References



 731.201(23), Fla. Stat. General definitions.
 731.301, Fla. Stat. Notice.
 733.612(19), Fla. Stat. Transactions authorized for the personal

representative; exceptions.
 733.617, Fla. Stat. Compensation of personal representative.
 733.6171, Fla. Stat. Compensation of attorney for the personal

representative.
 733.6175, Fla. Stat. Proceedings for review of employment of agents and

compensation of personal representatives and employees of estate.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.360. 
Fla. Prob. R. 5.360

RULE 5.360. ELECTIVE SHARE.
(a) Election. An election to take the elective share may be filed by the

surviving spouse, or on behalf of the surviving spouse by an agent or
guardian of the property of the surviving spouse.

(1) Election by Surviving Spouse. An electing surviving spouse must
file the election within the time required by law and promptly serve a copy
of the election on the personal representative in the manner provided for
service of formal notice.

(2) Election by Agent or Guardian of the Property of Surviving
Spouse.
(A) Petition for Approval. Before filing the election, the agent or

guardian of the property of the surviving spouse must petition the court
having jurisdiction of the probate proceeding for approval to make the
election. The petition for approval must allege the authority to act on behalf
of the surviving spouse and facts supporting the election.

(B) Notice of Petition. Upon receipt of the petition, the personal
representative must promptly serve a copy of the petition by formal notice on
all interested persons.

(C) Order Authorizing Election. If the election is approved, the order
must include a finding that the election is in the best interests of the surviving
spouse during the spouses probable lifetime.

(D) Filing the Election. Upon entry of an order authorizing the filing of an
election, the agent or guardian of the property must file the election within
the later of the time provided by law or 30 days from service of the order and
promptly serve a copy of the election on the personal representative in the
manner provided for service of formal notice.

(b) Procedure for Election.
(1) Extension. Within the period provided by law to make the election,

the surviving spouse or an agent or guardian of the property of the
surviving spouse may petition the court for an extension of time for



making an election or for approval to make the election. After notice and
hearing the court for good cause shown may extend the time for election. If
the court grants the petition for an extension, the election must be filed
within the time allowed by the extension.

(2) Withdrawal of Election. The surviving spouse, an agent, a guardian
of the property of the surviving spouse, or the personal representative of
the surviving spouses estate may withdraw the election within the time
provided by law.

(3) Service of Notice. Upon receipt of an election the personal
representative must serve a notice of election within 20 days following
service of the election, together with a copy of the election, on all
interested persons in the manner provided for service of formal notice. The
notice of election must indicate the names and addresses of the attorneys
for the surviving spouse and the personal representative and must state
that:

(A) persons receiving a notice of election may be required to
contribute toward the satisfaction of the elective share;

(B) objections to the election must be served within 20 days after
service of the copy of the notice of election; and

(C) if no objection to the election is timely served, an order
determining the surviving spouses entitlement to the elective share may
be granted without further notice.
(4) Objection to Election. Within 20 days after service of the notice of

election, an interested person may serve an objection to the election which
must state with particularity the grounds on which the objection is based.
The objecting party must serve copies of the objection on the surviving
spouse and the personal representative. If an objection is served, the
personal representative must promptly serve a copy of the objection on all
other interested persons who have not previously been served with a copy
of the objection.
(c) Determination of Entitlement.

(1) No Objection Served. If no objection to the election is timely
served, the court must enter an order determining the spouses entitlement
to the elective share.



(2) Objection Served. If an objection to the election is timely served,
the court must determine the surviving spouses entitlement to the elective
share after notice and hearing.
(d) Procedure to Determine Amount of Elective Share and

Contribution.
(1) Petition by Personal Representative. After entry of the order

determining the surviving spouses entitlement to the elective share, the
personal representative must file and serve a petition to determine the
amount of the elective share. The petition must:

(A) give the name and address of each direct recipient known to the
personal representative;

(B) describe the proposed distribution of assets to satisfy the elective
share, and the time and manner of distribution; and

(C) identify those direct recipients, if any, from whom a specified
contribution will be required and state the amount of contribution sought
from each.
(2) Service of Inventory. The inventory of the elective estate required

by rule 5.340, together with the petition, must be served within 60 days
after entry of the order determining entitlement to the elective share on all
interested persons in the manner provided for service of formal notice.

(3) Petition by Spouse. If the personal representative does not file the
petition to determine the amount of the elective share within 90 days from
rendition of the order of entitlement, the electing spouse or the agent or the
guardian of the property or personal representative of the electing spouse
may file the petition specifying as particularly as is known the value of the
elective share.

(4) Objection to Amount of Elective Share. Within 20 days after
service of the petition to determine the amount of the elective share, an
interested person may serve an objection to the amount of or distribution of
assets to satisfy the elective share. The objection must state with
particularity the grounds on which the objection is based. The objecting
party must serve copies of the objection on the surviving spouse and the
personal representative. If an objection is served, the personal
representative must promptly serve a copy of the objection on all interested



persons who have not previously been served.
(5) Determination of Amount of Elective Share and Contribution.

(A) No Objection Served. If no objection is timely served to the petition
to determine the amount of the elective share, the court must enter an order
on the petition.

(B) Objection Served. If an objection is timely served to the petition to
determine the amount of the elective share, the court must determine the
amount of the elective share and contribution after notice and hearing.

(6) Order Determining Amount of Elective Share and Contribution.
The order must:

(A) set forth the amount of the elective share;
(B) identify the assets to be distributed to the surviving spouse in

satisfaction of the elective share; and
(C) if contribution is necessary, specify the amount of contribution for

which each direct recipient is liable.
(e) Relief from Duty to Enforce Contribution. A petition to relieve the

personal representative from the duty to enforce contribution must state the
grounds on which it is based and notice must be served on interested persons.

COMMITTEE NOTES

The extensive rewrite of this rule in 2001 is intended to conform it with
and provide procedures to accommodate amendments to Floridas elective
share statutes. Sections 732.201 et seq., Florida Statues. Proceedings to
determine entitlement to elective share are not specific adversary proceedings
under rule 5.025(a), but may be declared adversary at the option of the party.
Proceedings to determine the amount of elective share and contribution are
specific adversary proceedings under rule 5.025(a). Requirements for service
are intended to be consistent with the requirements for formal notice. Rule
5.040. Service of process may be required to obtain personal jurisdiction over
direct recipients who are not otherwise interested persons and who have not
voluntarily submitted themselves to the jurisdiction of the court. Rule
5.040(a)(3)(C); chapter 48, Florida Statues, Process and Service of Process;
chapter 49, Florida Statues, Constructive Service of Process. An inventory of



the elective estate should be afforded the same confidentiality as other estate
inventories. Section 733.604(1) and (2), Florida Statues. In fulfilling his or
her obligations under this rule, a personal representative is not required to
make impractical or extended searches for property entering into the elective
estate and the identities of direct recipients. Pre-existing rights to dower and
curtesy formerly addressed in subdivision (e) of this rule are now governed
by new rule 5.365.

Counsels attention is directed to Florida Ethics Opinion 76-16, dated April
4, 1977, for guidance regarding the duties of an attorney with respect to
spousal rights.

Rule History
1984 Revision: Extensive changes. Clarifies information to be included in

a petition for elective share filed by a personal representative and specifies
information to be included in an order determining elective share. Committee
notes revised and expanded.

1988 Revision: Extensive changes. A new procedure has been added
providing for optional service of a notice of election together with a copy of
the election and a procedure to expose objections to and determine right to
entitlement, separate from the pre-existing procedure of determination of
amount and setting aside. Subdivisions (c) and (d) represent rule
implementation of procedure in statute. Committee notes revised and
expanded. Citation form changes in committee notes.

1992 Revision: Editorial change. Committee notes revised. Citation form
changes in committee notes.

2001 Revision: Entire rule rewritten. Committee notes revised.
2003 Revision: Committee notes revised.
2005 Revision: Subdivision (a) amended to require service in the manner

of formal notice of the notice of election. Subdivision (b)(3) amended to
provide time period for personal representative to service notice of election
on interested persons, and title revised. Subdivision (d)(2) amended to
provide time limit and service requirement for elective estate inventory and
petition for determination of amount of elective share. Committee notes
revised.



2010 Cycle Report Revision: Committee notes revised.
2010 Out-of-Cycle Report Revision: Subdivision (a)(2) amended to

conform to an amendment to section 732.2125, Florida Statutes.
2012 Revision: Committee notes revised.
2019 Revision: Subdivisions (a), (a)(2), (a)(2)(A), (a)(2)(D), (b)(1), (b)(2),

and (d)(3) amended to change attorney-in-fact to agent to be consistent
with chapter 709, Florida Statutes. Committee note revised.

Statutory References
 732.201, Fla. Stat. Right to elective share.
 732.2025, Fla. Stat. Definitions.
 732.2035, Fla. Stat. Property entering into elective estate.
 732.2045, Fla. Stat. Exclusions and overlapping application.
 732.2055, Fla. Stat. Valuation of the elective estate.
 732.2065, Fla. Stat. Amount of the elective share.
 732.2075, Fla. Stat. Sources from which elective share payable;

abatement.
 732.2085, Fla. Stat. Liability of direct recipients and beneficiaries.
 732.2095, Fla. Stat. Valuation of property used to satisfy elective share.
 732.2125, Fla. Stat. Right of election; by whom exercisable.
 732.2135, Fla. Stat. Time of election; extensions; withdrawal.
 732.2145, Fla. Stat. Order of contribution; personal representatives duty

to collect contribution.
 733.604, Fla. Stat. Inventories and accountings; public records

exemptions.
Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.



Fla. Prob. R. 5.340 Inventory.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. App. P. 9.020(h)[i] Definitions.



 Pt. II. ,  Rule 5.365. 
Fla. Prob. R. 5.365

RULE 5.365. PETITION FOR DOWER.
A widow may file an extraordinary petition for assignment of dower. The

petition shall be filed in the court of each county where the widows husband
had conveyed land in which the widow had not relinquished her right of
dower before October 1, 1973. Formal notice shall be served on persons
adversely affected. The proceedings shall be as similar as possible to those
formerly existing for the ordinary assignment of dower.

COMMITTEE NOTES

Rule History
2001 Revision: Derived from former rule 5.360(e).
Statutory Reference
 732.111, Fla. Stat. Dower and curtesy abolished.



 Pt. II. ,  Rule 5.370. 
Fla. Prob. R. 5.370

RULE 5.370. SALES OF REAL PROPERTY WHERE NO POWER
CONFERRED.

(a) Petition. When authorization or confirmation of the sale of real
property is required, the personal representative shall file a verified petition
setting forth the reasons for the sale, a description of the real property sold or
proposed to be sold, and the price and terms of the sale.

(b) Order. If the sale is authorized or confirmed, the order shall describe
the real property. An order authorizing a sale may provide for the public or
private sale of the real property described therein, in parcels or as a whole.
An order authorizing a private sale shall specify the price and terms of the
sale. An order authorizing a public sale shall specify the type of notice of sale
to be given by the personal representative.

COMMITTEE NOTES

Petitions under the rule are governed by section 733.610, Florida Statutes,
under which sales are voidable by interested persons if there was a conflict of
interest without full disclosure and consent, unless the will or contract
entered into by the decedent authorized the transaction or it was approved by
the court after notice to all interested persons, and by section 733.609, Florida
Statutes, involving bad faith actions by the personal representative. Note
provisions for attorneys fees.

Rule History
1984 Revision: Extensive changes. Notice of hearing on any petition

concerning sale of real property is required by statute unless waived. The
requirement to record a certified copy of the order approving sale of real
estate in each county where the real property or any part thereof is situated
has been deleted. Committee notes revised and expanded.

1988 Revision: Committee notes expanded. Citation form changes in
committee notes.

1992 Revision: Committee notes revised. Citation form changes in
committee notes.



1996 Revision: Editorial changes.
2012 Revision: Committee notes revised.
Statutory References
 733.609, Fla. Stat. Improper exercise of power; breach of fiduciary duty.
 733.610, Fla. Stat. Sale, encumbrance or transaction involving conflict of

interest.
 733.613(1), Fla. Stat. Personal representatives right to sell real property.
 733.810, Fla. Stat. Distribution in kind; valuation.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.380. 
Fla. Prob. R. 5.380

RULE 5.380. COMPULSORY PAYMENT OF DEVISES OR
DISTRIBUTIVE INTERESTS.

(a) Petition. A beneficiary may file a petition setting forth the facts that
entitle the beneficiary to compel payment of devises or distributive interests
stating that the property will not be required for the payment of debts, family
allowance, spouses elective share, estate and inheritance taxes, claims,
charges, and expenses of administration, or for providing funds for
contribution or enforcing equalization in case of advancements.

(b) Order. If the court finds that the property will not be required for the
purposes set forth in subdivision (a), it may enter an order describing the
property to be surrendered or delivered and compelling the personal
representative, prior to the final settlement of the personal representatives
accounts, to do one or more of the following:

(1) Pay all or any part of a devise in money.
(2) Deliver specific personal property within the personal

representatives custody and control.
(3) Pay all or any part of a distributive interest in the personal estate of a

decedent.
(4) Surrender real property.

(c) Bond. Before the entry of an order of partial distribution, the court may
require the person entitled to distribution to give a bond with sureties as
prescribed by law.

COMMITTEE NOTES

Rule History
1984 Revision: Extensive changes. Committee notes revised.
1988 Revision: Editorial change in caption of (a). Citation form change in

committee notes.
1992 Revision: Editorial changes. Committee notes revised. Citation form



changes in committee notes.
2003 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
Statutory References
 731.301, Fla. Stat. Notice.
 733.802, Fla. Stat. Proceedings for compulsory payment of devises or

distributive interest.
Rule References
Fla. Prob. R. 5.020 Pleadings verification: motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.385. 
Fla. Prob. R. 5.385

RULE 5.385. DETERMINATION OF BENEFICIARIES AND
SHARES.

(a) Beneficiaries and Shares. If a personal representative or other
interested person is in doubt or is unable to determine with certainty
beneficiaries entitled to an estate or the shares of any beneficiary of an estate,
or a beneficiary entitled to any asset or interest in an estate, the personal
representative or other interested person may petition the court to determine
beneficiaries.

(b) Petition. The petition shall include:
(1) the names, residences, and post office addresses of all persons who

may have an interest, except creditors of the decedent, known to the
petitioner or ascertainable by diligent search and inquiry;

(2) a statement of the nature of the interest of each person;
(3) designation of any person believed to be a minor or incapacitated,

and whether any person so designated is under legal guardianship in this
state;

(4) a statement as to whether petitioner believes that there are, or may
be, persons whose names are not known to petitioner who have claims
against, or interest in, the estate as beneficiaries.
(c) Order. After formal notice and hearing, the court shall enter an order

determining the beneficiaries or the shares and amounts they are entitled to
receive, or both.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure formerly found
in section 733.105, Florida Statutes. It is not intended to change the effect of
the statute from which it was derived but has been reformatted to conform
with the structure of these rules. It is not intended to create a new procedure
or modify an existing procedure.

Rule History



1988 Revision: New rule.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
2002 Revision: Subdivision (c) added to implement procedure formerly

found in section 733.105(2), Florida Statutes. Committee notes revised.
2003 Revision: Change in subdivision (c) to replace heirs or devisees

with beneficiaries to incorporate term used in section 733.105, Florida
Statutes. Committee notes revised.

2007 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
2014 Revision: Fla. R. Gen. Prac. & Jud. Admin. 2.425(b)(6) provides an

exception for the full name of any minor in any document or order affecting
minors ownership of real property. Committee notes revised.

Statutory References
ch. 49, Fla. Stat. Constructive service of process.
 731.201(2), (23), Fla. Stat. General definitions.
 731.301, Fla. Stat. Notice.
 733.105, Fla. Stat. Determination of beneficiaries.
Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.120 Administrator ad litem and guardian ad litem.
Fla. Prob. R. 5.205(a)(5) Filing evidence of death.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. II. ,  Rule 5.386. 
Fla. Prob. R. 5.386

RULE 5.386. ESCHEAT.
(a) Escheat proceeding. If it appears to the personal representative that an

estate may escheat or there is doubt about the existence of any person entitled
to the estate, the personal representative shall institute a proceeding to
determine beneficiaries within 1 year after letters have been issued to the
personal representative, and notice shall be served on the Department of
Legal Affairs. If the personal representative fails to institute the proceeding
within the time fixed, it may be instituted by the Department of Legal Affairs.

(b) Courts Report. On or before January 15 of each year, each court shall
furnish to the Department of Legal Affairs a list of all estates being
administered in which no person appears to be entitled to the property and the
personal representative has not instituted a proceeding for the determination
of beneficiaries.

(c) Administration. Except as herein provided, escheated estates shall be
administered as other estates.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure formerly found
in section 732.107, Florida Statutes. It is not intended to change the effect of
the statute from which it was derived but has been reformatted to conform
with the structure of these rules. It is not intended to create a new procedure
or modify an existing procedure.

Rule History
1988 Revision: New rule.
1992 Revision: Editorial change. Committee notes revised. Citation form

changes in committee notes.
2003 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
Statutory References



 732.107, Fla. Stat. Escheat.
 732.401, Fla. Stat. Descent of homestead.
 733.105, Fla. Stat. Determination of beneficiaries.
 733.816, Fla. Stat. Disposition of unclaimed property held by personal

representatives.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.385 Determination of beneficiaries and shares.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.395. 
Fla. Prob. R. 5.395

RULE 5.395. NOTICE OF FEDERAL ESTATE TAX RETURN.
When a federal estate tax return is filed, required to be filed, or will be

filed, the personal representative shall file a notice stating the due date of the
return. The notice shall be filed within 12 months from the date letters are
issued and copies of the notice shall be served on interested persons.
Whenever the due date is subsequently extended, similar notice shall be filed
and served.

COMMITTEE NOTES

The purpose of the rule is to require notification to the court and all
interested persons that the time for closing the estate is extended when a
federal estate tax return is required.

Rule History
1984 Revision: New rule.
1988 Revision: Citation form change in committee notes.
1992 Revision: Committee notes revised. Citation form changes in

committee notes.
2003 Revision: Committee notes revised.
2013 Revision: Clarifies the available option to file a federal tax return

even if one is not required by state or federal rule or law.
Rule Reference
Fla. Prob. R. 5.400 Distribution and discharge.



 Pt. II. ,  Rule 5.400. 
Fla. Prob. R. 5.400

RULE 5.400. DISTRIBUTION AND DISCHARGE.
(a) Petition for Discharge; Final Accounting. A personal representative

who has completed administration except for distribution shall file a final
accounting and a petition for discharge including a plan of distribution.

(b) Contents. The petition for discharge shall contain a statement:
(1) that the personal representative has fully administered the estate;
(2) that all claims which were presented have been paid, settled, or

otherwise disposed of;
(3) that the personal representative has paid or made provision for taxes

and expenses of administration;
(4) showing the amount of compensation paid or to be paid to the

personal representative, attorneys, accountants, appraisers, or other agents
employed by the personal representative and the manner of determining
that compensation;

(5) showing a plan of distribution which shall include:
(A) a schedule of all prior distributions;
(B) the property remaining in the hands of the personal representative

for distribution;
(C) a schedule describing the proposed distribution of the remaining

assets; and
(D) the amount of funds retained by the personal representative to pay

expenses that are incurred in the distribution of the remaining assets and
termination of the estate administration;
(6) that any objections to the accounting, the compensation paid or

proposed to be paid, or the proposed distribution of assets must be filed
within 30 days from the date of service of the last of the petition for
discharge or final accounting; and also that within 90 days after filing of
the objection, a notice of hearing thereon must be served or the objection is
abandoned; and



(7) that objections, if any, shall be in writing and shall state with
particularity the item or items to which the objection is directed and the
grounds on which the objection is based.
(c) Closing Estate; Extension. The final accounting and petition for

discharge shall be filed and served on interested persons within 12 months
after issuance of letters for an estate not filing a federal estate tax return,
otherwise within 12 months from the date the return is due, unless the time is
extended by the court for cause shown after notice to interested persons. The
petition to extend time shall state the status of the estate and the reason for
the extension.

(d) Distribution. The personal representative shall promptly distribute the
estate property in accordance with the plan of distribution, unless objections
are filed as provided in these rules.

(e) Discharge. On receipt of evidence that the estate has been fully
administered and properly distributed, the court shall enter an order
discharging the personal representative and releasing the surety on any bond.

COMMITTEE NOTES

The rule establishes a procedure for giving notice and serving the final
accounting, petition for discharge, and plan of distribution to all interested
persons prior to distribution and discharge. No distinction is made in plans of
distribution which distribute estate property in kind among multiple residual
beneficiaries proportionate to their respective interests and those which
include equalizing adjustments in cash or property and which do not make
prorated distribution. If disclosure of the compensation or disclosure of the
manner of determining the compensation, in the petition for discharge is to be
waived, the form of waiver must conform to rule 5.180(b).

Rule History
1980 Revision: Change in prior (a)(6) to require that an objection set forth

the basis on which it is being made.
1984 Revision: This rule has been substantially revised. Portions of the

prior rule are now incorporated in rules 5.400 and 5.401. The committee has
included the procedure for filing and serving of objections to the final
accounting, petition for discharge, plan of distribution, or compensation in



rule 5.401.
1988 Revision: Subdivision (b)(1) is deleted to avoid duplication with rule

5.346. Subdivision (c) is amended to add the 12-month time specification of
section 733.901(1), Florida Statutes. Committee notes revised. Citation form
changes in committee notes.

1992 Revision: Subdivision (b)(5)(D) is added. Editorial changes.
Committee notes revised. Citation form changes in committee notes.

1996 Revision: Addition in (a)(4) of specific attorney fee compensation
disclosure requirements found in 733.6171(9), Florida Statutes, and expanded
to cover all compensation. Committee notes revised.

2003 Revision: Committee notes revised.
2005 Revision: Subdivision (f) deleted to avoid duplication with rule

5.180.
2006 Revision: Committee notes revised.
2007 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
2013 Revision: Clarifies the available option to file a federal tax return

even if one is not required by state or federal rule or law.
Statutory References
 731.201(12), (23), Fla. Stat. General definitions.
 731.302, Fla. Stat. Waiver and consent by interested persons.
 733.809, Fla. Stat. Right of retainer.
 733.810, Fla. Stat. Distribution in kind; valuation,
 733.811, Fla. Stat. Distribution; right or title of distributee.
 733.812, Fla. Stat. Improper distribution or payment; liability of

distributee or payee.
 733.901, Fla. Stat. Final discharge.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.



Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.330 Execution by personal representative.
Fla. Prob. R. 5.346 Fiduciary accounting.
Fla. Prob. R. 5.401 Objections to petition for discharge or final accounting.
Fla. R. Gen. Prac. & Jud. Admin. 2.250(a)(1)(D) Time standards for trial

and appellate courts and reporting requirements.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.401. 
Fla. Prob. R. 5.401

RULE 5.401. OBJECTIONS TO PETITION FOR DISCHARGE OR
FINAL ACCOUNTING.

(a) Objections. An interested person may object to the petition for
discharge or final accounting within 30 days after the service of the later of
the petition or final accounting on that interested person.

(b) Contents. Written objections to the petition for discharge or final
accounting must state with particularity the items to which the objections are
directed and must state the grounds on which the objections are based.

(c) Service. Copies of the objections shall be served by the objector on the
personal representative and interested persons not later than 30 days after the
last date on which the petition for discharge or final accounting was served
on the objector.

(d) Hearing on Objections. Any interested person may set a hearing on
the objections. Notice of the hearing shall be given to all interested persons.
If a notice of hearing on the objections is not served within 90 days of filing
of the objections, the objections shall be deemed abandoned and the personal
representative may make distribution as set forth in the plan of distribution.

(e) Order on Objections. The court shall sustain or overrule any
objections to the petition for discharge and final accounting and shall
determine a plan of distribution.

(f) Discharge. On receipt of evidence that the estate has been distributed
according to the plan determined by the court and the claims of creditors have
been paid or otherwise disposed of, the court shall enter an order discharging
the personal representative and releasing the surety on any bond.

COMMITTEE NOTES

Rule History
1984 Revision: New rule. Objections to the petition for discharge or final

accounting were formerly under prior rule 5.400. Clarifies procedure for
objections.



1988 Revision: Editorial changes in (a). Committee notes revised. Citation
form changes in committee notes.

1992 Revision: Committee notes revised. Citation form changes in
committee notes.

1996 Revision: Subdivision (d) amended to clarify that 90-day period
pertains to service of hearing notice, not the actual hearing date.

2003 Revision: Committee notes revised.
2007 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
Statutory References
 731.201(12), (23), Fla. Stat. General definitions.
 733.6175, Fla. Stat. Proceedings for review of employment of agents and

compensation of personal representatives and employees of estate.
 733.901, Fla. Stat. Final discharge.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.400 Distribution and discharge.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.402. 
Fla. Prob. R. 5.402

RULE 5.402. NOTICE OF LIEN ON PROTECTED HOMESTEAD.
(a) Filing. If the personal representative has recorded a notice of lien on

protected homestead, the personal representative shall file a copy of the
recorded notice in the probate proceeding.

(b) Contents. The notice of lien shall contain:
(1) the name and address of the personal representative and the personal

representatives attorney;
(2) the legal description of the real property;
(3) to the extent known, the name and address of each person appearing

to have an interest in the property; and
(4) a statement that the personal representative has expended or is

obligated to expend funds to preserve, maintain, insure, or protect the
property and that the lien stands as security for recovery of those
expenditures and obligations incurred, including fees and costs.
(c) Service. A copy of the recorded notice of lien shall be served on

interested persons in the manner provided for service of formal notice.

COMMITTEE NOTES

Rule History
2005 Revision: New rule.
2012 Revision: Committee notes revised.
Statutory References
 733.608, Fla. Stat. General power of the personal representative.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.403 Proceedings to determine amount of lien on protected



homestead.
Fla. Prob. R. 5.404 Notice of taking possession of protected homestead.
Fla. Prob. R. 5.405 Proceedings to determine protected homestead status of

real property.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.403. 
Fla. Prob. R. 5.403

RULE 5.403. PROCEEDINGS TO DETERMINE AMOUNT OF LIEN
ON PROTECTED HOMESTEAD.

(a) Petition. A personal representative or interested person may file a
petition to determine the amount of any lien on protected homestead.

(b) Contents. The petition shall be verified by the petitioner and shall
state:

(1) the name and address of the personal representative and the personal
representatives attorney;

(2) the interest of the petitioner;
(3) the legal description of the real property;
(4) to the extent known, the name and address of each person appearing

to have an interest in the property; and
(5) to the extent known, the amounts paid or obligated to be paid by the

personal representative to preserve, maintain, insure, or protect the
protected homestead, including fees and costs.
(c) Service. The petition shall be served on interested persons by formal

notice.

COMMITTEE NOTES

Rule History
2005 Revision: New rule.
2012 Revision: Committee notes revised.
Statutory References
 733.608, Fla. Stat. General power of the personal representative.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.



Fla. Prob. R. 5.402 Notice of lien on protected homestead.
Fla. Prob. R. 5.404 Notice of taking possession of protected homestead.
Fla. Prob. R. 5.405 Proceedings to determine protected homestead status of

real property.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.404. 
Fla. Prob. R. 5.404

RULE 5.404. NOTICE OF TAKING POSSESSION OF PROTECTED
HOMESTEAD.

(a) Filing of Notice. If a personal representative takes possession of what
appears reasonably to be protected homestead pending a determination of its
homestead status, the personal representative shall file a notice of that act.

(b) Contents of Notice. The notice shall contain:
(1) a legal description of the property;
(2) a statement of the limited purpose for preserving, insuring, and

protecting it for the heirs or devisees pending a determination of the
homestead status;

(3) the name and address of the personal representative and the personal
representatives attorney;

(4) if the personal representative is in possession when the notice is
filed, the date the personal representative took possession.
(c) Service of Notice. The notice shall be served in the manner provided

for service of formal notice on interested persons and on any person in actual
possession of the property.

COMMITTEE NOTES

Rule History
2002 Revision: New rule.
2005 Revision: Term devisees substituted for beneficiaries in

subdivision (b)(2) to clarify the status of persons interested in protected
homestead. Committee notes revised.

2013 Revision: Deletes subdivision (b)(4) because the required
information is not appropriate for a Notice of Taking possession, nor does it
comply with the Americans with Disabilities Act requirements.

Statutory References



 732.401, Fla. Stat. Descent of homestead.
 732.4015, Fla. Stat. Devise of homestead.
 733.608(2), Fla. Stat. General power of the personal representative.
Rule References
Fla. Prob. R. 5.402 Notice of lien on protected homestead.
Fla. Prob. R. 5.403 Proceedings to determine amount of lien on protected

homestead.
Fla. Prob. R. 5.405 Proceedings to determine protected homestead status of

real property.



 Pt. II. ,  Rule 5.405. 
Fla. Prob. R. 5.405

RULE 5.405. PROCEEDINGS TO DETERMINE PROTECTED
HOMESTEAD REAL PROPERTY.

(a) Petition. An interested person may file a petition to determine the
protected homestead status of real property owned by the decedent or owned
by the trustee of a trust described in section 733.707(3), Florida Statutes, of
which the deceased settlor was treated as the owner of the real property
pursuant to section 732.4015, Florida Statutes.

(b) Contents. The petition shall be verified by the petitioner and shall
state:

(1) the date of the decedents death;
(2) the county of the decedents domicile at the time of death;
(3) the name of the decedents surviving spouse and the names of

surviving descendants, and a statement as to whether the decedent had any
minor children as of the date of death. If so, they should be identified with
name and year of birth;

(4) a legal description of the property owned by the decedent on which
the decedent resided; and

(5) how the real property was owned at the time of the decedents death;
and

(6) any other facts in support of the petition.
(c) Order. The courts order on the petition shall describe the real property

and determine whether any of the real property constituted the protected
homestead of the decedent. If the court determines that any of the real
property was the protected homestead of the decedent, the order shall identify
by name the person or persons entitled to the protected homestead real
property and define the interest of each.

COMMITTEE NOTES

This rule establishes the procedure by which the personal representative or
any interested person may petition the court for a determination that certain



real property constituted the decedents homestead property, in accordance
with article X, section 4 of the Florida Constitution. The jurisdiction of the
court to determine constitutional homestead property was established by In re
Nobles Estate, 73 So. 2d 873 (Fla. 1954).

Rule History
1984 Revision: New rule.
1988 Revision: Editorial change in (a). Subdivision (b)(4) amended to

conform to constitutional change. Committee notes revised. Citation form
change in committee notes.

1992 Revision: Editorial change. Committee notes revised. Citation form
changes in committee notes.

1996 Revision: Subdivision (c) amended to require description of real
property that is the subject of the petition, description of any homestead
property, and definition of specific interests of persons entitled to homestead
real property.

2002 Revision: Replaces homestead with protected homestead
throughout to conform to addition of term in section 731.201(29), Florida
Statutes. Committee notes revised.

2003 Revision: Committee notes revised.
2007 Revision: Committee notes revised.
2010 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
2014 Revision: Amends subdivisions (b)(3) and (c) to conform to Fla. R.

Gen. Prac. & Jud. Admin. 2.425. Committee notes revised.
2021 Revision: Amends subdivisions (a) and (b)(5) to include real property

owned by a trust. Committee notes revised.
Constitutional Reference
Art. X, 4, Fla. Const.
Statutory References
 731.104, Fla. Stat. Verification of documents.



 731.201 (33), Fla. Stat. General definitions.
 732.401, Fla. Stat. Descent of homestead.
 732.4015, Fla. Stat. Devise of homestead.
 733.607, Fla. Stat. Possession of estate.
 733.608, Fla. Stat. General power of the personal representative.
 733.707(3), Fla. Stat. Order of payment of expenses and obligations.
 736.0201(7), Fla. Stat. Role of court in trust proceedings.
 736.1109, Fla. Stat. Testamentary and revocable trusts; homestead

protections.
 736.151, Fla. Stat. Homestead property.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.205(a)(6) Filing evidence of death.
Fla. Prob. R. 5.340 Inventory.
Fla. Prob. R. 5.404 Notice of taking possession of protected homestead.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. II. ,  Rule 5.406. 
Fla. Prob. R. 5.406

RULE 5.406. PROCEEDINGS TO DETERMINE EXEMPT
PROPERTY.

(a) Petition. An interested person may file a petition to determine exempt
property within the time allowed by law.

(b) Contents. The petition shall be verified by the petitioner and shall:
(1) describe the property and the basis on which it is claimed as exempt

property; and
(2) state the name and address of the decedents surviving spouse or, if

none, the names and addresses of decedents children entitled by law to the
exempt property and the year of birth of those who are minors.
(c) Order. The court shall determine each item of exempt property and its

value, if necessary to determine its exempt status, and order the surrender of
that property to the persons entitled to it.

COMMITTEE NOTES

This rule establishes the procedure by which the personal representative or
any interested person may petition the court for determination of exempt
property in accordance with article X, section 4 of the Florida Constitution
and section 732.402, Florida Statutes.

Section 732.402, Florida Statutes, specifies the time within which the
petition to determine exempt property must be filed within 4 months after the
date of service of the notice of administration, unless extended as provided in
the statute.

Rule History
1984 Revision: New rule.
1988 Revision: Subdivision (a) revised to reflect editorial changes and to

require verification. Subdivision (b)(1) revised to require the basis for
asserting exempt property status. Subdivision (b)(2) added the requirement of
stating addresses of those entitled to exempt property. Subdivision (c) revised
to reflect editorial changes and to require determination of the value of each



item of exempt property. Committee notes revised.
1992 Revision: Committee notes revised. Citation form changes in

committee notes.
1996 Revision: Editorial changes in rule to conform to similar language in

rule 5.405. Committee notes revised.
2003 Revision: Committee notes revised.
2010 Revision: Subdivision (c) amended to limit the instances in which the

value of the property claimed as exempt needs to be stated in the order.
2012 Revision: Committee notes revised.
2014 Revision: Subdivision (b)(2) amended to conform to Fla. R. Gen.

Prac. & Jud. Admin. 2.425 and provide the year of birth of a minor.
Committee notes revised.

Statutory References
 731.104, Fla. Stat. Verification of documents.
 732.402, Fla. Stat. Exempt property.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.420 Disposition of personal property without

administration.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. II. ,  Rule 5.407. 
Fla. Prob. R. 5.407

RULE 5.407. PROCEEDINGS TO DETERMINE FAMILY
ALLOWANCE.

(a) Petition. An interested person may file a petition to determine family
allowance.

(b) Contents. The petition shall be verified by the petitioner and shall:
(1) state the names and addresses of the decedents surviving spouse and

the decedents adult lineal heirs and the initials, address, and year of birth
of the decedents lineal heirs who are minors and who were being
supported by the decedent or who were entitled to be supported by the
decedent at the time of the decedents death; and

(2) for each person for whom an allowance is sought, state the adult
persons name, or minor childs initials, and relationship to the decedent,
the basis on which the allowance is claimed, and the amount sought.
(c) Order. The order shall identify each adult persons name and each

minor childs initials entitled to the allowance, the amount to which each is
entitled, the method of payment, and to whom payment should be made.

COMMITTEE NOTES

Rule History
2003 Revision: New rule.
2012 Revision: Editorial change in (b)(1) for gender neutrality. Committee

notes revised.
2014 Revision: Subdivisions (b)(1) and (b)(2) are amended to conform to

Fla. R. Gen. Prac. & Jud. Admin. 2.425. Committee notes revised.
2019 Revision: Subdivision (c) is revised to conform to Fla. R. Gen. Prac.

& Jud. Admin. 2.425. Committee notes revised.
Statutory References
 731.104, Fla. Stat. Verification of documents.



 732.403, Fla. Stat. Family allowance.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. II. ,  Rule 5.420. 
Fla. Prob. R. 5.420

RULE 5.420. DISPOSITION OF PERSONAL PROPERTY WITHOUT
ADMINISTRATION.

(a) Application. An interested person may request a disposition of the
decedents personal property without administration. An application signed
by the applicant shall set forth:

(1) the description and value of the exempt property;
(2) the description and value of the other assets of the decedent;
(3) the amount of preferred funeral expenses and reasonable and

necessary medical and hospital expenses for the last 60 days of the last
illness together with accompanying statements or payment receipts; and

(4) each requested payment or distribution of personal property.
(b) Exempt Property. If the decedents personal property includes exempt

property, or property that can be determined to be exempt property, the
application must also be signed by all persons entitled to the exempt property
or by their representative.

(c) Preparation. On request, the clerk shall assist the applicant in the
preparation of the required writing.

(d) Disposition. If the court is satisfied that disposition without
administration is appropriate, the court may, without hearing, by letter or
other writing authorize the payment, transfer, or disposition of the decedents
personal property to those persons entitled to it.

COMMITTEE NOTES

Section 732.402, Florida Statutes, requires persons entitled to exempt
property, which excludes property specifically or demonstratively devised, to
file timely a petition to determine exempt property. Accordingly, disposition
of personal property under this rule should not be granted if decedents
personal property includes exempt property without all persons entitled
thereto agreeing to such disposition.

Rule History



1977 Revision: Permits the clerk to perform limited ministerial acts in the
completion of the application.

1984 Revision: Editorial changes. Delineates the required contents of the
application. Committee notes revised.

1988 Revision: Subparagraph (a)(3) changed to require applicant to attach
accompanying statements or payment receipts regarding priority expenses.
Subdivision (b) added to require persons entitled to exempt property to agree
to the proposed disposition. Committee notes expanded.

1992 Revision: Editorial change. Committee notes revised. Citation form
changes in committee notes.

2003 Revision: Committee notes revised.
Statutory References
 732.402, Fla. Stat. Exempt property.
 735.301, Fla. Stat. Disposition without administration.
Rule Reference
Fla. Prob. R. 5.205(a)(4) Filing evidence of death.



 Pt. II. ,  Rule 5.425. 
Fla. Prob. R. 5.425

RULE 5.425. DISPOSITION WITHOUT ADMINISTRATION OF
INTESTATE PERSONAL PROPERTY IN SMALL ESTATES.

(a) Administration Not Required. No administration shall be required or
formal proceedings instituted upon the estate of a decedent who:

(1) died intestate;
(2) leaves only:

(A) personal property exempt under the provisions of section 732.402,
Florida Statutes,

(B) personal property exempt from the claims of creditors under the
Florida Constitution, and

(C) non-exempt personal property the value of which does not exceed
the sum of $10,000 and the amount of preferred funeral expenses and
reasonable and necessary medical and hospital expenses of the last 60
days of the last illness;
(3) has been deceased for more than 1 year; and
(4) no administration of the decedents estate is pending in this state.

(b) Affidavit. Any heir at law of the decedent entitled to a share of the
intestate estate pursuant to section 732.102 or section 732.103, Florida
Statutes, may by affidavit request distribution of assets of the decedent by
affidavit. The affidavit must be signed and verified by the surviving spouse,
if any, and any heirs at law, except that joinder in the affidavit is not required
of an heir at law who will receive a full intestate share under the proposed
distribution of the personal property. The affidavit shall contain:

(1) a statement that the decedent died intestate, and that after the
exercise of reasonable diligence, the person signing the affidavit is
unaware of any unrevoked wills or codicils;

(2) a statement that the decedent has been deceased for more than 1
year;

(3) a statement that the decedent died leaving only personal property



exempt under the provisions of section 732.402, Florida Statutes, personal
property exempt from the claims of creditors under the Florida
Constitution, and non-exempt personal property the value of which does
not exceed the sum of $10,000;

(4) a description of all assets subject to distribution without
administration and their values;

(5) a statement setting forth the amount of preferred funeral expenses
and reasonable and necessary medical and hospital expenses of the last 60
days of the last illness;

(6) a statement that no administration of the decedents estate is pending
in this state;

(7) a statement of the relationship of each person signing the affidavit to
the decedent, and each persons name and address;

(8) the name and last known address of the decedent, last 4 digits of the
decedents social security number, date and place of death of the decedent,
and state and county of decedents domicile;

(9) so far as is known, the names and addresses of the surviving spouse,
if any, and the heirs of the decedent, and their relationship to the decedent
and the year of birth of any who are minors;

(10) a statement either:
(A) that all claims against the decedents estate are barred; or
(B) that a diligent search and reasonable inquiry for any known or

reasonably ascertainable creditors has been made and one of the
following:

(i) a statement that the estate is not indebted;
(ii) the name and address of each creditor, the nature of the debt,

the amount of the debt and whether the amount is estimated or exact,
and when the debt is due. If provision for payment has been made
other than for full payment in the proposed distribution schedule, the
following information must be shown:

(a) the name of the person who will pay the debt,



(b) the creditors written consent for substitution or assumption of the debt
by another person,

(c) the amount to be paid if the debt has been compromised, and
(d) the terms for payment and any limitations on the liability of the person

paying the debt; and
(11) a schedule of proposed distribution of all intestate personal

property.
(c) Service. The affidavit must be served in the manner of formal notice

upon
(1) all heirs at law who have not joined in the affidavit;
(2) all known or reasonably ascertainable creditors of the decedent; and
(3) if at the time of death the decedent was over the age of 55 years,

upon the Agency for Health Care Administration.
(d) Writing Under Seal of Court. If the court determines that section

735.304(1) is applicable and the affidavit filed by the heir at law meets the
requirements of section 735.304(2), the court, by letter or other writing under
the seal of the court, must authorize the payment, transfer, disposition,
delivery, or assignment of the tangible or intangible personal property to
those persons entitled.

COMMITTEE NOTES

Section 732.402, Florida Statutes, requires persons entitled to exempt
property, which excludes property specifically or demonstratively devised, to
file timely a petition to determine exempt property. Accordingly, disposition
of personal property under this rule should not be granted if decedents
personal property includes exempt property without all persons entitled
thereto agreeing to such disposition.

Rule History
2020 Adoption: New rule based upon Chapter 2020-110, Laws of Florida.
Statutory References
 735.304, Fla. Stat. Disposition without administration of intestate



property in small estates.



 Pt. II. ,  Rule 5.430. 
Fla. Prob. R. 5.430

RULE 5.430. RESIGNATION OF PERSONAL REPRESENTATIVE.
(a) Resignation. A personal representative may resign with court approval.
(b) Petition for Resignation. The personal representative seeking to

resign shall file a petition for resignation. The petition shall be verified and
shall state:

(1) the personal representative desires to resign and be relieved of all
powers, duties, and obligations as personal representative;

(2) the status of the estate administration and that the interests of the
estate will not be jeopardized if the resignation is accepted;

(3) whether a proceeding for accounting, surcharge, or indemnification
or other proceeding against the resigning personal representative is
pending; and

(4) whether the appointment of a successor fiduciary is necessary. If the
petition nominates a successor fiduciary, it shall state the nominees
priority under the Florida Probate Code, if any, and that the nominee is
qualified to serve under the laws of Florida.
(c) Service. The petition shall be served by formal notice on all interested

persons and the personal representatives surety, if any.
(d) Appointment of Successor. Before accepting the resignation, the court

shall determine the necessity for appointment of a successor fiduciary. If
there is no joint personal representative serving, the court shall appoint a
successor fiduciary.

(e) Acceptance of Resignation. The court may accept the resignation and
revoke the letters of the resigning personal representative if the interests of
the estate are not jeopardized. Acceptance of the resignation shall not
exonerate the resigning personal representative or the resigning personal
representatives surety from liability.

(f) Delivery of Records and Property. The resigning personal
representative shall immediately upon acceptance of the resignation by the
court deliver to the remaining personal representative or the successor



fiduciary all of the records of the estate and all property of the estate, unless
otherwise directed by the court.

(g) Petition for Discharge; Accounting. The resigning personal
representative shall file an accounting and a petition for discharge within 30
days after the date that the letters of the resigning personal representative are
revoked by the court. The petition for discharge shall be verified and shall
state:

(1) that the letters of the resigning personal representative have been
revoked;

(2) that the resigning personal representative has surrendered all
undistributed estate assets, records, documents, papers, and other property
of or concerning the estate to the remaining personal representative or the
successor fiduciary; and

(3) the amount of compensation paid or to be paid the resigning personal
representative and the attorney and other persons employed by the
resigning personal representative.
(h) Notice, Filing, and Objections to Accounting. Notice of, filing of,

and objections to the accounting of the resigning personal representative shall
be as provided in rule 5.345.

(i) Notice of Filing and Objections to Petition for Discharge.
(1) Notice of filing and a copy of the petition for discharge shall be

served on all interested persons. The notice shall state that objections to the
petition for discharge must be filed within 30 days after the later of service
of the petition or service of the accounting on that interested person.

(2) Any interested person may file an objection to the petition for
discharge within 30 days after the later of service of the petition or service
of the accounting on that interested person. Any objection not filed within
such time shall be deemed abandoned. An objection shall be in writing and
shall state with particularity the item or items to which the objection is
directed and the grounds on which the objection is based.

(3) The objecting party shall serve a copy of the objection on the
resigning personal representative and other interested persons.

(4) Any interested person may set a hearing on the objections. Notice of



the hearing shall be given to the resigning personal representative and
other interested persons.
(j) Failure to File Accounting or Deliver Records or Property. The

resigning personal representative shall be subject to contempt proceedings if
the resigning personal representative fails to file an accounting or fails to
deliver all property of the estate and all estate records under the control of the
resigning personal representative to the remaining personal representative or
the successor fiduciary within the time prescribed by this rule or by court
order.

(k) Discharge. The court shall enter an order discharging the resigning
personal representative and releasing the surety on any bond after the court is
satisfied that the resigning personal representative has delivered all records
and property of the estate to the remaining personal representative or the
successor fiduciary; that all objections, if any, to the accounting of the
resigning personal representative have been withdrawn, abandoned, or
judicially resolved; and that the liability of the resigning personal
representative has been determined and satisfied.

COMMITTEE NOTES

In the event of resignation of a personal representative, if a joint personal
representative is not serving, the successor fiduciary must file an oath and
designation of a successor resident agent.

This rule was revised to implement the revisions to the probate code that
govern resignation of personal representative. The committee intended to
separate the procedure with respect to resignation from removal because
these proceedings may differ in practice.

Rule History
1975 Revision: The rule provides for the orderly succession of personal

representatives in the event a personal representative resigns or is removed.
1977 Revision: Editorial change in committee note.
1988 Revision: Editorial changes; captions added to subdivisions.

Committee notes revised. Citation form changes in committee notes.
1992 Revision: Editorial changes. Committee notes revised. Citation form



changes in committee notes.
2003 Revision: Rule completely revised to comply with statutory changes.

Committee notes revised.
2007 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
Statutory References
 731.104, Fla. Stat. Verification of documents.
 731.201(23), Fla. Stat. General definitions.
 733.101, Fla. Stat. Venue of probate proceedings.
 733.502, Fla. Stat. Resignation of personal representative.
 733.503, Fla. Stat. Appointment of successor upon resignation.
 733.5035, Fla. Stat. Surrender of assets after resignation.
 733.5036, Fla. Stat. Accounting and discharge following resignation.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.180 Waiver and consent.
Fla.Prob.R. 5.310 Disqualification of personal representative; notification.
Fla. Prob. R. 5.330 Execution by personal representative.
Fla. Prob. R. 5.345 Accountings other than personal representatives final

accountings.
Fla. Prob. R. 5.346 Fiduciary accounting.
Fla. Prob. R. 5.401 Objections to petition for discharge or final accounting.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.440. 
Fla. Prob. R. 5.440

RULE 5.440. PROCEEDINGS FOR REMOVAL OF PERSONAL
REPRESENTATIVE.

(a) Commencement of Proceeding. The court on its own motion may
remove, or any interested person by petition may commence a proceeding to
remove, a personal representative. A petition for removal shall state the facts
constituting the grounds upon which removal is sought, and shall be filed in
the court having jurisdiction over the administration of the estate.

(b) Accounting. A removed personal representative shall file an
accounting within 30 days after removal.

(c) Delivery of Records and Property. A removed personal representative
shall, immediately after removal or within such time prescribed by court
order, deliver to the remaining personal representative or to the successor
fiduciary all of the records of the estate and all of the property of the estate.

(d) Failure to File Accounting or Deliver Records and Property. If a
removed personal representative fails to file an accounting or fails to deliver
all property of the estate and all estate records under the control of the
removed personal representative to the remaining personal representative or
to the successor fiduciary within the time prescribed by this rule or by court
order, the removed personal representative shall be subject to contempt
proceedings.

COMMITTEE NOTES

The revision of subdivision (a) of this rule by the addition of its final
phrase represents a rule implementation of the procedure found in section
733.505, Florida Statutes. It is not intended to change the effect of the statute
from which it was derived but has been reformatted to conform with the
structure of these rules. It is not intended to create a new procedure or modify
an existing procedure.

Rule History
1980 Revision: Subdivision (a) amended to require formal notice to

interested persons and to delete requirement that court give directions as to



mode of notice. Surety authorized to petition for removal.
1984 Revision: Editorial changes. Provisions in prior rule for contempt

have been deleted since the court has the inherent power to punish for
contempt. Committee notes revised.

1988 Revision: Last phrase of (a) added to implement the procedure found
in section 733.505, Florida Statutes. Subdivision (b) amended to parallel
interim accounting rules. Deletes ability to extend time to file and adds
reference to court power to punish for contempt. Committee notes expanded.
Editorial changes. Citation form changes in committee notes.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

2002 Revision: Entire rule amended. Contents of accountings by removed
fiduciaries are now governed by rule 5.346. Editorial changes in (a), (c), and
(d). Committee notes revised.

2003 Revision: Committee notes revised.
2007 Revision: Committee notes revised.
2010 Revision: Editorial change in title to clarify scope of rule.
2012 Revision: Committee notes revised.
Statutory References
 731.201(23), Fla. Stat. General definitions.
 733.504, Fla. Stat. Removal of personal representative; causes of

removal.
 733.505, Fla. Stat. Jurisdiction in removal proceedings.
 733.506, Fla. Stat. Proceedings for removal.
 733.5061, Fla. Stat. Appointment of successor upon removal.
 733.508, Fla. Stat. Accounting and discharge of removed personal

representative upon removal.
 733.509, Fla. Stat. Surrender of assets upon removal.
Rule References



Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.150 Order requiring accounting.
Fla.Prob.R. 5.310 Disqualification of personal representative; notification.
Fla. Prob. R. 5.345 Accounting other than personal representatives final

accountings.
Fla. Prob. R. 5.346 Fiduciary accounting.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.460. 
Fla. Prob. R. 5.460

RULE 5.460. SUBSEQUENT ADMINISTRATION.
(a) Petition. If, after an estate is closed, additional property of the decedent

is discovered or if further administration of the estate is required for any other
reason, any interested person may file a petition for further administration of
the estate. The petition shall be filed in the same probate file as the original
administration.

(b) Contents. The petition shall state:
(1) the name, address, and interest of the petitioner in the estate;
(2) the reason for further administration of the estate;
(3) the description, approximate value, and location of any asset not

included among the assets of the prior administration; and
(4) a statement of the relief sought.

(c) Order. The court shall enter such orders as appropriate. Unless
required, the court need not revoke the order of discharge, reissue letters, or
require bond.

COMMITTEE NOTES

This rule establishes a procedure for further administration after estate is
closed, which maybe summary in nature.

Rule History
1984 Revision: Extensive changes. Committee notes revised.
1992 Revision; Citation form change in committee notes.
2003 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
Statutory Reference
 733.903, Fla. Stat. Subsequent administration.
Rule References



Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.470. 
Fla. Prob. R. 5.470

RULE 5.470. ANCILLARY ADMINISTRATION.
(a) Petition. The contents of the petition for ancillary letters shall be as

provided in rule 5.200. The petition shall be verified and shall include:
(1) for a testate estate, an authenticated copy of so much of the

domiciliary proceedings as will show the will, petition for probate, order
admitting the will to probate, and authority of the personal representative;

(2) for an intestate estate, an authenticated copy of so much of the
domiciliary proceedings as will show the petition for administration, and
authority of the personal representative to act; or

(3) if appointment of someone other than the domiciliary personal
representative is requested, a statement of the facts constituting grounds on
which appointment is sought.
(b) Notice. Before ancillary letters shall be issued to any person, formal

notice shall be given to:
(1) all known persons qualified to act as ancillary personal

representative and whose entitlement to preference of appointment is equal
to or greater than petitioners and who have not waived notice or joined in
the petition; and

(2) all domiciliary personal representatives who have not waived notice
or joined in the petition.
(c) Probate of Will. On filing the authenticated copy of a will, the court

shall determine whether the will complies with Florida law to entitle it to
probate. If it does comply, the court shall admit the will to probate.

COMMITTEE NOTES

Rule History
1975 Revision: The rule sets out the procedural requirements for issuance

of ancillary letters.
1984 Revision: Editorial changes with addition of notice requirement in



(b). Committee notes revised.
1988 Revision: Committee notes revised.
1992 Revision: Changed rule to require that notice be given to persons

qualified to act as ancillary personal representative whose entitlement to
preference of appointment is equal to or greater than petitioners and to all
domiciliary personal representatives prior to entry of an order admitting the
will to probate. Committee notes revised. Citation form changes in committee
notes.

1996 Revision: The requirement that a filing of an authenticated copy of a
will be a probated will is removed from subdivision (c). There may be
circumstances in which a will is on deposit or file in a foreign jurisdiction but
is not being offered for probate. That should not preclude an ancillary
administration in Florida of that estate. This change is not intended to allow
an authenticated copy of any document other than an original instrument to
be filed under this rule and considered for probate.

2003 Revision: Committee notes revised.
2005 Revision: Committee notes revised.
2010 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
2019 Revision: Subdivision (a) amended to clarify the contents of a

petition for ancillary letters. Committee notes revised.
Statutory References
 731.201(1), Fla Stat. General definitions.
 733.212, Fla. Stat. Notice of administration; filing of objections.
 733.2121, Fla. Stat. Notice to creditors; filing of claims.
 734.102, Fla. Stat. Ancillary administration.
 734.1025, Fla. Stat. Nonresident decedents testate estate with property

not exceeding $50,000 in this state; determination of claims.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.



Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.065(b) Notice of civil action or ancillary administration.
Fla. Prob. R. 5.200 Petition for Administration.
Fla. Prob. R. 5.205(a)(2) Filing evidence of death.
Fla. Prob. R. 5.215 Authenticated copy of will.
Fla. Prob. R. 5.240 Notice of administration.
Fla. Prob. R. 5.241 Notice to creditors.
Fla. Prob. R. 5.475 Ancillary administration, short form.
Fed. R. Civ. P. 44(a) Proving an official record.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.475. 
Fla. Prob. R. 5.475

RULE 5.475. ANCILLARY ADMINISTRATION, SHORT FORM.
(a) Filing Requirements. The foreign personal representative of a testate

estate that meets the requirements of section 734.1025, Florida Statutes, may
file with the clerk in the county where any property is located an
authenticated copy of so much of the transcript of the foreign proceedings as
will show:

(1) the probated will and all probated codicils of the decedent;
(2) the order admitting them to probate;
(3) the letters or their equivalent; and
(4) the part of the record showing the names of the beneficiaries of the

estate or an affidavit of the foreign personal representative reciting that the
names are not shown or not fully disclosed by the foreign record and
specifying the names.
On presentation of the foregoing, the court shall admit the will and any

codicils to probate if they comply with section 732.502(1) or section
732.502(2), Florida Statutes.

(b) Notice to Creditors. After complying with the foregoing requirements,
the foreign personal representative may cause a notice to creditors to be
published as required by these rules.

(c) Claims Procedure. The procedure for filing or barring claims and
objecting to them and for suing on them shall be the same as for other estates,
except as provided in this rule.

(d) Order. If no claims are filed against the estate within the time allowed,
the court shall enter an order adjudging that notice to creditors has been duly
published and proof thereof filed and that no claims have been filed against
the estate or that all claims have been satisfied.

(e) Notification of Claims Filed. If any claim is filed against the estate
within the time allowed, the clerk shall send to the foreign personal
representative a copy of the claim and a notice setting a date for a hearing to
appoint an ancillary personal representative. At the hearing, the court shall



appoint an ancillary personal representative according to the preferences as
provided by law.

(f) Objections to Claims. If an ancillary personal representative is
appointed pursuant to this rule, the procedure for filing, objecting to, and
suing on claims shall be the same as for other estates, except that the ancillary
personal representative appointed shall have not less than 30 days from the
date of appointment within which to object to any claim filed.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure found in
section 734.1025, Florida Statutes. It is not intended to change the effect of
the statute from which it was derived but has been reformatted to conform
with the structure of these rules. It is not intended to create a new procedure
or modify an existing procedure.

Rule History
1988 Revision: New rule.
1992 Revision: Editorial changes. Committee notes revised. Citation form

changes in committee notes.
2003 Revision: Committee notes revised.
2005 Revision: Deletion of reference to intestate estates in subdivision (a)

to conform to 2001 amendments to section 734.1025, Florida Statutes.
Editorial changes throughout.

2012 Revision: Committee notes revised.
Statutory References
 733.2121, Fla. Stat. Notice to creditors; filing of claims.
 734.102, Fla. Stat. Ancillary administration.
 734.1025, Fla. Stat. Nonresident decedents testate estate with property

not exceeding $50,000 in this state; determination of claims.
Rule References
Fla. Prob. R. 5.020 Pleadings verification; motions.



Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.065(b) Notice of civil action or ancillary administration.
Fla. Prob. R. 5.205(a)(2) Filing evidence of death.
Fla. Prob. R. 5.215 Authenticated copy of will.
Fla. Prob. R. 5.240 Notice of administration.
Fla. Prob. R. 5.470 Ancillary administration.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.490. 
Fla. Prob. R. 5.490

RULE 5.490. FORM AND MANNER OF PRESENTING CLAIM.
(a) Form. A creditors statement of claim shall be verified and filed with

the clerk and shall state:
(1) the basis for the claim;
(2) the amount claimed;
(3) the name and address of the creditor;
(4) the security for the claim, if any; and
(5) whether the claim is currently due or involves an uncertainty and, if

not due, then the due date and, if contingent or unliquidated, the nature of
the uncertainty.
(b) Service. The clerk shall serve a copy of the claim as set forth in rule

5.041, to the attorney for the personal representative unless all personal
representatives file a notice directing that claims be served on a designated
personal representative or designated attorney of record. Absent designation,
a copy of claim shall be served on the attorney for the personal representative
named first in the letters of administration. The clerk shall note the fact and
date of service on the statement of claim pursuant to this rule.

(c) Validity of Claim. Failure to deliver or receive a copy of the claim
shall not affect the validity of the claim.

(d) Amending Claims. If a claim as filed is sufficient to notify interested
persons of its substance but is otherwise defective as to form, the court may
permit the claim to be amended at any time.

(e) Service by Personal Representative. If the personal representative
files a claim individually, or in any other capacity creating a conflict of
interest between the personal representative and any interested person, then at
the time the claim is filed, the personal representative shall serve all
interested persons with a copy of the claim and notice of the right to object to
the claim. The notice shall state that an interested person may object to a
claim as provided by law and rule 5.496. Service shall be either by informal
notice or in the manner provided for service of formal notice. Service on one



interested person by a chosen method shall not preclude service on another
interested person by another method.

COMMITTEE NOTES

Subdivision (d) of this rule represents a rule implementation of the
procedure found in section 733.704, Florida Statutes. It is not intended to
change the effect of the statute from which it was derived but has been
reformatted to conform with the structure of these rules. It is not intended to
create a new procedure or modify an existing procedure.

Rule History
1975 Revision: Sets forth the claims procedure to be followed and clarifies

the matter of delivery of copies where there are multiple personal
representatives or where the attorney of record desires to accept such
delivery.

1984 Revision: Extensive editorial changes and requires furnishing of copy
of claim to the attorney for the personal representative. Committee notes
revised.

1988 Revision: Clarifies the matter of delivery of copies and directs the
clerk to mail the same to the attorney for the personal representative unless
designations are filed by all personal representatives to the contrary.
Subdivision (e) added to implement the procedure found in section 733.704,
Florida Statutes. Editorial changes. Committee notes expanded. Citation form
change in committee notes.

1992 Revision: Committee notes revised. Citation form changes in
committee notes.

1999 Revision: Reference to repealed rule deleted from committee notes.
2003 Revision: Committee notes revised.
2007 Revision: Editorial change in (a). New (f) added, providing

procedure for notice when personal representative files a claim individually
or otherwise has a conflict of interest with any interested person regarding a
claim.

2019 Revisions. Deletes subdivision (b) to conform to the electronic filing



rule. Subdivision (c) is renumbered to (b) and is amended to address the
electronic service rules. Subdivisions (c)-(e) are renumbered accordingly.
Committee notes revised.

Statutory References
 731.104, Fla. Stat. Verification of documents.
 733.2121, Fla. Stat. Notice to creditors; filing of claims.
 733.702, Fla. Stat. Limitations on presentation of claims.
 733.703, Fla. Stat. Form and Manner of presenting claim.
 733.704, Fla. Stat. Amendment of claims.
 733.708, Fla. Stat. Compromise.
 733.710, Fla. Stat. Limitations on claims against estates.
 733.102, Fla. Stat. Ancillary administration.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.241 Notice to creditors.
Fla. Prob. R. 5.470 Ancillary administration.
Fla. Prob. R. 5.475 Ancillary administration, short form.
Fla. Prob. R. 5.530 Summary administration.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of Pleadings and

Documents
Fla. R. Gen. Prac. & Jud. Admin. 2.520 Documents
Fla. R. Gen. Prac. & Jud. Admin. 2.525 Electronic Filing



 Pt. II. ,  Rule 5.496. 
Fla. Prob. R. 5.496

RULE 5.496. FORM AND MANNER OF OBJECTING TO CLAIM.
(a) Filing. An objection to a claim, other than a personal representatives

proof of claim, shall be in writing and filed on or before the expiration of 4
months from the first publication of notice to creditors or within 30 days from
the timely filing or amendment of the claim, whichever occurs later.

(b) Service. A personal representative or other interested person who files
an objection to the claim shall serve a copy of the objection on the claimant.
If the objection is filed by an interested person other than the personal
representative, a copy of the objection shall also be served on the personal
representative. Any objection shall include a certificate of service.

(c) Notice to Claimant. An objection shall contain a statement that the
claimant is limited to a period of 30 days from the date of service of an
objection within which to bring an action as provided by law.

COMMITTEE NOTES

This rule represents an implementation of the procedure found in section
733.705, Florida Statutes, and adds a requirement to furnish notice of the
time limitation in which an independent action or declaratory action must be
filed after objection to a claim.

Rule History
1992 Revision: New rule.
2003 Revision: Reference in (a) to notice of administration changed to

notice to creditors. Committee notes revised.
2005 Revision: Removed provision for objections to personal

representatives proof of claim, now addressed in rule 5.498, and subsequent
subdivisions relettered. Reference to service on the claimants attorney
removed because service on the attorney is required by rule 5.041(b).
Committee notes revised.

2007 Revision: Editorial change in (a). Second sentence of (b) added to
specify that the objection must include a certificate of service.



2010 Revision: Subdivision (b) amended to delete the requirement to serve
a copy of an objection to a claim within 10 days, and to clarify the
requirement to include a certificate of service.

2012 Revision: Committee notes revised.
Statutory Reference
 731.201(4), Fla. Stat. General definitions.
 733.705, Fla. Stat. Payment of and objection to claims.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.498 Personal representatives proof of claim.
Fla. Prob. R. 5.499 Form and manner of objecting to personal

representatives proof of claim.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.498. 
Fla. Prob. R. 5.498

RULE 5.498. PERSONAL REPRESENTATIVES PROOF OF CLAIM.
(a) Contents. A personal representatives proof of claim shall state:

(1) the basis for each claim;
(2) the amount claimed;
(3) the name and address of the claimant;
(4) the security for the claim, if any;
(5) whether the claim is matured, unmatured, contingent, or

unliquidated;
(6) whether the claim has been paid or is to be paid; and
(7) that any objection to a claim listed as to be paid shall be filed no later

than 4 months from first publication of the notice to creditors or 30 days
from the date of the filing of the proof of claim, whichever occurs later.
(b) Service. The proof of claim shall be served at the time of filing or

promptly thereafter on all interested persons.

COMMITTEE NOTES

This rule represents an implementation of the procedure found in section
733.703(2), Florida Statutes, with respect to a proof of claim filed by the
personal representative.

Rule History
2005 Revision: New rule.
2007 Revision: Subdivision (b) amended to eliminate the need to serve

claimants listed as paid on the proof of claim, and clarifying editorial change.
2012 Revision: Committee notes revised.
Statutory References
 733.703(2), Fla. Stat. Form and manner of presenting claim.
 733.705, Fla. Stat. Payment of and objection to claims.



Rule References
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.499 Form and manner of objecting to personal

representatives proof of claim.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.499. 
Fla. Prob. R. 5.499

RULE 5.499. FORM AND MANNER OF OBJECTING TO PERSONAL
REPRESENTATIVES PROOF OF CLAIM.

(a) Filing. An objection to a personal representatives proof of claim shall
be in writing and filed on or before the expiration of 4 months from the first
publication of notice to creditors or within 30 days from the timely filing of
the proof of claim, whichever occurs later.

(b) Contents. The objection shall identify the particular item or items to
which objection is made. An objection to an item listed on the proof of claim
as to be paid shall also contain a statement that the claimant is limited to a
period of 30 days from the date of service of an objection within which to
bring an independent action as provided by law.

(c) Items Listed as Paid. If an objection is filed to an item listed on the
proof of claim as paid, it shall not be necessary for the claimant to file an
independent action as to that item. Liability as between estate and the
personal representative individually for claims listed on the proof of claim as
paid, or for claims treated as if they were listed on the proof of claim as paid,
shall be determined in the estate administration, in a proceeding for
accounting or surcharge, or in another appropriate proceeding, whether or not
an objection has been filed.

(d) Items Paid Before Objection. If an item listed as to be paid is paid by
the personal representative prior to the filing of an objection as to that item,
the item shall be treated as if it were listed on the proof of claim as paid.

(e) Service. The objector shall serve a copy of the objection on the
personal representative and, in the case of any objection to an item listed as to
be paid, shall also serve a copy on that claimant within 10 days after the
filing of the objection. In the case of an objection to an item listed as to be
paid, the objection shall include a certificate of service.

COMMITTEE NOTES

This rule represents an implementation of the procedure found in section
733.705, Florida Statutes, with respect to a proof of claim filed by the



personal representative. The rule recognizes the different treatment between
items listed on a proof of claim as having been paid versus items listed as to
be paid. An objection to an item listed as to be paid is treated in the same
manner as a creditors claim and there is a requirement to furnish notice of
the time limitation in which an independent action or declaratory action must
be filed after objection to a claim.

Rule History
2005 Revision: New rule.
2007 Revision: Editorial change in (a). Extensive revisions to rest of rule

to clarify the differences in procedure between items listed as paid and items
listed as to be paid. Committee notes revised.

2012 Revision: Committee notes revised.
Statutory Reference
 733.705, Fla. Stat. Payment of and objection to claims.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.496 Form and manner of objecting to claim.
Fla. Prob. R. 5.498 Personal representatives proof of claim.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.510. 
Fla. Prob. R. 5.510

RULE 5.510. ESTABLISHMENT AND PROBATE OF LOST OR
DESTROYED WILL.

(a) Proceeding. The establishment and probate of a lost or destroyed will
shall be in one proceeding.

(b) Petition. The petition, in addition to reciting information required
under these rules for petition for administration, shall include a statement of
the facts constituting grounds on which relief is sought, and a statement of
the contents of the will or, if available, a copy of the will.

(c) Testimony. The testimony of each witness in the proceeding shall be
reduced to writing and filed and may be used as evidence in any contest of
the will if the witness has died or moved from the state.

(d) Notice. No lost or destroyed will shall be admitted to probate unless
formal notice has been given to those who, but for the will, would be entitled
to the property thereby devised.

(e) Order. The order admitting the will to probate shall state in full its
terms and provisions.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure formerly found
in section 733.207, Florida Statutes. It is not intended to change the effect of
the statute from which it was derived but has been reformatted to conform
with the structure of these rules. It is not intended to create a new procedure
or modify and existing procedure.

Rule History
1977 Revision: Editorial change in subdivision (c) of prior rule.
1984 Revision: Extensive changes. Committee notes revised.
1988 Revision: Rule rewritten to conform to statute. Committee notes

expanded. Citation form change in committee notes.
1992 Revision: Committee notes revised. Citation form changes in



committee notes.
2002 Revision: Subdivision (d) added to implement procedure formerly

found in section 733.207(3), Florida Statutes. Committee notes revised.
2003 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
Statutory Reference
 733.207, Fla. Stat. Establishment and probate of lost or destroyed will.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Notice of pleadings and documents.
Fla. Prob. R. 5.042 Time.
Fla. Prob. R. 5.200 Petition for administration.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. II. ,  Rule 5.530. 
Fla. Prob. R. 5.530

RULE 5.530. SUMMARY ADMINISTRATION.
(a) Petition. The petition must be verified as required by law and must

contain:
(1) a statement of the interest of each petitioner, each petitioners name

and address, and the name and office address of each petitioners attorney;
(2) the name and last known address of the decedent, last 4 digits of the

decedents social security number, date and place of death of the decedent,
and state and county of the decedents domicile;

(3) so far as is known, the names and addresses of the surviving spouse,
if any, and the beneficiaries and their relationship to the decedent and the
year of birth of any who are minors;

(4) a statement showing venue;
(5) a statement whether domiciliary or principal proceedings are pending

in another state or country, if known, and the name and address of the
foreign personal representative and the court issuing letters;

(6) a statement that the decedents will, if any, does not direct
administration as required by chapter 733, Florida Statutes;

(7) a statement that the value of the entire estate subject to
administration in this state, less the value of property exempt from the
claims of creditors, does not exceed $75,000 or that the decedent has been
dead for more than 2 years;

(8) a description of all assets in the estate and the estimated value of
each, and a separate description of any protected homestead and exempt
property;

(9) a statement either:
(A) that all creditors claims are barred or
(B) that a diligent search and reasonable inquiry for any known or

reasonably ascertainable creditors has been made and one of the
following:



(i) A statement that the estate is not indebted.
(ii) The name and address of each creditor, the nature of the debt,

the amount of the debt and whether the amount is estimated or exact,
and when the debt is due. If provision for payment of the debt has
been made other than for full payment in the proposed order of
distribution, the following information must be shown:

(a) The name of the person who will pay the debt.
(b) The creditors written consent for substitution or assumption of the debt

by another person.
(c) The amount to be paid if the debt has been compromised.
(d) The terms for payment and any limitations on the liability of the person

paying the debt.
(10) in an intestate estate, a statement that after the exercise of

reasonable diligence each petitioner is unaware of any unrevoked wills or
codicils;

(11) in a testate estate, a statement identifying all unrevoked wills and
codicils being presented for probate, and a statement that each petitioner is
unaware of any other unrevoked will or codicil; and

(12) a schedule of proposed distribution of all probate assets and the
person to whom each asset is to be distributed.
(b) Service. The joinder in, or consent to, a petition for summary

administration is not required of a beneficiary who will receive full
distributive share under the proposed distribution. Any beneficiary and any
known or reasonably ascertainable creditor not joining or consenting must
receive formal notice of the petition.

(c) Testate Estate. In a testate estate, on the filing of the petition for
summary administration, the decedents will must be proved and admitted to
probate.

(d) Order. If the court determines that the decedents estate qualifies for
summary administration, it must enter an order distributing the probate assets
and specifically designating the person to whom each asset is to be
distributed.



COMMITTEE NOTES

Verification and service of a petition for summary administration are
governed by rules 5.020, 5.040, and 5.041. Section 735.206(2), Florida
Statutes, relating to diligent search for, and service of the petition for
summary administration on, reasonably ascertainable creditors is substantive.
Nothing in this rule is intended to change the effect of the statutory
amendments.

Rule History
1977 Revision: Changes to conform to 1975 statutory revision. Established

the requirements of a petition for summary administration and provided for
the hearing thereon and the entry of the order of distribution of the assets.

1984 Revision: Extensive revisions and editorial changes. Committee notes
revised.

1988 Revision: Editorial change in caption of (a). Committee notes
revised.

1992 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

2002 Revision: Replaces homestead with protected homestead in (a)
(2) to conform to addition of term in section 731.201(29), Florida Statutes.
Committee notes revised.

2003 Revision: Committee notes revised.
2005 Revision: Subdivision (a)(3) amended to include requirements of

section 735.206(2), Florida Statutes.
2007 Revision: Rule substantially rewritten to require petition to include

essentially the same information required to be stated in a petition for
administration and to require the petitioners to specify facts showing they are
entitled to summary administration. New subdivision (b) added to provide for
formal notice of the petition, and subsequent subdivisions relettered.

2011 Revision: Subdivision (a)(2) amended to limit listing of decedents
social security number to last four digits.

2012 Revision: Committee notes revised.



2013 Revision: Subdivision (a)(9) reorganized to avoid the misconception
that a diligent search and reasonable inquiry for known or reasonably
ascertainable creditors is required when creditor claims are barred.
Committee notes revised. Editorial changes to conform to the courts
guidelines for rules submissions as set forth in AOSC06-14.

2014 Revision: Subdivision (a)(3) amended to provide only the year of
birth of a minor to conform to Fla. R. Gen. Prac. & Jud. Admin. 2.425.
Committee notes revised.

Statutory References
 731.104, Fla. Stat. Verification of documents.
 735.201-735.2063, Fla. Stat. Summary administration.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.205(a)(3) Filing evidence of death.
Fla. R. Gen. Prac. & Jud. Admin. 2.420 Public access to judicial branch

records.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the filing of

sensitive information.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. 
Fla. Prob. R., Pt. III



PART III. GUARDIANSHIP
 Pt. III. ,  Rule 5.540. 

Fla. Prob. R. 5.540

RULE 5.540. HEARINGS.
(a) Application. All hearings under chapter 744 and under section 393.12,

Florida Statutes, shall be open unless the alleged incapacitated person,
adjudicated ward, or person alleged to have a developmental disability elects
to have the hearing closed.

(b) Election. An election to close a hearing may be made before the
hearing by filing a written notice. Subject to the courts approval, an election
to close or reopen a hearing may be made at any time during the hearing by
oral or written motion.

COMMITTEE NOTES

This rule permits an alleged incapacitated person, adjudicated ward, or
person alleged to have a developmental disability to elect to have all hearings
open or closed at any time by oral or written election.

Rule History
1991 Revision: New rule.
1992 Revision: Committee notes revised.
2008 Revision: Subdivision (a) amended to include persons with a

developmental disability. Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.1095, Fla. Stat. Hearings.
 744.3085, Fla. Stat. Guardian advocates.
Rule Reference
Fla. Prob. R. 5.541 Recording of hearings.



 Pt. III. ,  Rule 5.541. 
Fla. Prob. R. 5.541

RULE 5.541. RECORDING OF HEARINGS.
Electronic or stenographic recordings shall be made of all hearings on the:
(a) adjudication of incapacity;
(b) appointment of a guardian;
(c) modification, termination, or revocation of the adjudication of

incapacity;
(d) restoration of capacity; or
(e) restoration of rights.

COMMITTEE NOTES

This rule represents a rule implementation of the procedure found in
sections 744.109 and 744.3031, Florida Statutes. It is not intended to change
the effect of the statutes from which it is derived, or to create a new
procedure or modify an existing procedure.

Rule History
1991 Revision: New rule.
1992 Revision: Editorial changes. Committee notes revised. Citation form

change in committee notes.
2003 Revision: Committee notes revised.
2008 Revision: New subdivision (e) added for proceedings involving

guardian advocates. Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.109, Fla. Stat. Records.
 744.3031, Fla. Stat. Emergency temporary guardianship.
 744.3085, Fla. Stat. Guardian advocates.



 744.3371, Fla. Stat. Notice of petition for appointment of guardian and
hearing.



 Pt. III. ,  Rule 5.550. 
Fla. Prob. R. 5.550

RULE 5.550. PETITION TO DETERMINE INCAPACITY.
(a) Contents. The petition to determine incapacity shall be verified by the

petitioner, and shall state:
(1) the name, age, and present address of the petitioner and the

petitioners relationship to the alleged incapacitated person;
(2) the name, age, county of residence, and present address of the

alleged incapacitated person, and specify the primary language spoken by
the alleged incapacitated person, if known;

(3) that the petitioner believes the alleged incapacitated person to be
incapacitated, the facts on which such belief is based, and the names and
addresses of all persons known to the petitioner who have knowledge of
such facts through personal observation;

(4) the name and address of the alleged incapacitated persons attending
or family physician, if known;

(5) which rights the alleged incapacitated person is incapable of
exercising to the best of the petitioners knowledge; and, if the petitioner
has insufficient experience to make that judgment, the petitioner shall so
indicate;

(6) whether plenary or limited guardianship is sought for the alleged
incapacitated person;

(7) the names, relationships, and addresses of the next of kin of the
alleged incapacitated person, specifying the year of birth of any who are
minors, to the extent known to the petitioner; and

(8) whether there are possible alternatives to guardianship known to the
petitioner, including, but not limited to, trust agreements, powers of
attorney, designations of health care surrogates, or other advance
directives, and if the petitioner is seeking a guardianship, an explanation as
to why the alternatives are insufficient to meet the needs of the alleged
incapacitated person.
(b) Notice.



(1) Contents. The notice of filing the petition to determine incapacity
shall state:

(A) the time and place of the hearing to inquire into the capacity of
the alleged incapacitated person;

(B) that an attorney has been appointed to represent such person; and
(C) that if the court determines that such person is incapable of

exercising any of the rights enumerated in the petition a guardian may
be appointed.
(2) Service on Alleged Incapacitated Person. The notice and a copy of

the petition to determine incapacity shall be personally served by an elisor
appointed by the court, who may be the court appointed counsel for the
alleged incapacitated person. The elisor shall read the notice to the alleged
incapacitated person, but need not read the petition. A return of service
shall be filed by the elisor certifying that the notice and petition have been
served on and the notice read to the alleged incapacitated person. No
responsive pleading is required and no default may be entered for failure to
file a responsive pleading. The allegations of the petition are deemed
denied.

(3) Service on Others. A copy of the petition and the notice shall also
be served on counsel for the alleged incapacitated person, and on all next
of kin.
(c) Verified Statement. An interested person may file a verified statement

that shall state:
(1) that he or she has a good faith belief that the alleged incapacitated

persons trust, trust amendment, or durable power of attorney is invalid;
and

(2) facts constituting a reasonable basis for that belief.
(d) Order. When an order determines that a person is incapable of

exercising delegable rights, it shall specify whether there is an alternative to
guardianship that will sufficiently address the problems of the incapacitated
person.

(e) Reports.



(1) Filing. Each member of the examining committee must file his or
her report with the clerk of the court within 15 days after appointment.

(2) Service. Within 3 days after receipt of each examining committee
members report, the clerk shall serve the report on the petitioner and the
attorney for the alleged incapacitated person by electronic mail delivery or
United States mail, and, upon service, shall file a certificate of service in
the incapacity proceeding. The petitioner and the attorney for the alleged
incapacitated person must be served with all reports at least 10 days before
the hearing on the petition, unless the reports are not complete, in which
case the petitioner and attorney for the alleged incapacitated person may
waive the 10-day requirement and consent to the consideration of the
report by the court at the adjudicatory hearing. If such service is not timely
effectuated, the petitioner or the alleged incapacitated person may move
for a continuance of the hearing.

(3) Objections. The petitioner and the alleged incapacitated person may
object to the introduction into evidence of all or any portion of the
examining committee members reports by filing and serving a written
objection on the other party no later than 5 days before the adjudicatory
hearing. The objection must state the basis upon which the challenge to
admissibility is made. If an objection is timely filed and served, the court
shall apply the rules of evidence in determining the reports admissibility.
For good cause shown, the court may extend the time to file and serve the
written objection.
(f) Adjudicatory Hearing. Upon appointment of the examining

committee, the court shall set the date upon which the petition will be heard.
The adjudicatory hearing must be conducted within at least 10 days, which
time period may be waived, but no more than 30 days after the filing of the
last filed report of the examining committee members, unless good cause is
shown.

COMMITTEE NOTES

Rule History
1980 Revision: Implements 1979 amendments to section 744.331, Florida

Statutes.



1984 Revision: Change in title of rule. Editorial changes and adds a
provision for service of petition. Committee notes revised.

1988 Revision: Committee notes revised. Citation form changes in
committee notes.

1989 Revision by Ad Hoc Committee: The committee realized that formal
notice as defined in rule 5.040(a)(1) requires the recipient of notice to file a
responsive pleading within 20 days after the service of the notice. The
committee believed that to impose such a requirement on the alleged
incapacitated person would contravene the legislative intent of the 1989
revisions to chapter 744, Florida Statutes. The committee observed that the
time required for appointment of mandatory appointed counsel might render
a responsive pleading within 20 days impossible for the alleged incapacitated
person. The committee concluded that, procedurally, notice upon the alleged
incapacitated person should occur in the same manner as formal notice in rule
5.040, but the required response under that rule should not be imposed upon
the alleged incapacitated person.

1991 Revision: Implements 1989 amendments to sections 744.3201 and
744.331, Florida Statutes, and 1990 technical amendments.

1992 Revision: Citation form changes in committee notes.
2006 Revision: Subdivisions (c) and (d) added to incorporate 2006

amendment to section 744.441 and creation of section 744.462, Florida
Statutes. Committee notes revised.

2014 Revision: Amends subdivision (a)(7) to conform with Fla. R. Gen.
Prac. & Jud. Admin. 2.425. Committee notes revised.

2016 Revision: Subdivision (a)(8) added to require the disclosure of
whether there are possible alternatives to guardianship known to the
petitioner. Committee notes revised.

2017 Revision: Adopts new subdivisions (e)(1)(e)(3) to address
statutory changes in sections 744.331(3)(e), (3)(h), and (3)(i), Florida
Statutes, regarding filing, service, and objections to examining committee
members reports. Adopts new subdivision (f) to address statutory changes
regarding the timing of the adjudicatory hearing in section 744.331(5)(a),
Florida Statutes. Committee notes revised.



2020 Revision: Amends subdivision (a)(8) to address the Judicial
Management Council Guardianship Workgroup Final Report dated June 15,
2018, Focus Area 1, Recommendation 3, by requiring an explanation if there
are less restrictive alternatives to guardianship, but they are not sufficient to
meet the needs of the alleged incapacitated person. Committee notes revised.

Statutory references amended.
Statutory References
 709.2104, Fla. Stat. Durable power of attorney.
 709.2109, Fla. Stat. Termination or suspension of power of attorney or

agents authority.
 744.1012, Fla. Stat. Legislative intent.
 744.104, Fla. Stat. Verification of documents.
 744.3045, Fla. Stat. Preneed guardian.
 744.3115, Fla. Stat. Advance directives for health care.
 744.3201, Fla. Stat. Petition to determine incapacity.
 744.331, Fla. Stat. Procedures to determine incapacity.
 744.3371, Fla. Stat. Notice of petition for appointment of guardian and

hearing.
 744.441(1)(k), Fla. Stat. Powers of guardian upon court approval.
 744.462, Fla. Stat. Determination regarding alternatives to guardianship.
 765.102, Fla. Stat. Legislative intent and findings.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5 040(a)(3) Notice.
Fla. Prob. R. 5 800(a) Application of revised chapter 744 to existing

guardianships.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. III. ,  Rule 5.552. 
Fla. Prob. R. 5.552

RULE 5.552. VOLUNTARY GUARDIANSHIP OF PROPERTY.
(a) Petition for Appointment of Guardian. The petition for voluntary

guardianship shall be verified by the petitioner and shall state:
(1) the facts to establish venue;
(2) the petitioners residence and post office address;
(3) that the petitioner although mentally competent is incapable of the

care, custody, and management of the petitioners estate by reason of age
or physical infirmity, and is voluntarily petitioning to have a guardian of
the petitioners property appointed;

(4) whether the guardianship shall apply to all of the petitioners
property or less than all of the petitioners property; and if less than all of
the petitioners property, the specific property to which the guardianship is
to apply;

(5) the name and residence and post office address of any proposed
guardian;

(6) that the proposed guardian is qualified to serve or that a willing and
qualified proposed guardian has not been located; and

(7) the names and post office addresses of persons to whom the
petitioner requests that notice of the hearing for the appointment of the
guardian, and any petition for authority to act, be given.
(b) Certificate of Licensed Physician. The petition shall be accompanied

by a certificate of a licensed physician as required by law.
(c) Notice of Hearing. Notice of hearing on the petition for appointment,

and any petition for authority to act, shall be given to the ward and any
person to whom the ward requests notice be given, which request can be
made in the petition for appointment or a subsequent written request for
notice signed by the ward.

(d) Annual Report. The annual report shall be accompanied by a
certificate from a licensed physician as required by law.



(e) Termination. The ward may terminate a voluntary guardianship by
filing a notice of termination. Copies of the notice shall be served on all
interested persons. The guardian shall file a petition for discharge in
accordance with these rules.

COMMITTEE NOTES

Rule History
2003 Revision: New rule.
2006 Revision: New (d) added to incorporate 2006 amendment to section

744.341, Florida Statutes, requiring inclusion of physicians certificate in
annual report, and subsequent subdivision relettered. Committee notes
revised.

Statutory References
 744.341, Fla. Stat. Voluntary guardianship.
Rule References
Fla. Prob. R. 5.680 Termination of guardianship.
Fla. Prob. R. 5.695 Annual guardianship report.



 Pt. III. ,  Rule 5.555. 
Fla. Prob. R. 5.555

RULE 5.555. GUARDIANSHIPS OF MINORS.
(a) Application. This rule shall apply to any guardianship for a minor.
(b) Petition to Determine Incapacity. No petition to determine incapacity

need be filed.
(c) Petition for Appointment of Guardian. The petition shall be verified

by the petitioner and shall state:
(1) the facts to establish venue;
(2) the petitioners residence and post office address;
(3) the name, age, and residence and post office address of the minor;
(4) the names and addresses of the parents of the minor and if none, the

next of kin known to the petitioner;
(5) the name and residence and post office address of the proposed

guardian, and that the proposed guardian is qualified to serve; or, that a
willing and qualified guardian has not been located;

(6) the proposed guardians relationship to and any previous association
with the minor, including listing any activities designated in section
744.446(3), Florida Statutes;

(7) the reasons why the proposed guardian should be appointed;
(8) the nature and value of the property subject to the guardianship; and
(9) whether there are possible alternatives to guardianship known to the

petitioner, including but not limited to, trust agreements, powers of
attorney, surrogates, guardian advocate under section 744.3085, Florida
Statutes, or advance directives and why those possible alternatives are
insufficient to meet the needs of the minor.
(d) Notice. Formal notice of the petition for appointment of guardian shall

be served on any parent who is not a petitioner or, if there is no parent, on the
persons with whom the minor resides and on such other persons as the court
may direct.



(e) Initial and Annual Guardianship Reports.
(1) The initial guardianship report shall consist only of the verified

inventory. The annual guardianship report shall consist only of the annual
accounting.

(2) The guardian shall file an initial and annual guardianship plan as
required by law.

(3) Unless otherwise ordered by the court or required by law, the
guardian need not serve a copy of the initial guardianship report and the
annual guardianship reports on the ward.
(f) Inspection of Inventory or Accounting. Unless otherwise ordered by

the court for good cause shown, any inventory, amended or supplementary
inventory, or accounting is subject to inspection only by the clerk, the ward
or the wards attorney, and the guardian or the guardians attorney.

COMMITTEE NOTES

The provisions of chapter 744, Florida Statutes, and the guardianship rules
enacted in 1989 leave some uncertainty with respect to the procedural
requirements in guardianships for minors who are not incapacitated persons.
This rule is intended to address only certain procedures with respect to the
establishment and administration of guardianships over minors. The
committee believes that certain provisions of the guardianship law and rules
apply to both guardianships of minors as well as guardianships of
incapacitated persons and no change has been suggested with respect to such
rules. Because no adjudication of a minor is required by statute, it is
contemplated that appointment of a guardian for a minor may be
accomplished without a hearing. Initial and annual guardianship reports for
minors have been simplified where all assets are on deposit with a designated
financial institution under applicable Florida law.

Rule History
1991 Revision: New rule adopted to apply to guardianship over minors

who are not incapacitated persons.
1992 Revision: Committee notes revised. Citation form changes in

committee notes.



1996 Revision: Committee notes revised.
2000 Revision: Deletes requirement in subdivision (c) to report social

security number of proposed guardian.
2003 Revision: Deletes requirement in subdivision (c) to report social

security number of minor. Committee notes revised.
2006 Revision: Subdivision (e)(2) amended to conform to requirement in

sections 744.362(1) and 744.3675, Florida Statutes, to file initial and annual
guardianship plans. Subdivision (e)(3) amended to eliminate requirement of
service on ward unless ordered by court or required by statute.

2014 Revision: Fla. R. Gen. Prac. & Jud. Admin. 2.425(b)(4)-(5) provides
exceptions for using the birth date of any minor whenever the birth date is
necessary for the court to establish or maintain subject matter jurisdiction, as
well as using the full name in situations in which the name of the minor in
any order relating to parental responsibility, time-sharing, or child support.
Committee notes revised.

2020 Revision: Subdivision (c)(6) amended to include reference to section
744.446, Florida Statutes, and subdivision (c)(9) amended to conform to
section 744.334, Florida Statutes, and the list of alternatives to guardianships.

2021 Revision: Committee notes revised.
Statutory References
 69.031, Fla. Stat. Designated financial institutions for property in hands

of guardians, curators, administrators, trustees, receivers, or other officers.
 744.3021, Fla. Stat. Guardians of minors.
 744.3085, Fla. Stat. Guardian advocates.
 744.334, Fla. Stat. Petition for appointment of guardian or professional

guardian; contents.
 744.3371(2), Fla. Stat. Notice of petition for appointment of guardian

and hearing.
 744.342, Fla. Stat. Minors; guardianship.
 744.362, Fla. Stat. Initial guardianship report.
 744.363, Fla. Stat. Initial guardianship plan.



 744.365, Fla. Stat. Verified inventory.
 744.367, Fla. Stat. Duty to file annual guardianship report.
 744.3675, Fla. Stat. Annual guardianship plan.
 744.3678, Fla. Stat. Annual accounting.
 744.3679, Fla. Stat. Simplified accounting procedures in certain cases.
 744.446, Fla. Stat. Conflicts of interest; prohibited activities; court

approval; breach of fiduciary duty.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.541 Recording of hearings.
Fla. Prob. R. 5.560 Petition for appointment of a guardian of an

incapacitated person.
Fla. Prob. R. 5.620 Inventory.
Fla. Prob. R. 5.636 Settlement of minors claims.
Fla. Prob. R. 5.690 Initial guardianship report.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. III. ,  Rule 5.560. 
Fla. Prob. R. 5.560

RULE 5.560. PETITION FOR APPOINTMENT OF GUARDIAN OF
AN INCAPACITATED PERSON.

(a) Contents. The petition shall be verified by the petitioner and shall
state:

(1) the facts to establish venue;
(2) the petitioners residence and post office address;
(3) the name, age, residence and post office address of the alleged

incapacitated person;
(4) the nature of the incapacity, the extent of guardianship, either limited

or plenary, requested for the alleged incapacitated person, and the nature
and value of property subject to the guardianship;

(5) the names and addresses of the next of kin of the alleged
incapacitated person known to the petitioner;

(6) the name and residence and post office address of the proposed
guardian, and that the proposed guardian is qualified to serve, or that a
willing and qualified guardian has not been located;

(7) the proposed guardians relationship to and any previous association
with the alleged incapacitated person, including listing any activities
designated in section 744.446(3), Florida Statutes;

(8) the reasons why the proposed guardian should be appointed;
(9) whether the petitioner has knowledge, information, or belief that

there are possible alternatives to guardianship known to the petitioner,
including, but not limited to, trust agreements, powers of attorney,
designations of health care surrogates, guardian advocate under section
744.3085, Florida Statutes, or other advance directives, and if there are
possible alternatives to guardianship, an explanation as to why the
alternatives are insufficient to meet the needs of the alleged incapacitated
person;

(10) whether the petitioner has knowledge, information, or belief that



the alleged incapacitated person has a preneed guardian designation; and
(11) if the proposed guardian is a professional guardian, a statement that

the proposed guardian has complied with the registration requirements of
section 744.2002, Florida Statutes.
(b) Notice. Notice of filing the petition for appointment of guardian may

be served as a part of the notice of filing the petition to determine incapacity,
but shall be served a reasonable time before the hearing on the petition or
other pleading seeking appointment of a guardian.

(c) Service on Public Guardian. If the petitioner requests appointment of
the public guardian, a copy of the petition and the notice shall be served on
the public guardian.

COMMITTEE NOTES

Rule History
1975 Revision: Substantially the same as section 744.334, Florida Statutes,

expanded to include provisions of section 744.302, Florida Statutes, and
section 744.312, Florida Statutes, by reference.

1977 Revision: Change in committee notes to conform to statutory
renumbering.

1980 Revision: Implements 1979 amendment to section 744.334, Florida
Statutes.

1984 Revision: Combines rule 5.560 and part of prior rule 5.570. Editorial
changes and committee notes revised.

1988 Revision: Editorial changes. Committee notes revised. Citation form
changes in committee notes.

1989 Revision by Ad Hoc Committee: Subsection (a)(4) of the former rule
has been deleted altogether because the date and court of adjudication will
probably not be known at the time of filing the petition for the appointment
since petition for appointment will henceforth be filed contemporaneously
with the petition to determine incapacity.

1991 Revision: Implements 1989 amendments to sections 744.334 and
744.331(1), Florida Statutes, and 1990 technical amendments. Subdivision



(c)(1) deleted because rule 5.555(d) addresses service on parents.
1992 Revision: Citation form changes in committee notes.
1996 Revision: Deletes requirement in subdivision (a) to report social

security number of alleged incapacitated person. Adds provision to
subdivision (b) for notice before hearing when petition is not served
simultaneously with petition to determine incapacity.

2000 Revision: Deletes requirement in subdivision (a) to report social
security number of proposed guardian.

2003 Revision: Committee notes revised.
2006 Revision: New (a)(9) added to incorporate 2006 passage of section

744.462, Florida Statutes. Subdivision (a)(10) added to implement section
744.1083, Florida Statutes. Committee notes revised.

2014 Revision: Fla. R. Gen. Prac. & Jud. Admin. 2.425(b)(4)-(5) provides
exceptions for using the birth date of any minor whenever the birth date is
necessary for the court to establish or maintain subject matter jurisdiction, as
well as using the full name in situations in which the name of the minor in
any order relating to parental responsibility, time-sharing, or child support.
Committee notes revised.

2016 Revision: Subdivision (a)(9) revised to require the disclosure of
whether there are possible alternatives to guardianship known to the
petitioner. Committee notes revised.

2016 Revision: Subdivision (a)(10) amended to reflect the renumbering of
the statute from section 744.1083 to section 744.2002, Florida Statutes.
Committee notes revised to update statutory references.

2020 Revision: Amends subdivision (a)(9) to address the Judicial
Management Council Guardianship Workgroup Final Report dated June 15,
2018, Focus Area 1, Recommendation 3, by requiring an explanation if there
are less restrictive alternatives to guardianship, but they are not sufficient to
meet the needs of the alleged incapacitated person. Adds a new subdivision
(a)(10) to address the Judicial Management Council Guardianship
Workgroup Final Report dated June 15, 2018, Focus Area 1,
Recommendation 4, by requiring a statement of the petitioners knowledge of
any preneed guardian designation. Committee notes revised.



Subdivision (a)(7) amended to include reference to section 744.446,
Florida Statutes, and subdivision (a)(9) amended to conform to section
744.334, Florida Statutes, and the list of alternatives to guardianships.

Statutory References
 709.2104, Fla. Stat. Durable power of attorney.
 709.2109, Fla. Stat. Termination or suspension of power of attorney or

agents authority.
 744.2002, Fla. Stat. Professional guardian registration.
 744.2005, Fla. Stat. Order of appointment.
 744.2006, Fla. Stat. Office of public guardian; appointment, notification.
 744.3045, Fla. Stat. Preneed guardian.
 744.3085, Fla. Stat. Guardian advocates.
 744.309, Fla. Stat. Who may be appointed guardian of a resident ward.
 744.3115, Fla. Stat. Advance directives for health care.
 744.312, Fla. Stat. Considerations in appointment of guardian.
 744.3201, Fla. Stat. Petition to determine incapacity.
 744.331, Fla. Stat. Procedures to determine incapacity.
 744.334, Fla. Stat. Petition for appointment of guardian or professional

guardian; contents.
 744.3371(1), Fla. Stat. Notice of petition for appointment of guardian

and hearing.
 744.341, Fla. Stat. Voluntary guardianship.
 744.446, Fla. Stat. Conflicts of interest; prohibited activities; court

approval; breach of fiduciary duty.
 744.462, Fla. Stat. Determination regarding alternatives to guardianship.
 765.102, Fla. Stat. Legislative intent and findings.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.



Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.550 Petition to determine incapacity.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. III. ,  Rule 5.590. 
Fla. Prob. R. 5.590

RULE 5.590. APPLICATION FOR APPOINTMENT AS GUARDIAN;
DISCLOSURE STATEMENT; FILING.

(a) Individual Applicants.
(1) The application for appointment shall contain:

(A) the applicants qualifications to serve as a guardian, including a
statement indicating whether the applicant has ever been (i) arrested or
(ii) convicted of a felony, even if the record of such arrest or conviction
has been expunged, unless the expunction was ordered pursuant to
section 943.0583, Florida Statutes; and

(B) the names of all wards who are adults and the initials of any ward
who is a minor for whom the applicant is then acting as guardian, the
court file number and circuit court in which each case is pending, and a
statement as to whether the applicant is acting as a limited or plenary
guardian of the person or property, or both, of each ward.
(2) The application for appointment shall be filed and served a

reasonable time before the hearing on the appointment of a guardian.
(b) Nonprofit Corporate Guardians.

(1) No application for appointment shall be required of a nonprofit
corporate guardian.

(2) A disclosure statement shall contain:
(A) the corporations qualifications to serve as a guardian; and
(B) the names of all wards who are adults and the initials of any ward

who is a minor for whom the corporation is then acting as guardian, the
court file number and circuit court in which each case is pending, and a
statement as to whether the corporation is acting as a limited or plenary
guardian of the person or property, or both, of each ward.
(3) The disclosure statement of a nonprofit corporate guardian shall be

filed quarterly with the clerk of the court for each circuit in which the
corporation has been appointed, or is seeking appointment, as guardian.



(c) For Profit Corporations and Associations. No application for
appointment or disclosure statement shall be required of any for profit
corporation or association authorized to exercise fiduciary powers under
Florida law.

(d) Public Guardians. No application for appointment or disclosure
statement shall be required of a public guardian.

COMMITTEE NOTES

Rule History
1988 Revision: Prior rule deleted; text of rule moved to rule 5.650.
1989 Revision: Rule reactivated with different title and text.
1991 Revision: Implements 1989 and 1990 amendments to section

744.3125, Florida Statutes.
1992 Revision: Citation form change in committee notes.
1996 Revision: Adds filing and service provisions consistent with rule

5.560. Corrects reference to corporations qualified to exercise fiduciary
powers. Editorial changes. Adds statutory references.

2003 Revision: Committee notes revised.
2006 Revision: Committee notes revised.
2008 Revision: Committee notes revised.
2014 Revision: Amends subdivisions (a)(1)(B) and (b)(1)(B) to conform to

Fla. R. Gen. Prac. & Jud. Admin. 2.425. Creates a rule reference. Committee
notes revised.

Statutory References
 393.063(17), Fla Stat. Definitions.
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.102(4), (9), (11), (14), (22) Fla. Stat. Definitions.
 744.3085, Fla. Stat. Guardian advocates.
 744.309, Fla. Stat. Who may be appointed guardian of a resident ward.



 744.3125, Fla. Stat. Application for appointment.
 744.331(1), Fla. Stat. Procedures to determine incapacity.
 744.3371, Fla. Stat. Notice of petition for appointment of guardian and

hearing.
 943.0583, Fla. Stat. Human trafficking victim expunction.
 943.0585, Fla. Stat. Court-ordered expunction of criminal history

records.
Rule References
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. III. ,  Rule 5.600. 
Fla. Prob. R. 5.600

RULE 5.600. OATH.
Every guardian or emergency temporary guardian shall take an oath to

perform faithfully the duties of guardian or emergency temporary guardian
before exercising such authority. The oath may be incorporated in the petition
for appointment of guardian, or petition for appointment of emergency
temporary guardian, if verified by the prospective guardian.

COMMITTEE NOTES

Rule History
1977 Revision: Change in committee notes to conform to statutory

renumbering. Rule permits oath of guardian to be incorporated in petition for
appointment and in designation of resident agent.

1984 Revision: Editorial change and deletes genders.
1989 Revision: Prior rule adopted as temporary emergency rule.
1991 Revision: Permits oath to be incorporated in application for

appointment of guardian, adds reference to temporary emergency guardian,
and makes editorial change.

1992 Revision: Editorial changes.
2008 Revision: Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.347, Fla. Stat. Oath of guardian.



 Pt. III. ,  Rule 5.610. 
Fla. Prob. R. 5.610

RULE 5.610. EXECUTION BY GUARDIAN.
The guardian shall sign the:
(a) initial guardianship plan;
(b) inventory, amended inventory, or supplemental inventory;
(c) annual guardianship plan;
(d) annual accounting;
(e) guardians petition for court approval required by law;
(f) petition for discharge;
(g) final report; and
(h) resignation of guardian.

COMMITTEE NOTES

Rule History
1975 Revision: Rule lists what guardian shall sign and includes any

petition for court approval required by F.S. 744.441. The rule requires that
the guardian have actual knowledge of the more important steps and acts of
administration.

1977 Revision: Change in statutory reference in rule and in committee note
to conform to statutory renumbering.

1988 Revision: Editorial changes. Committee notes revised. Citation form
changes in rule and committee notes.

1989 Revision: Follows statutory requirements. See 549 So. 2d 665, 668
(effective October 1, 1989).

1991 Revision: Changes to conform to 1989 and 1990 revisions to
guardianship law. Adds additional documents to be signed by the guardian.
Statutory references added.

2003 Revision: Committee notes revised.



2008 Revision: Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.362, Fla. Stat. Initial guardianship report.
 744.363, Fla. Stat. Initial guardianship plan.
 744.365, Fla. Stat. Verified inventory.
 744.367, Fla. Stat. Duty to file annual guardianship report.
 744.3675, Fla. Stat. Annual guardianship plan.
 744.3678, Fla. Stat. Annual accounting.
 744.387, Fla. Stat. Settlement of claims.
 744.441, Fla. Stat. Powers of guardian upon court approval.
 744.446, Fla. Stat. Conflicts of interest; prohibited activities; court

approval; breach of fiduciary duty.
 744.447, Fla. Stat. Petition for authorization to act.
 744.451, Fla. Stat. Order.
 744.467, Fla. Stat. Resignation of guardian.
 744.511, Fla. Stat. Accounting upon removal.
 744.521, Fla. Stat. Termination of guardianship.
 744.524, Fla. Stat. Termination of guardianship on change of domicile of

resident ward.
 744.527(1), Fla. Stat. Final reports and application for discharge;

hearing.
 744.534, Fla. Stat. Disposition of unclaimed funds held by guardian.



 Pt. III. ,  Rule 5.620. 
Fla. Prob. R. 5.620

RULE 5.620. INVENTORY.
(a) Inventory. Within 60 days after issuance of letters, the guardian of the

property shall file a verified inventory as required by law. All property not in
the guardians possession as of the date the inventory is filed shall be so
identified.

(b) Amended or Supplemental Inventory. If the guardian of the property
learns of any property not included in the inventory, or learns that the
description in the inventory is inaccurate, the guardian shall, within 30 days
of this discovery, file a verified amended or supplemental inventory showing
the change.

(c) Substantiating Documents. Unless ordered by the court, the guardian
need not file the documents substantiating the inventory. Upon reasonable
written request, the guardian of the property shall make the substantiating
documents available for examination to those persons entitled to receive or
inspect the inventory.

(d) Safe-Deposit Box Inventory. If the ward has a safe-deposit box, a
copy of the safe-deposit box inventory shall be filed as part of the verified
inventory.

(e) Guardian Advocates. This rule shall apply to a guardian advocate to
the extent that the guardian advocate was granted authority over the property
of the person with a developmental disability.

COMMITTEE NOTES

Rule History
1977 Revision: Change in committee notes to conform to statutory

renumbering.
1984 Revision: Change to require inventory to be filed within 60 days after

issuance of letters, rather than after appointment. Committee notes revised.
1988 Revision: Editorial changes. Committee notes revised. Citation form

change in committee notes.



1989 Revision: Prior rule deleted and replaced by temporary emergency
rule.

1991 Revision: Former rule 5.620(b) has been deleted as partly substantive
and addressed in section 744.381, Florida Statutes, and the procedural part is
unnecessary.

The committee recognizes the conflict between this rule and section
744.362, Florida Statutes, which requires the filing of the initial guardianship
report (which includes the inventory) within 60 days after appointment. The
committee believes this provision, which attempts to regulate when a paper
must be filed with the court, is procedural and that a guardian may not
receive letters of guardianship empowering the guardian to act
contemporaneously with the appointment. Therefore, the issuance of letters is
a more practical time from which to measure the beginning of the time period
for the accomplishment of this act.

1992 Revision: Citation form changes in committee notes.
2005 Revision: Editorial changes in (d).
2007 Revision: Committee notes revised.
2008 Revision: Adds reference to guardian advocate in new (e).

Committee notes revised.
2012 Revision: Committee notes revised.
2016 Revision: Subdivision (c) revised to substitute documents for

papers.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.362, Fla. Stat. Initial guardianship report.
 744.365, Fla. Stat. Verified inventory.
 744.3701, Fla. Stat. Inspection of report.
 744.381, Fla. Stat. Appraisals.
 744.384, Fla. Stat. Subsequently discovered or acquired property.
Rule References



Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. Prob. R. 5.690 Initial guardianship report.
Fla. Prob. R. 5.700 Objection to guardianship reports.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.625. 
Fla. Prob. R. 5.625

RULE 5.625. NOTICE OF COMPLETION OF GUARDIAN
EDUCATION REQUIREMENTS.

(a) Filing. Unless the guardian education requirement is waived by the
court, each guardian, other than a professional guardian, shall file with the
court within 4 months after the issuance of letters of guardianship or letters of
guardian advocacy a notice of completion of guardian education
requirements.

(b) Content. The notice shall state:
(1) that the guardian has completed the required number of hours of

course instruction and training covering the legal duties and
responsibilities of a guardian, the rights of a ward, the availability of local
resources to aid a ward, and the preparation of habilitation plans and
annual guardianship reports, including accountings;

(2) the date the course was completed;
(3) the name of the course completed; and
(4) the name of the entity or instructor that taught the course.

(c) Verification. The notice shall be verified by the guardian.

COMMITTEE NOTES

Rule History.
2005 Revision: New rule.
2006 Revision: Subdivision (a) amended to conform to 2006 amendment

to section 744.3145(4), Florida Statutes.
2008 Revision: Adds reference in (a) to guardian advocacy. Committee

notes revised.
Statutory References.
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.3145, Fla. Stat. Guardian education requirements.



 Pt. III. ,  Rule 5.630. 
Fla. Prob. R. 5.630

RULE 5.630. PETITION FOR APPROVAL OF ACTS.
(a) Contents.

(1) When authorization or confirmation of any act of the guardian is
required under section 744.441(1), Florida Statutes, application shall be
made by verified petition stating the facts showing:

(A) the expediency or necessity for the action;
(B) a description of any property involved;
(C) the price and terms of any sale, mortgage, or other contract;
(D) whether the ward has been adjudicated incapacitated to act with

respect to the rights to be exercised;
(E) whether the action requested conforms to the guardianship plan;

and
(F) the basis for the relief sought.

(2) When authorization or confirmation of any act of the guardian is
required under section 744.441(2), Florida Statutes, application shall be
made by verified petition attaching any affidavits and supporting
documentation, including any living will, and stating the facts showing:

(A) the name and location of the ward;
(B) the names, relationship to the ward, and addresses if known to the

guardian, of:
(i) the wards spouse and adult children,
(ii) the wards parents,
(iii) the wards next of kin,
(iv) any guardian and any court-appointed health care decision-

maker,
(v) any person designated by the ward in a living will or other

document to exercise the wards health care decision in the event of



the wards incapacity,
(vi) the administrator of the hospital, nursing home, or other facility

where the ward is located,
(vii) the wards principal treating physician and other physicians

known to have provided any medical opinion or advice about any
condition of the ward relevant to this petition, and

(viii) all other persons the guardian believes may have information
concerning the expressed wishes of the ward; and
(C) facts sufficient to establish the need for the relief requested.

(b) Notice. No notice of a petition to authorize sale of perishable personal
property or of property rapidly deteriorating shall be required. Notice of a
petition to perform any other act requiring a court order shall be given to the
ward, to the next of kin, if any, and to those persons who have filed requests
for notices and copies of pleadings.

(c) Order.
(1) If the act is authorized or confirmed, the order shall describe the

permitted act and authorize the guardian to perform it or confirm its
performance.

(2) If a sale or mortgage is authorized or confirmed, the order shall
describe the property. If a sale is to be private, the order shall specify the
price and the terms of the sale. If a sale is to be public, the order shall state
that the sale shall be made to the highest bidder and that the court reserves
the right to reject all bids.

(3) If the guardian is authorized to bring an action to contest the validity
of all or part of a revocable trust, the order shall contain a finding that the
action appears to be in the wards best interests during the wards probable
lifetime. If the guardian is not authorized to bring such an action, the order
shall contain a finding concerning the continued need for a guardian and
the extent of the need for delegation of the wards rights.
(d) Hearings. A preliminary hearing on any petition filed under section

744.441(2), Florida Statutes, shall be held within 72 hours after the filing of
the petition. At that time, the court shall review the petition and supporting
documentation. In its discretion, the court shall either:



(1) rule on the relief requested immediately after the preliminary
hearing; or

(2) conduct an evidentiary hearing not later than 4 days after the
preliminary hearing and rule on the relief requested immediately after the
evidentiary hearing.

COMMITTEE NOTES

Rule History
1975 Revision: Substantially the same as sections 744.503, 744.447, and

744.451, Florida Statutes, with editorial changes.
1977 Revision: Change in statutory reference in rule and in committee note

to conform to statutory renumbering.
1980 Revision: Implements 1979 Amendments to section 744.447(2),

Florida Statutes.
1988 Revision: Editorial changes; captions added to subdivisions.

Committee notes revised. Citation form changes in rule and committee notes.
1989 Revision: Prior rule deleted and replaced by temporary emergency

rule.
1991 Revision: Changes to conform to 1989 revised guardianship law.
1992 Revision: Committee notes revised. Citation form changes in

committee notes.
2006 Revision: New (a)(6) added to incorporate 2006 amendment to

section 744.441, Florida Statutes. New (c)(3) added to reflect passage of
2006 amendment to section 737.2065, Florida Statutes. Committee notes
revised.

2007 Revision: Committee notes revised.
2008 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
2020 Revision: Subdivision (a)(2) is created to address section 744.441(2),

Florida Statutes, and the contents of a petition for court approval for a
guardian to sign an order not to resuscitate. Subdivision (d) is created to



include the procedure for a hearing pursuant to section 744.441(2), Florida
Statutes.

Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 736.0207, Fla. Stat. Trust contests.
 744.3215, Fla. Stat. Rights of persons determined incapacitated.
 744.441, Fla. Stat. Powers of guardian upon court approval.
 744.447, Fla. Stat. Petition for authorization to act.
 744.451, Fla. Stat. Order.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.636 Settlement of minors claims.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.635. 
Fla. Prob. R. 5.635

RULE 5.635. PETITION FOR EXTRAORDINARY AUTHORITY.
(a) Contents. When authorization for extraordinary authority is sought as

permitted by law, application shall be made by verified petition stating:
(1) the petitioners interest in the proceeding;
(2) the specific authority requested; and
(3) the facts constituting the basis for the relief sought and that the

authority being requested is in the best interest of the ward.
(b) Notice.

(1) The petition shall be served by formal notice. For good cause shown,
the court may shorten the time for response to the formal notice and may
set an expedited hearing.

(2) The petition shall be served on the guardian of the person, if the
guardian is not the petitioner, the ward, the next of kin, if any, those
interested persons who have filed requests for notices and copies of
pleadings, and such other persons as the court may direct.
(c) Hearing. The hearing shall be at a time and place that will enable the

ward to express the wards views to the court.

COMMITTEE NOTES

Rule History
1991 Revision: New rule.
1992 Revision: Committee notes revised.
2008 Revision: Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.3215(4), Fla. Stat. Rights of persons determined incapacitated.
 744.3725, Fla. Stat. Procedure for extraordinary authority.



 Pt. III. ,  Rule 5.636. 
Fla. Prob. R. 5.636

RULE 5.636. SETTLEMENT OF MINORS CLAIMS.
(a) Time of Settlement. Claims on behalf of minors may be settled either

before or after an action is filed.
(b) Petition. The petition for approval of a settlement shall contain:

(1) the initials, residence address, and the year of birth of the minor;
(2) the name and address of any guardian appointed for the minor;
(3) the name and residence address of the natural guardians or other

persons having legal custody of the minor;
(4) a statement disclosing the interests of any natural or court-appointed

guardian whose interest may be in conflict with that of the minor;
(5) a description of the cause of action in which the minors interest

arises;
(6) a summary of the terms of the proposed settlement; and
(7) copies of all agreements, releases, or other documents to be executed

on behalf of the minor.
(c) Notice. Notice of the petition shall be given to the court-appointed

guardians for the minor, to the natural guardians or other persons with legal
custody of the minor, to the minor if age 14 or older, and to the minors next
of kin if required by the court.

(d) Guardian Ad Litem. The court shall appoint a guardian ad litem on
behalf of a minor, without bond or notice, with respect to any proposed
settlement that equals or exceeds $50,000 and affects the interests of the
minor, if:

(1) there is no court-appointed guardian of the minor;
(2) the court-appointed guardian may have an interest adverse to the

minor; or
(3) the court determines that representation of the minors interest is

otherwise inadequate.



(e) Valuation of Proposed Settlement. A proposed settlement is deemed
to equal or exceed $50,000 if the gross amount payable equals or exceeds
$50,000, without reduction to reflect present value or fees and costs.

(f) Report. A guardian ad litem appointed with respect to a proposed
settlement affecting the interests of a minor shall, not later than 5 days prior
to the hearing on a petition for order authorizing settlement, file and serve a
report indicating the guardian ad litems determination regarding whether the
proposed settlement will be in the best interest of the minor. The report shall
include:

(1) a statement of the facts of the minors claim and the terms of the
proposed settlement, including any benefits to any persons or parties with
related claims;

(2) a list of the persons interviewed and documents reviewed by the
guardian ad litem in evaluating the minors claim and proposed settlement;
and

(3) the guardian ad litems analysis of whether the proposed settlement
will be in the best interest of the minor.
A copy of the report shall be served on those persons on whom service is

required in subdivision (c) of this rule.

COMMITTEE NOTES

When a civil action is pending, the petition for approval of settlement
should be filed in that civil action. In all other circumstances, the petition for
approval of settlement should be filed in the same court and assigned to a
judge who would preside over a petition for appointment of guardian of a
minor.

The total settlement to be considered under subdivisions (d) and (e) is not
limited to the amounts received only by the minor, but includes all settlement
payments or proceeds received by all parties to the claim or action. For
example, the proposed settlement may have a gross value of $60,000, with
$30,000 payable to the minor and $30,000 payable to another party. In that
instance the total proposed settlement exceeds $50,000. Further, the gross
amount payable under subdivision (e) is the total sum payable, without
reducing the settlement amount by fees and costs that might be paid from the



proceeds of the settlement. For example, if the proposed settlement is
$60,000 but $20,000 of that sum will be paid to the attorneys representing the
minors interest in the action, the gross amount payable still exceeds
$50,000. Likewise, the gross amount payable cannot be reduced to reflect
the present value of the proposed settlement on behalf of the minor.

Rule History
1992 Revision: New Rule.
2003 Revision: Committee notes revised.
2006 Revision: Amended to reflect 2006 passage of new section 744.3025,

Claims of Minors, increasing dollar figure from $25,000 to $50,000 as
threshold amount requiring appointment of guardian ad litem if interests of
minor are not otherwise adequately represented. Committee notes revised.

2014 Revision: Amends subdivision (b)(1) to conform to Fla. R. Gen. Prac.
& Jud. Admin. 2.425. Committee notes revised.

2019 Revision: Amends subdivisions (d) and (e) to eliminate inconsistency
with section 744.3025, Florida Statutes. Committee notes revised.

Statutory References
 744.3025, Fla. Stat. Claims of minors.
 744.387, Fla. Stat. Settlement of claims.
 744.391, Fla. Stat. Actions by and against guardian or ward.
 744.441, Fla. Stat. Powers of guardian upon court approval.
 744.446, Fla. Stat. Conflicts of interest; prohibited activities; court

approval; breach of fiduciary duty.
 744.447, Fla. Stat. Petition for authorization to act.
 744.23, Fla. Stat. Protection of minors and incompetents.
 768.25, Fla. Stat. Court approval of settlements.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.042 Time.



Fla. Prob. R. 5.120 Administrator ad litem and guardian ad litem.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.630 Petition for approval of acts.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. III. ,  Rule 5.640. 
Fla. Prob. R. 5.640

RULE 5.640. CONTINUANCE OF UNINCORPORATED BUSINESS
OR VENTURE OF WARD.

(a) Continuance of Business. When the ward is adjudicated incapacitated
while engaged in any unincorporated business or venture, or the court finds
that a person with a developmental disability lacks capacity to manage an
unincorporated business or venture, the court may authorize the guardian to
continue the business or venture for a reasonable time under the supervision
of the court.

(b) Petition. Before an order is made under subdivision (a), the guardian
shall file a verified petition, alleging sufficient facts to make it appear that it
is in the best interest of the wards estate to continue the business or venture.

(c) Order. The order authorizing the continuance of the business or
venture may empower the guardian to make contracts necessary to conduct
the business or venture and to incur debts and pay out money in the proper
conduct of the business or venture. The net profits only of the business or
venture are to be added to the assets of the wards estate.

(d) Accounts and Reports. In the conduct of the business or venture, the
guardian shall keep full and accurate accounts of all receipts and expenditures
and make reports as the court requires.

(e) Discontinuance of business. Any person interested in the wards estate
may at any time petition the court for an order requiring the guardian to
discontinue and to wind up the business or venture, and the court, after notice
to the guardian, shall enter such order thereon as is in the best interest of the
wards estate.

COMMITTEE NOTES

Rule History
1975 Revision: Implements section 744.441(16), Florida Statutes. The rule

is patterned after rule 5.350 pertaining to the continuance of a business of a
decedent by a personal representative.



1977 Revision: No change in rule. Change in committee note to conform to
statutory renumbering.

1988 Revision: Change in title of rule; captions added to subdivisions.
Committee notes revised. Citation form changes in committee notes.

1989 Revision: Prior rule deleted and replaced by temporary emergency
rule.

1991 Revision: Editorial changes in (a), (b), and (e).
1992 Revision: Citation form changes in committee notes.
2008 Revision: Subdivision (a) amended to include persons with a

developmental disability. Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.3085, Fla. Stat. Guardian advocates.
 744.441(13), Fla. Stat. Powers of guardian upon court approval.
 744.447, Fla. Stat. Petition for authorization to act.
Rule Reference
Fla. Prob. R. 5.350 Continuance of unincorporated business or venture.



 Pt. III. ,  Rule 5.645. 
Fla. Prob. R. 5.645

RULE 5.645. MANAGEMENT OF PROPERTY OF NONRESIDENT
WARD BY FOREIGN GUARDIAN.

(a) Petition. A guardian of the property of a nonresident ward, duly
appointed by a court of another state, territory, or country, who desires to
manage any part or all of the property of the ward located in this state, may
file a verified petition for authority to manage the property. The petition shall
state:

(1) the circumstances of the guardians appointment;
(2) a description of the property and its estimated value; and
(3) the indebtedness, if any, existing against the ward in this state.

(b) Designation of Resident Agent. The guardian shall designate a
resident agent as required by these rules.

(c) Oath. The guardian shall file an oath as required by these rules.
(d) Filing of Authenticated Copies. The guardian shall file authenticated

copies of:
(1) letters of guardianship or other authority to act as guardian; and
(2) bond or other security, if any.

(e) Order. The court shall determine if the foreign bond or other security is
sufficient to guarantee the faithful management of the wards property in this
state. The court may require a new guardians bond in this state in an amount
it deems necessary. The order shall authorize the guardian to manage the
property and shall specifically describe the property.

COMMITTEE NOTES

Rule History
2007 Revision: New rule.
Statutory References
 744.306, Fla. Stat. Foreign guardians.



 744.307, Fla. Stat. Foreign guardian may manage the property of
nonresident ward.

Rule References
Fla. Prob. R. 5.110 Address designation for personal representative or

guardian; designation of resident agent and acceptance.
Fla. Prob. R. 5.600 Oath.



 Pt. III. ,  Rule 5.646. 
Fla. Prob. R. 5.646

RULE 5.646. STANDBY GUARDIANS.
(a) Petition for Appointment of Standby Guardian for Minor.

(1) Contents. A minors guardian or the natural guardians of a minor
may petition for the appointment of a standby guardian of the person or
property of the minor. The petition shall be verified by the petitioner and
shall state:

(A) the facts to establish venue;
(B) the petitioners residence and post office address;
(C) the name, age, and residence and post office address of the minor;
(D) the names and addresses of the parents of the minor and, if none,

the next of kin known to the petitioner;
(E) the name and residence and post office address of the proposed

standby guardian, and that the proposed standby guardian is qualified to
serve;

(F) the proposed standby guardians relationship to and any previous
association with the minor;

(G) the reasons why the proposed standby guardian should be
appointed; and

(H) the nature and value of the property subject to the guardianship.
(2) Notice and Waiver of Notice. Notice of the hearing on the petition

must be served on the parents, natural or adoptive, of the minor and on any
guardian for the minor. Notice may be waived by those required to receive
notice or by the court for good cause.
(b) Petition for Appointment of Standby Guardian for Incapacitated

Person.
(1) Contents. A currently serving guardian may petition for the

appointment of a standby guardian of the person or property of an
incapacitated person. The petition shall be verified by the petitioner and
shall state:



(A) the petitioners residence and post office address;
(B) the name, age, and residence and post office address of the

incapacitated person;
(C) the nature of the incapacity, the extent of guardianship, either

limited or plenary, and the nature and value of property subject to the
guardianship;

(D) the names and addresses of the next of kin of the incapacitated
person known to the petitioner;

(E) the name and residence and post office address of the proposed
standby guardian, and that the proposed standby guardian is qualified to
serve;

(F) the proposed standby guardians relationship to and any previous
association with the incapacitated person; and

(G) the reasons why the proposed standby guardian should be
appointed.
(2) Notice. Notice of the hearing on the petition must be served on the

incapacitated persons next of kin.
(c) Petition for Confirmation.

(1) Contents. A standby guardian, not later than 20 days after the
assumption of duties as guardian, shall petition for confirmation of
appointment. The petition shall be verified by the petitioner and shall state:

(A) the petitioners residence and post office address;
(B) the name, age, and residence and post office address of the adult

incapacitated person or initials, year of birth, and residence address of
minor;

(C) the nature of the incapacity, the extent of guardianship, either
limited or plenary, and the nature and value of property subject to the
guardianship;

(D) the names and addresses of the next of kin of the incapacitated
person or minor known to the petitioner;

(E) the name and residence and post office address of the proposed



guardian, and that the proposed guardian is qualified to serve;
(F) the proposed guardians relationship to and any previous

association with the incapacitated person or minor;
(G) the reasons why appointment of the proposed guardian should be

confirmed; and
(H) if the proposed guardian is a professional guardian, a statement

that the proposed guardian has complied with the educational
requirements of section 744.2002, Florida Statutes.
(2) Service. The petition for confirmation and notice of hearing shall be

served on the incapacitated persons next of kin a reasonable time before
the hearing on the petition or other pleading seeking confirmation of the
guardian.

COMMITTEE NOTES

The standby guardian must file an oath pursuant to rule 5.600 before
commencing the exercise of authority as guardian. Prior to appointment, the
standby guardian must file an application pursuant to rule 5.590.

Section 393.12(10), Florida Statutes, provides that a guardian advocate
shall have all of the duties, responsibilities, and powers of a guardian under
Chapter 744, Florida Statutes. However, section 744.304 authorizes the
appointment of a standby guardian only for a minor or incapacitated person.

Rule History
2006 Revision: New rule.
2008 Revision: Committee notes revised.
2014 Revision: Subdivision (c)(1)(B) amended to conform to Fla. R. Gen.

Prac. & Jud. Admin. 2.425. Committee notes revised.
2016 Revision: Subdivision (c)(1)(H) amended to reflect the renumbering

of section 744.1083 to section 744.2002, Florida Statutes. Committee notes
revised.

Statutory Reference
 744.304, Fla. Stat. Standby guardianship.



Rule References
Fla. Prob. R. 5.590 Application for appointment as guardian; disclosure

statement; filing.
Fla. Prob. R. 5.600 Oath.
Fla. R. Gen. Prac. & Jud. Admin. 2.425 Minimization of the Filing of

Sensitive Information.



 Pt. III. ,  Rule 5.647. 
Fla. Prob. R. 5.647

RULE 5.647. SURROGATE GUARDIAN.
(a) Petition for Designation of Surrogate Guardian. A guardian may file

a petition to designate a surrogate guardian to exercise the powers of the
guardian if the guardian is unavailable to act. The surrogate must be a
professional guardian. The petition shall state:

(1) the name and business address of the surrogate guardian;
(2) the requested duration of the appointment; and
(3) the powers to be exercised by the surrogate guardian.

(b) Service. The petition for appointment of a surrogate guardian shall be
served on all interested persons and the ward, unless the ward is a minor.

(c) Oath. The surrogate guardian must file with the court an oath swearing
or affirming that the surrogate guardian will faithfully perform the duties
delegated.

(d) Termination. Prior to the expiration of the period granted by court
order, the guardian may terminate the authority of the surrogate guardian by
filing a written notice of the termination with the court and serving it on the
surrogate guardian.

COMMITTEE NOTES

Rule History
2006 Revision: New rule.
2008 Revision: Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.442, Fla. Stat. Delegation of authority.



 Pt. III. ,  Rule 5.648. 
Fla. Prob. R. 5.648

RULE 5.648. EMERGENCY TEMPORARY GUARDIAN.
(a) Petition for Appointment of Emergency Temporary Guardian.

Prior to appointment of a guardian but after a petition for determination of
incapacity has been filed, the alleged incapacitated person or any adult
interested in the welfare of that person may petition for the appointment of an
emergency temporary guardian of the person or property. The petition shall
be verified and shall state:

(1) the petitioners residence and post office address;
(2) the name, age, and residence and post office address of the alleged

incapacitated person;
(3) that there appears to be imminent danger that the physical or mental

health or safety of the alleged incapacitated person will be seriously
impaired or that the alleged incapacitated persons property is in danger of
being wasted, misappropriated, or lost unless immediate action is taken;

(4) the nature of the emergency and the reason immediate action must be
taken;

(5) the extent of the emergency temporary guardianship, either limited
or plenary, requested for the alleged incapacitated person, and, if known,
the nature and value of the property to be subject to the emergency
temporary guardianship;

(6) the names and addresses of the next of kin of the alleged
incapacitated person known to the petitioner;

(7) the name and residence and post office address of the proposed
emergency temporary guardian, and that the proposed emergency
temporary guardian is qualified to serve, or that a willing and qualified
emergency temporary guardian has not been located, and;

(8) the proposed emergency temporary guardians relationship to or any
previous association with the alleged incapacitated person.
(b) Notice. Notice of filing of the petition for appointment of an

emergency temporary guardian and hearing on the petition must be served on



the alleged incapacitated person and on the alleged incapacitated persons
attorney at least 24 hours before the hearing on the petition is commenced,
unless the petitioner demonstrates that substantial harm to the alleged
incapacitated person would occur if the 24-hour notice is given.

(c) Service on Public Guardian. If the petitioner requests appointment of
the public guardian as emergency temporary guardian, a copy of the petition
and notice shall be served on the public guardian.

(d) Order. The order appointing the emergency temporary guardian shall
specify the powers and duties of the emergency temporary guardian.

(e) Extension of Authority. Prior to the expiration of the authority of the
emergency temporary guardian, any interested person may file a verified
petition for extension of authority of the emergency temporary guardian. The
petition must show that the conditions that warranted the initial appointment
of the emergency temporary guardian still exist. The petition shall be served
on the wards attorney and on the emergency guardian.

(f) Final Report. An emergency temporary guardian shall file a final
report no later than 30 days after the expiration of the emergency temporary
guardianship. A copy of the final report shall be served on the successor
guardian, if any, the ward, and the wards attorney. With approval of the
court, service on the ward may be accomplished by serving the attorney for
the ward.

(1) If the emergency temporary guardian is a guardian of the property,
the final report shall consist of a verified inventory of the wards property
as of the date letters of emergency temporary guardianship were issued, a
final accounting that gives a full and correct account of the receipts and
disbursements of all the wards property over which the guardian had
control, and a statement of the property on hand at the end of the
emergency temporary guardianship.

(2) If the emergency temporary guardian is a guardian of the person, the
final report shall summarize the activities of the guardian with regard to
residential placement, medical condition, mental health and rehabilitative
services, and the social condition of the ward to the extent of the authority
granted to the emergency temporary guardian.

(3) If the emergency temporary guardian becomes the successor



guardian of the property or person of the ward, the final report must satisfy
the requirements of, and shall serve as, the initial report of the guardian of
the property or person of the ward, as the case may be, as set forth in rule
5.690.

COMMITTEE NOTES

Rule History
2007 Revision: New rule.
2015 Revision: Amended subdivision (b) to conform to statutory changes

in section 744.3031(2), Florida Statutes. Committee notes revised.
2016 Revision: Committee notes revised to reflect renumbering of section

744.344(4) to section 744.2005, Florida Statutes. Updated statutory
references.

Statutory References
 744.3031, Fla. Stat. Emergency temporary guardianship.
 744.2005, Fla. Stat. Order of appointment.
Rule References
Fla. Prob. R. 5.600 Oath.
Fla. Prob. R. 5.690 Initial Guardianship Report.



 Pt. III. ,  Rule 5.649. 
Fla. Prob. R. 5.649

RULE 5.649. GUARDIAN ADVOCATE.
(a) Petition for Appointment of Guardian Advocate. A petition to

appoint a guardian advocate for a person with a developmental disability may
be executed by an adult person who is a resident of this state. The petition
must be verified by the petitioner and must state:

(1) the name, age, and present address of the petitioner and the
petitioners relationship to the person with a developmental disability;

(2) the name, age, county of residence, and present address of the person
with a developmental disability;

(3) that the petitioner believes that the person needs a guardian advocate
and the factual information on which such belief is based;

(4) the exact areas in which the person lacks the ability to make
informed decisions about the persons care and treatment services or to
meet the essential requirements for the persons physical health or safety;

(5) the legal disabilities to which the person is subject;
(6) if authority is sought over any property of the person, a description

of that property and the reason why management or control of that
property should be placed with a guardian advocate;

(7) the name of the proposed guardian advocate, the relationship of the
proposed guardian advocate to the person with a developmental disability,
the relationship of the proposed guardian advocate with the providers of
health care services, residential services, or other services to the person
with developmental disabilities, and the reason why the proposed guardian
advocate should be appointed. If a willing and qualified guardian advocate
cannot be located, the petition must so state;

(8) whether the petitioner has knowledge, information, or belief that the
person with a developmental disability has executed a designation of
health care surrogate or other advance directive under chapter 765, Florida
Statutes, or a durable power of attorney under chapter 709, Florida
Statutes, and if the person with a developmental disability has executed



any of the foregoing documents, an explanation as to why the documents
are insufficient to meet the needs of the individual; and

(9) whether the petitioner has knowledge, information, or belief that the
person with a developmental disability has a preneed guardian designation.
(b) Notice.

(1) Notice of the filing of the petition must be given to the person with a
developmental disability, both verbally and in writing, in the language of
the person and in English. Notice must also be given to the person with a
developmental disabilitys next of kin, any designated health care
surrogate, an agent designated in a durable power of attorney, and such
other persons as the court may direct. A copy of the petition to appoint a
guardian advocate must be served with the notice.

(2) The notice must state that a hearing will be held to inquire into the
capacity of the person with a developmental disability to exercise the rights
enumerated in the petition. The notice must also state the date of the
hearing on the petition.

(3) The notice must state that the person with a developmental disability
has the right to be represented by counsel of the persons own choice and
the court must initially appoint counsel.
(c) Counsel. Within 3 days after a petition has been filed, the court must

appoint an attorney to represent a person with a developmental disability who
is the subject of a petition to appoint a guardian advocate. The person with a
developmental disability may substitute his or her own attorney for the
attorney appointed by the court.

(d) Order. If the court finds the person with a developmental disability
requires the appointment of a guardian advocate, the order appointing the
guardian advocate must contain findings of facts and conclusions of law,
including:

(1) the nature and scope of the persons inability to make decisions;
(2) the exact areas in which the person lacks ability to make informed

decisions about care and treatment services or to meet the essential
requirements for the individuals physical health and safety;

(3) if any property of the person is to be placed under the management



or control of the guardian advocate, a description of that property, any
limitations as to the extent of such management or control, and the reason
why management or control by the guardian advocate of that property is in
the best interest of the person;

(4) if the person has executed a designation of health care surrogate,
other advance directive, or durable power of attorney, a determination as to
whether the documents sufficiently address the needs of the person and a
finding that the advance directive or durable power of attorney does not
provide an alternative to the appointment of a guardian advocate that
sufficiently addresses the needs of the person with a developmental
disability;

(5) if a durable power of attorney exists, the powers of the agent, if any,
that are suspended and granted to the guardian advocate;

(6) if an advance directive exists and the court determines that the
appointment of a guardian advocate is necessary, the authority, if any, the
guardian advocate exercises over the health care surrogate;

(7) the specific legal disabilities to which the person with a
developmental disability is subject;

(8) the name of the person selected as guardian advocate; and
(9) the powers, duties, and responsibilities of the guardian advocate,

including bonding of the guardian advocate as provided by law.
(e) Issuance of Letters. Upon compliance with all of the foregoing, letters

of guardian advocacy must be issued to the guardian advocate.

COMMITTEE NOTES

Rule History
2008 Revision: New rule.
2013 Revision: New subdivisions (a)(6) and (d)(3) added to address

situations in which the guardian advocate will have authority over the
property of the person with a developmental disability. New subdivision (e)
added to provide for the issuance of letters of guardian advocacy. Editorial
changes to subdivisions (a)(7) and (b)(3). Editorial changes to conform to the



courts guidelines for rules submissions as set forth in AOSC06-14.
2019 Revision: Subdivisions (b)(1) and (d)(5) amended to change

attorney-in-fact to agent to be consistent with chapter 709, Florida
Statutes. Committee notes updated to reflect the legislative amendments to
chapter 709, Florida Statutes.

2020 Revision: Amends subdivision (a)(8) to address the Judicial
Management Council Guardianship Workgroup Final Report dated June 15,
2018, Focus Area 1, Recommendation 3, by requiring an explanation if there
are less restrictive alternatives to guardianship, but they are not sufficient to
meet the needs of the person with a developmental disability. Adds a new
subdivision (a)(9) to address the Judicial Management Council Guardianship
Workgroup Final Report dated June 15, 2018, Focus Area 1,
Recommendation 4, by requiring a statement of the petitioners knowledge of
any preneed guardian designation. Committee notes revised.

Statutory References
 393.063(9), Fla. Stat. Definitions.
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 709.2101-709.2402, Fla. Stat. Florida Power of Attorney Act.
 709.2019, Fla. Stat. Termination or suspension of power of attorney or

agents authority.
 744.3045, Fla. Stat. Preneed guardian.
 765.101, Fla. Stat. Definitions.
 765.104, Fla. Stat. Amendment or revocation.
 765.202, Fla. Stat. Designation of a health care surrogate.
 765.204, Fla. Stat. Capacity of principal; procedure.
 765.205(3), Fla. Stat. Responsibility of the surrogate.
 765.302, Fla. Stat. Procedure for making a living will; notice to

physician.
 765.401, Fla. Stat. The proxy.
Rule References



Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.540 Hearings.
Fla. Prob. R. 5.681 Restoration of rights of person with developmental

disability.



 Pt. III. ,  Rule 5.650. 
Fla. Prob. R. 5.650

RULE 5.650. RESIGNATION OR DISQUALIFICATION OF
GUARDIAN; APPOINTMENT OF SUCCESSOR.

(a) Resignation and Petition for Discharge. A guardian seeking to resign
shall file a resignation and petition for discharge.

(b) Contents. The resignation and petition for discharge shall state:
(1) that the guardian wishes to resign and be relieved of all duties as

guardian;
(2) the amount of compensation to be paid to the guardian and to the

attorneys, accountants, or other agents employed by the guardian; and
(3) the names and addresses of the successor guardian and the successor

guardians attorney, or that a successor guardian has not yet been
appointed or duly qualified.
(c) Final Report. A resigning guardian of the property shall file a final

report showing receipts, disbursements, amounts reserved for unpaid and
anticipated costs and fees, and other relevant financial information from the
date of the previous annual accounting, and a list of assets to be turned over
to the successor guardian.

(d) Notice. A notice shall be served stating that:
(1) any objection shall be in writing and shall state with particularity

each item to which the objection is directed and the grounds on which the
objection is based;

(2) any objection to the resignation, petition for discharge, or final report
shall be filed within 30 days from the date of service of the petition for
discharge; and

(3) within 90 days after filing of the objection, a notice of hearing
thereon shall be served or the objection is abandoned.
(e) Service. A copy of the resignation, petition for discharge, final report,

and notice of resignation and petition for discharge shall be served on the
ward, any surety on the guardians bond, any successor guardian, and such



other persons as the court may direct.
(f) Objections. Objections shall be in the form and be filed within the time

set forth in the notice of resignation and petition for discharge. A copy of the
objections shall be served by the objector on the ward, all guardians, any
surety on the guardians bond, and any successor guardian.

(g) Disposition of Objections. Any interested person may set a hearing on
the objections. Notice of the hearing shall be served on the guardian, the
successor guardian, if any, and any other interested persons. If a notice of
hearing on the objections is not served within 90 days of filing of the
objections, the objections will be deemed abandoned.

(h) Discharge. The guardians resignation shall not be accepted and the
guardian shall not be discharged until all objections have been withdrawn,
abandoned, or judicially resolved and a successor guardian has been
appointed and duly qualified. After all objections have been withdrawn,
abandoned, or judicially resolved, if the court is satisfied that the resigning
guardian has faithfully discharged the duties of the guardianship and the
interests of the ward are protected, and the resigning guardian of the property
has delivered the assets of the ward, all guardianship records, and all money
due to the ward from the guardian to the remaining or successor guardian, the
court shall enter an order accepting resignation of guardian and granting
discharge.

(i) Disqualification. Any guardian who is improperly appointed, or who
becomes disqualified to act after appointment, shall immediately file a
resignation and petition for discharge and proceed in accordance with this
rule.

(j) Nonresident Guardians. Nonresident guardians appointed before
October 1, 1989, shall not be automatically disqualified to serve and shall not
be required to resign and initiate their own removal.

(k) Guardian Advocates. This rule shall apply to guardian advocates,
except that a final report shall be required of a guardian advocate only if the
guardian advocates authority included the management of the property of the
person with a developmental disability.

COMMITTEE NOTES



Rule History
1975 Revision: Substantially the same as sections 744.467 and 744.471,

Florida Statutes, with editorial changes.
1977 Revision: No change in rule. Change in committee note to conform to

statutory renumbering.
1988 Revision: Editorial changes in (a). Text of rule 5.590 inserted in (b).

Editorial change in (c). Captions added to subdivisions. Committee notes
revised. Citation form changes in committee notes.

1989 Revision: Prior rule deleted and replaced by temporary emergency
rule.

1991 Revision: Substantial revision of entire rule to harmonize with
procedure for termination of guardianship under rules 5.670 and 5.680.
Subdivision (k) transferred from temporary emergency rule 5.800.

1992 Revision: Committee notes revised. Citation form changes in
committee notes.

2007 Revision: Subdivision (i) deleted because right of waiver is
substantive. Subsequent subdivisions relettered.

2008 Revision: Subdivision (k) added to include guardian advocates.
Committee notes revised.

2012 Revision: Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.102(11), Fla. Stat. Definitions.
 744.3085, Fla. Stat. Guardian advocates.
 744.467, Fla. Stat. Resignation of guardian.
 744.471, Fla. Stat. Appointment of successor.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.



Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. Prob. R. 5.681 Restoration of rights of person with developmental

disability.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.660. 
Fla. Prob. R. 5.660

RULE 5.660. PROCEEDINGS FOR REMOVAL OF GUARDIAN.
(a) Notice. Proceedings for removal of a guardian may be instituted by a

court, by any surety or other interested person, or by the ward, and formal
notice of the petition for removal of a guardian must be served on all
guardians, other interested persons, next of kin, and the ward. The pleading
must state with particularity the reasons why the guardian should be
removed.

(b) Accounting. A removed guardian must file with the court an
accounting for the guardianship within 20 days after the guardians removal.
A copy of the accounting must be served on the successor guardian and the
ward, unless the ward is a minor or has been determined to be totally
incapacitated.

(c) Transfer of Property and Records. The removed guardian (or the
guardians heirs, personal representative, or surety) must turn over all the
property of the ward in the removed guardians control and all guardianship
records to the duly qualified successor. The successor guardian must, or the
ward may, demand of the removed guardian (or the guardians heirs, personal
representative, or surety) all of those items.

(d) Failure to Comply. If a removed guardian fails to file a true, complete,
and final accounting for the guardianship or to turn over to the successor all
property of the ward in the removed guardians control and all guardianship
records, the court must issue a show-cause order.

(e) Guardian Advocates. Subdivisions (b) through (d) of this rule apply to
guardian advocates only to the extent that the guardian advocate was granted
authority over the property of the person with a developmental disability.

COMMITTEE NOTES

Rule History
1977 Revision: No change in rule. Change in committee notes to conform

to statutory renumbering.



1980 Revision: Subdivision (a) amended to specifically authorize any
guardian or next of kin to file the petition and to require formal notice in
conformity with rule 5.630(b).

1984 Revision: Subdivision (b) amended to conform to statute. Editorial
changes and committee notes revised.

1988 Revision: Subdivision (a) rewritten for clarity. Language in (b)
deleted as surplusage. Editorial change in caption of (c). Committee notes
revised. Citation form change in committee notes.

1989 Revision: Prior rule deleted and replaced by temporary emergency
rule.

1991 Revision: Subdivision (a) amended to require that the petition allege
specific reasons why the guardian should be removed and to require service
of the petition on the ward. Otherwise, editorial changes in all subdivisions.

1992 Revision: Citation form changes in committee notes.
2006 Revision: Requirement in (b) to serve minors deleted to conform to

2006 amendment to section 744.511, Florida Statutes.
2008 Revision: Subdivision (e) added to include guardian advocates.

Committee notes revised.
2012 Revision: Committee notes revised.
2013 Revision: Subdivision (b) revised to conform to section 744.511,

Florida Statutes. Committee notes revised. Editorial changes to conform to
the courts guidelines for rules submissions as set forth in AOSC06-14.

Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.3085, Fla. Stat. Guardian advocates.
 744.474, Fla. Stat. Reasons for removal of guardian.
 744.477, Fla. Stat. Proceedings for removal of a guardian.
 744.511, Fla. Stat. Accounting upon removal.
 744.514, Fla. Stat. Surrender of assets upon removal.
 744.517, Fla. Stat. Proceedings for contempt.



Rule References
Fla. Prob. R. 5.025 Adversary proceedings.
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.649 Guardian advocate.
Fla. R. Gen. Prac. & Jud. Admin. 2.420 Public access to judicial branch

records.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.670. 
Fla. Prob. R. 5.670

RULE 5.670. TERMINATION OF GUARDIANSHIP ON CHANGE OF
DOMICILE OF RESIDENT WARD.

(a) Petition for Discharge. The Florida guardian may file a petition for
discharge when the domicile of a resident ward has changed to a foreign
jurisdiction, the foreign court having jurisdiction over the ward at the wards
new domicile has appointed a foreign guardian, and the foreign guardian has
qualified and posted a bond in the amount required by the foreign court.

(b) Contents of Petition. The petition for discharge shall state:
(1) that the grounds set forth in subdivision (a) have occurred;
(2) that the guardian has fully administered the Florida guardianship;

and
(3) the amount of compensation to be paid to the guardian and to the

attorneys, accountants, or other agents employed by the guardian.
(c) Final Report. The Florida guardian of the property shall file a final

report showing receipts, disbursements, amounts reserved for unpaid and
anticipated costs and fees, and other relevant financial information from the
date of the previous annual accounting, and a list of the assets to be turned
over to the foreign guardian.

(d) Notice. The Florida guardian of the property shall publish a notice as
required by law, which shall state:

(1) the name of the ward;
(2) the file number of the guardianship;
(3) the designation and address of the court;
(4) the name and address of the guardian and the guardians attorney;
(5) the name and address of the foreign guardian and the foreign

guardians attorney, if any;
(6) the date of first publication;
(7) that a petition for discharge has been filed upon the grounds of



change of domicile of the ward;
(8) the date the guardian will apply for discharge;
(9) that the jurisdiction of the ward will be transferred to the foreign

jurisdiction;
(10) that any objection shall be in writing and shall state with

particularity each item to which the objection is directed and the grounds
on which the objection is based;

(11) that any objection to the final report or the petition for discharge
shall be filed within the later of 30 days from the date of service of the
petition for discharge or the date of first publication of the notice; and

(12) that within 90 days after filing of the objection, a notice of hearing
thereon shall be served or the objection is abandoned.
(e) Service. A copy of the petition for discharge and of the notice of

petition for discharge shall be served on the foreign guardian and such other
persons as the court may direct.

(f) Objections. Objections shall be in the form and be filed within the time
set forth in the notice of petition for discharge. A copy of the objections shall
be served by the objector on the Florida guardian and the foreign guardian.

(g) Disposition of Objections. Any interested person may set a hearing on
the objections. Notice of the hearing shall be served on the Florida guardian,
the foreign guardian, and any other interested persons. If a notice of hearing
on the objections is not served within 90 days of filing of the objections, the
objections will be deemed abandoned.

(h) Discharge. The Florida guardian may not be discharged until all
objections have been withdrawn, abandoned, or judicially resolved. After all
objections have been withdrawn, abandoned, or judicially resolved, if the
court is satisfied that the Florida guardian has faithfully discharged the duties
of the guardianship and the interests of the ward are protected, and the
Florida guardian of the property has delivered the assets of the ward to the
foreign guardian, the court shall enter an order of discharge.

COMMITTEE NOTES



Rule History
1977 Revision: Change in committee notes to conform to statutory

renumbering.
1984 Revision: Adds 30-day requirement for filing objections. Editorial

changes and committee notes revised.
1988 Revision: Editorial change in (c). First and last sentences of (d)

deleted and clarifying word added.
1989 Revision: Prior rule adopted as temporary emergency rule.
1991 Revision: Substantial revision of entire rule to harmonize with

procedure for discharge of guardian under rule 5.680 and to conform to
section 744.524, Florida Statutes.

1992 Revision: Committee notes revised. Citation form changes in
committee notes.

2007 Revision: Subdivision (i) deleted because right of waiver is
substantive. Committee notes revised.

2008 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
2016 Revision: Updated statutory references. Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.102(8), (9), Fla. Stat. Definitions.
 744.1096, Fla. Stat. Domicile of ward.
 744.1097, Fla. Stat. Venue.
 744.1098, Fla. Stat. Change of wards residence.
 744.524, Fla. Stat. Termination of guardianship on change of domicile of

resident ward.
 744.531, Fla. Stat. Order of discharge.
Rule References



Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.680 Termination of guardianship.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.680. 
Fla. Prob. R. 5.680

RULE 5.680. TERMINATION OF GUARDIANSHIP.
(a) Petition for Discharge. When the ward has become sui juris, has

terminated a voluntary guardianship, has been restored to capacity, has had
all rights restored, or has died, or when the guardian has been unable to locate
the ward after diligent search, or, for a guardian of the property, when the
property subject to the guardianship has been exhausted, the guardian shall
file a petition for discharge. A guardian of the person is discharged without
further proceeding upon filing a certified copy of the wards death certificate.

(b) Contents of Petition. The petition for discharge shall state:
(1) the reason for termination of the guardianship;
(2) that the guardian has fully administered the guardianship; and
(3) the amount of unpaid and anticipated costs and fees to be paid to the

guardian and to the attorneys, accountants, or other agents employed by the
guardian.
(c) Final Report. The guardian of the property shall promptly file a final

report. If the ward has died, the guardian must file the report no later than 45
days after he or she has been served with letters of administration, letters of
curatorship, or an order of summary administration. The report shall show
receipts, disbursements, amounts reserved for unpaid and anticipated
disbursements, costs, and fees, including the amounts set forth in subdivision
(b)(3), and other relevant financial information from the date of the previous
annual accounting, and a list of the assets to be turned over to the person
entitled to them.

(d) Notice. A notice shall be served stating:
(1) that any objection shall be in writing and shall state with particularity

each item to which the objection is directed and the grounds on which the
objection is based;

(2) that any objection to the final report or the petition for discharge
shall be filed within 30 days from the date of service of the petition for
discharge; and



(3) that within 90 days after filing of the objection, a notice of hearing
thereon shall be served or the objection is abandoned.
(e) Service. The guardian applying for discharge shall serve a copy of the

petition for discharge and final report on the ward, on the personal
representative of a deceased ward, or if there are no assets justifying
qualification of a personal representative for the estate of a deceased ward, on
the known next of kin of the deceased ward, or such other persons as the
court may direct; provided, however, that a guardian of the property who is
subsequently appointed personal representative shall serve a copy of the
petition for discharge and final report on all beneficiaries of the wards estate.

(f) Objections. All persons served shall have 30 days to file objections to
the petition for discharge and final report. The objections shall state with
particularity the items to which the objections are directed and shall state the
grounds on which the objections are based. Copies of the objections shall be
served by the objector on the guardian. Any interested person may set a
hearing on the objections. Notice of the hearing shall be served on the
guardian and any other interested persons. If a notice of hearing on the
objections is not served within 90 days of filing of the objections, the
objections will be deemed abandoned. The guardian may not be discharged
until all objections have been withdrawn, abandoned, or judicially resolved,
and the petition for discharge of the guardian is granted by the court.

(g) Discharge. The guardian may not be discharged until all objections are
withdrawn, abandoned, or judicially resolved. After all objections are
withdrawn, abandoned, or judicially resolved, and if it appears that the
guardian has paid all amounts reserved to the persons entitled to them and has
made full and complete distribution of the wards assets to the persons
entitled to them and has otherwise faithfully discharged the duties of the
guardian, the court shall grant the petition for discharge and enter an order of
discharge. If objections are filed and are not withdrawn, abandoned, or
judicially resolved, the court shall conduct a hearing in the same manner as
for a hearing on objections to annual guardianship plans. After hearing, if the
court is satisfied that the guardian has faithfully discharged the duties of the
guardianship and the interests of the ward are protected, and the guardian has
rendered a complete and accurate final report and has delivered the assets of
the ward to the person entitled to them, the court shall enter an order of
discharge.



COMMITTEE NOTES

Rule History
1975 Revision: Implements sections 744.527 and 744.531, Florida

Statutes, and also requires the guardian applying for discharge to do so by
filing a petition for discharge and provides the procedure pertaining thereto.

1977 Revision: No change in rule. Change in committee note to conform to
statutory renumbering.

1988 Revision: Captions added to subdivisions. Committee notes revised.
Citation form changes in committee notes.

1989 Revision: Prior rule deleted and replaced by temporary emergency
rule.

1991 Revision: Substantial revision of entire rule to harmonize with
procedure for discharge of personal representatives under rules 5.400 and
5.401.

1992 Revision: Committee notes revised. Citation form changes in
committee notes.

1996 Revision: Editorial changes to clarify that all anticipated costs and
fees should be shown on final report and thereafter paid prior to transfer of
assets and discharge of guardian.

2003 Revision: Subdivision (a) amended to reflect addition of rule 5.552
dealing with voluntary guardianship of property. Committee notes revised.

2006 Revision: Subdivision (c) amended to conform to 2006 amendments
to section 744.527, Florida Statutes. Subdivision (h) deleted as unnecessary
because substantive right of waiver is provided by section 731.302, Florida
Statutes.

2008 Revision: Reference to restoration of rights added in subdivision (a).
Committee notes revised.

2012 Revision: Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.



 744.521, Fla. Stat. Termination of guardianship.
 744.527, Fla. Stat. Final reports and application for discharge; hearing.
 744.528, Fla. Stat. Discharge of guardian named as personal

representative.
 744.531, Fla. Stat. Order of discharge.
 744.534, Fla. Stat. Disposition of unclaimed funds held by guardian.
Rule References
Fla. Prob. R. 5.040 Notice.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.552 Voluntary guardianship of property.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.681 Restoration of rights of person with developmental

disability.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.681. 
Fla. Prob. R. 5.681

RULE 5.681. RESTORATION OF RIGHTS OF PERSON WITH
DEVELOPMENTAL DISABILITY.

(a) Suggestion of Restoration of Rights. A suggestion of restoration of
rights of a person with a developmental disability may be executed by any
interested person, including the person with a developmental disability. The
suggestion must contain:

(1) a statement that the person with a developmental disability is capable
of exercising some or all of the rights that were granted to the guardian
advocate;

(2) evidentiary support for the filing as provided by law; and
(3) the name and address of the attorney representing the person with a

developmental disability, if any, known to the petitioner.
(b) Counsel. Within 3 days after the suggestion has been filed, the court

must appoint an attorney to represent a person with a developmental
disability who is not then represented by counsel as stated in the suggestion.

(c) Notice. Upon filing of the suggestion, if the name and address of the
attorney representing the person with a developmental disability is listed in
the suggestion, or upon the appointment of counsel, if no name and address
of an attorney are listed in the suggestion, the clerk must immediately send
notice of the filing of the suggestion, together with a copy of the suggestion,
to the person with a developmental disability, the persons guardian advocate,
the persons attorney, the attorney for the guardian advocate, if any, and any
other interested person as directed by the court. The notice must contain a
statement that all objections to the suggestion must be filed within 20 days
after service of the notice. Formal notice must be served on the guardian
advocate. Informal notice may be served on the other persons. Notice need
not be served on the petitioner. The clerk must file proof of service.

(d) Objections. Any objection must be in writing and must state with
particularity each item to which the objection is directed and the grounds on
which the objection is based. The objector must serve notice of hearing on
the objection and a copy of the objection on the person with the



developmental disability, the persons attorney, the persons guardian
advocate, the attorney for the guardian advocate, if any, the next of kin of the
person with a developmental disability, and any other interested persons as
directed by the court.

(e) Order. The court must enter an order denying the suggestion or
restoring all or some of the rights that were granted to the guardian advocate.
If only some rights are restored to the person with a developmental disability,
the order must state which rights are restored and amend the letters of
guardian advocacy accordingly. The court need not hold a hearing prior to
entering an order restoring rights if no objections are filed and the court is
satisfied with the evidentiary support for restoration supplied by the
petitioner.

(f) Additional Requirements. If personal rights are restored, the guardian
advocate must file an amended plan within 60 days after the order restoring
rights. If all property rights are restored, a guardian advocate previously
granted management or control over property must file a final accounting
within 60 days after the order restoring rights. A copy of any amended plan
and accounting must be promptly served on the person with a developmental
disability and the persons attorney.

COMMITTEE NOTES

Rule History
2008 Revision: New rule.
2013 Revision: Substantial revisions to reflect the designation of the

pleading as a Suggestion of Restoration of Rights; the requirement for a
statement of evidentiary support, the identification and address of the
attorney for the person with a developmental disability; procedures for
service of objections; clarification of requirements following a restoration of
rights; and editorial changes. Editorial changes to conform to the courts
guidelines for rule submissions as set forth in AOSC06-14.

2019 Revision: Committee notes updated to reflect the legislative
amendments to chapter 709, Florida Statutes.

Statutory References



 393.063(9), Fla. Stat. Definitions.
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 709.2101-709.2402, Fla. Stat. Florida Power of Attorney Act.
 765.101, Fla. Stat. Definitions.
 765.104, Fla. Stat. Amendment or revocation.
 765.202, Fla. Stat. Designation of a health care surrogate.
 765.204, Fla. Stat. Capacity of principal; procedure.
 765.205(3), Fla. Stat. Responsibility of the surrogate.
 765.302, Fla. Stat. Procedure for making a living will; notice to

physician.
 765.401, Fla. Stat. The proxy.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.540 Hearings.
Fla. Prob. R. 5.541 Recording of hearings.
Fla. Prob. R. 5.680 Termination of guardianship.



 Pt. III. ,  Rule 5.685. 
Fla. Prob. R. 5.685

RULE 5.685. DETERMINATION REGARDING ALTERNATIVES TO
GUARDIANSHIP.

(a) Reporting by Guardian. The guardian shall promptly file a report
attaching a copy of a final order or judgment that determines the validity of a
wards durable power of attorney, trust, or trust amendment.

(b) Petition. At any time after the appointment of a guardian, the guardian,
the ward, the wards attorney, if any, or any other interested person may file a
verified petition stating that there is an alternative to guardianship that will
sufficiently address the problems of the ward.

(c) Contents of Petition. The petition to determine alternatives to
guardianship shall state:

(1) the petitioners interest in the proceeding; and
(2) the facts constituting the basis for the relief sought and that the

proposed alternative to guardianship will sufficiently address the problems
of the ward and is in the wards best interest.
(d) Service. The petition shall be served on the guardian, the ward, the

wards attorney, if any, those interested persons who have filed requests for
notices and copies of pleadings, and such other persons as the court may
direct.

(e) Order. The order shall specify whether there is an alternative to
guardianship that will sufficiently address the problems of the ward, the
continued need for a guardian, and the extent of the need for delegation of the
wards rights.

COMMITTEE NOTES

Rule History
2006 Revision: New rule.
Statutory References
 744.331, Fla. Stat. Procedures to determine incapacity.



 744.462, Fla. Stat. Determination regarding alternatives to guardianship.



 Pt. III. ,  Rule 5.690. 
Fla. Prob. R. 5.690

RULE 5.690. INITIAL GUARDIANSHIP REPORT.
(a) Contents and Filing. An initial guardianship report shall be filed

within 60 days after the issuance of letters of guardianship. The guardian of
the property shall file the initial guardianship report consisting of the verified
inventory. The guardian of the person shall file the initial guardianship report
consisting of the guardianship plan.

(b) Service. Copies of the initial guardianship report shall be served on the
ward, unless the ward is a minor under the age of 14 years or is totally
incapacitated, and the attorney for the ward, if any. With approval of the
court, service on the ward may be accomplished by serving the attorney for
the ward.

COMMITTEE NOTES

The committee recognizes the conflict between this rule and section
744.362, Florida Statutes, which requires the filing of the initial guardianship
report (which includes the inventory) within 60 days after appointment. The
committee believes this provision, which attempts to regulate when a
document must be filed with the court, is procedural and that a guardian may
not receive letters of guardianship empowering the guardian to act
contemporaneously with the appointment. Therefore, the issuance of letters is
a more practical time from which to measure the beginning of the time period
for the accomplishment of this act.

In the event the guardian of the property and the guardian of the person are
not the same entity or person, they shall make a good faith effort to jointly
file the initial guardianship report.

Rule History
1991 Revision: New rule.
1992 Revision: Addition of phrase in subdivision (b) to conform to 1992

amendment to section 744.362(1), Florida Statutes. Citation form changes in
committee notes.



2012 Revision: Committee notes revised.
2016 Revision: Committee notes revised.
Statutory References
 744.362, Fla. Stat. Initial guardianship report.
 744.363, Fla. Stat. Initial guardianship plan.
 744.365, Fla. Stat. Verified inventory.
 744.3701, Fla. Stat. Inspection of report.
 744.384, Fla. Stat. Subsequently discovered or acquired property.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.620 Inventory.
Fla. Prob. R. 5.700 Objection to guardianship reports.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.695. 
Fla. Prob. R. 5.695

RULE 5.695. ANNUAL GUARDIANSHIP REPORT.
(a) Contents and Filing.

(1) Guardian of the Person. Unless the court requires reporting on a
calendar-year basis, the guardian of the person shall file an annual
guardianship plan within 90 days after the last day of the anniversary
month in which the letters of guardianship were signed. The plan shall
include the mailing address, phone number, and e-mail address of the
guardian, and:

(A) the residence address of an individual guardian; or
(B) the office address of a corporate or public guardian.

The plan must cover the coming fiscal year ending on the last day of such
anniversary month. If the court requires calendar-year reporting, the
guardianship plan for the forthcoming year must be filed on or before April
1 of each year.

(2) Guardian of the Property. Unless the court requires or authorizes
reporting on a fiscal year basis, the guardian of the property shall file an
annual accounting on or before April 1 of each year. The plan shall include
the mailing address, phone number, and e-mail address of the guardian,
and:

(A) the residence address of an individual guardian; or
(B) the office address of a corporate or public guardian.

The annual accounting shall cover the preceding annual accounting period.
If the court requires or authorizes reporting on a fiscal year basis, the
annual accounting shall be filed on or before the first day of the fourth
month after the end of the fiscal year.
(b) Service. Copies of the annual plan and accounting shall be served on

the ward, unless the ward is a minor or is totally incapacitated, and the
attorney for the ward, if any. With the approval of the court, service on the
ward may be accomplished by serving the attorney for the ward. The
guardian shall serve copies on such other persons as the court may direct.



COMMITTEE NOTES

The annual guardianship report consists of the annual plan for the guardian
of the person and the annual accounting for the guardian of the property.

For annual guardianship reports regarding minors, see rule 5.555.
With approval of the court, service on the ward may be accomplished by

service on the attorney for the ward, if any. The committee was concerned
that actual service on a ward of the accounting or guardianship plan may give
uninterested persons access to financial or personal information to the
detriment of the ward. The committee believes that under such circumstances,
the guardian of the property could seek an order under section 744.371(5),
Florida Statutes, even if the wards circumstances were set out in detail in a
pleading other than the annual guardianship report. Such court order may be
sought in appropriate circumstances at the time of the initial hearing to
determine incapacity.

Rule History
1975 Revision: Substantially the same as section 744.427(1), (2), and (4),

Florida Statutes, and section 744.437, Florida Statutes, with editorial changes
and providing for the waiving, by a ward who has become sui juris or by the
personal representative of a deceased ward, of the filing of an annual
accounting. The rule requires the guardian of the property of a ward to appear
before the court at the time he files his annual accounting or at such time the
court shall determine in order that the court may inquire as to any matter
relating to the physical and financial well-being of the ward. This appears to
be in conflict with section 744.437, Florida Statutes, which refers to every
guardian but in the same sentence it refers to at the time the guardian files
his annual return and only the guardian of the property is required to file an
annual accounting.

1977 Revision: No change in rule. Change in committee note to conform to
statutory renumbering.

1980 Revision: Subdivision (e) amended to avoid conflict with statutory
changes in section 744.437, Florida Statutes (1979).

1988 Revision: Matter in (b) deleted; covered in sections 744.427(2) and
744.434, Florida Statutes. Subdivision (c) deleted; covered in section



744.427(4), Florida Statutes. Captions added to subdivisions. Committee
notes revised. Citation form changes in committee notes.

1989 Revision: Prior rule deleted and replaced by temporary emergency
rule.

1991 Revision: Substantial changes and rule renumbered.
1992 Revision: Addition of language in subdivisions (a)(1) and (a)(2) to

implement 1992 amendments to sections 744.367(1) and (2), Florida Statutes.
Committee notes revised. Citation form changes in committee notes.

2006 Revision: Requirement in (b) to serve minors age 14 and above
deleted to conform to amendment to section 744.367(3), Florida Statutes.
Committee notes revised.

2012 Revision: Committee notes revised.
2015 Revision: Subdivision (a)(1) amended to conform to statutory

changes in section 744.367(1), Florida Statutes. Committee notes revised.
2017 Revision: Subdivision (a)(1) amended to conform to statutory

changes regarding reporting deadline in section 744.367(1), Florida Statutes.
Committee notes revised.

2019 Revision: Subdivisions (a)(1) and (a)(2) amended to require
guardians contact information.

Statutory References
 744.367, Fla. Stat. Duty to file annual guardianship report.
 744.3675, Fla. Stat. Annual guardianship plan.
 744.3678, Fla. Stat. Annual accounting.
 744.3685, Fla. Stat. Order requiring guardianship report; contempt.
 744.3701, Fla. Stat. Inspection of report.
 744.371, Fla. Stat. Relief to be granted.
 744.3735, Fla. Stat. Annual appearance of the guardian.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.



Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.552 Voluntary guardianship of property.
Fla. Prob. R. 5.555 Guardianships of minors.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.700 Objection to guardianship reports.
Fla. Prob. R. 5.800(b) Application of revised chapter 744 to existing

guardianships.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.696. 
Fla. Prob. R. 5.696

RULE 5.696. GUARDIAN ACCOUNTING.
(a) Applicability. This rule applies to all guardian accountings required

under Chapter 744, Florida Statutes, other than a simplified accounting
permitted under section 744.3679, Florida Statutes.

(b) Contents. A guardian accounting shall include:
(1) a statement of the starting balance of assets on hand at the beginning

of the accounting period which shall be the ending balance of the
preceding accounting, or if none, the value of assets on the inventory;

(2) a full and correct account of the receipts and disbursements of all of
the wards property over which the guardian has control since the date of
the last accounting or, if none, from the date of issuance of letters of
guardianship;

(3) a schedule of assets at the end of the accounting period; and
(4) in the case of annual accountings, a copy of the annual or year-end

statement of all of the wards cash accounts from each of the institutions
where the cash is deposited.
(c) Accounting Standards. The following standards are required for the

accounting of all transactions occurring on or after January 1, 2017:
(1) Accountings shall be stated in a manner that is understandable to

persons who are not familiar with practices and terminology peculiar to the
administration of guardianships.

(2) The accounting shall begin with a concise summary of its purpose
and content.

(3) The accounting shall contain sufficient information disclosing all
significant transactions affecting administration during the accounting
period.

(4) The accounting shall contain 2 values in the schedule of assets at the
end of the accounting period, the asset acquisition value or carrying value,
and estimated current value.



(5) Gains and losses incurred during the accounting period shall be
shown separately in the same schedule.
(d) Accounting Format. A model format for an accounting is attached to

this rule as Appendix A.
(e) Verification. All accountings shall be verified by the guardian filing

the accounting.
(f) Substantiating Documents. Unless otherwise ordered by the court, the

guardian need not file the documents substantiating the guardian accounting.
Upon reasonable written request, the guardian of the property shall make the
substantiating documents available for examination to persons entitled to
receive or inspect the guardian accounting.

(g) Interim Inspection of Records. Upon reasonable written request and
notice, the guardian of the property shall make all material financial records
pertaining to the guardianship available for inspections to those persons
entitled to receive or inspect the guardian accounting.

COMMITTEE NOTES

The purpose of this substantial revision is for guardian accountings to
conform to rule 5.346 and the Fiduciary Accounting Principles and Model
Formats and commentaries incorporated into rule 5.346. As set forth in
subdivision (b)(1), the starting balance shall be the ending balance of the
preceding accounting, or if none, the value of assets on the inventory.

Attached, as Appendix A, is a model accounting format which is only a
suggested form.

Rule History
1991 Revision: New rule.
1992 Revision: Citation form changes in committee notes.
2010 Revision: Editorial change in (b) to delete redundant language.
2012 Revision: Committee notes revised.
2013 Revision: Subdivision (b) revised to substitute documents for

papers. Committee notes revised. Editorial changes to conform to the
courts guidelines for rule submissions as set forth in AOSC06-14.



2016 Revision: Substantial rule revision. Committee notes revised.
Appendix A adopted.

Statutory References
 744.367, Fla. Stat. Duty to file annual guardianship report.
 744.3678, Fla. Stat. Annual accounting.
 744.3701, Fla. Stat. Inspection of report.
 744.3735, Fla. Stat. Annual appearance of the guardian.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.346 Fiduciary Accounting.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. Prob. R. 5.695 Annual guardianship report.
Fla. Prob. R. 5.700 Objection to guardianship reports.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.696. 
Fla. Prob. R. Fla. Prob. R., Pt. III,  5.696

RULE 5.696. APPENDIX A
IN THE CIRCUIT COURT FOR _________ COUNTY, FLORIDA

IN RE: GUARDIANSHIP OF

The purpose of this accounting is to report the assets on hand
at the beginning of the accounting period, all transactions that
have occurred during the period covered by the accounting, and
the assets that remain on hand at the end of the accounting
period. It consists of a SUMMARY sheet and Schedule A
showing all Receipts, Schedule B showing all Disbursements,
Schedule C showing all Capital Transactions and Adjustments
(the effect of which are also reflected in other schedules, if
appropriate), and Schedule D showing assets on hand at the end
of the accounting period.

Under penalties of perjury, the undersigned guardian(s)
declare(s) that I (we) have read and examined this accounting
and that the facts and figures set forth in the Summary and the
attached Schedules are true, to the best of my (our) knowledge
and belief, and that it is a complete report of all cash and
property transactions and of all receipts and disbursements by
me (us) as guardian(s) of _____________________, the ward,
from, ______________________ through
___________________, _________.

Signed on _____________________, _________.



IN THE CIRCUIT COURT FOR _________ COUNTY, FLORIDA
IN RE: GUARDIANSHIP OF

NOTE: Refer to Fla. Prob. R. 5.696.
Entries on Summary are to be taken from totals on Schedules

A, B, C and D.



The Summary and Schedules A, B, C and D are to constitute
the full accounting. Every transaction occurring during the
accounting period should be reflected on the Schedules.

All purchases and sales, all adjustments to the asset
acquisition or carrying value of any asset, and any other
significant transactions that affect the property (such as stock
splits) should be described on Schedule C.

__________________ ACCOUNTING OF GUARDIAN(S),

NOTE: Schedule A should reflect only those items received
during administration during the accounting period.

Entries involving the sale of assets or other adjustments to the
asset acquisition or carrying values of assets are to be shown on
Schedule C, and not on Schedule A.

__________________ ACCOUNTING OF GUARDIAN(S),
GUARDIANSHIP OF _____________________________



NOTE: Schedule B should reflect only those items paid out
during the accounting period.

Entries involving the purchase of assets or adjustments to the
asset acquisition or carrying values of assets are to be shown on
Schedule C, and not on Schedule B.

__________________ ACCOUNTING OF GUARDIAN(S),
GUARDIANSHIP OF _____________________________



NOTE: Schedule C should reflect all purchases and sales of
assets and any adjustments to the asset acquisition or carrying
values of any assets.

Entries reflecting sales should show the asset acquisition or
adjusted carrying values, the costs and expenses of the sale, and
the net proceeds received. The net gain or loss should be
extended in the appropriate column on the right side of Schedule
C.

Entries reflecting purchases should reflect the purchase price,
any expenses of purchase or other adjustments to the purchase
price, and the total amount paid. Presumably no gain or loss
would be shown for purchases.

Entries reflecting adjustments in capital assets should explain
the change (such as a stock split) and the net gain or loss should
be shown in the appropriate column on the right side of Schedule
C.



The NET gain or loss should be entered in the carrying value
column of the Summary.

__________________ ACCOUNTING OF GUARDIAN(S),
GUARDIANSHIP OF _____________________________

NOTE: Schedule D should be a complete list of all assets on
hand reflecting asset acquisition or carrying values for each item,
adjusted in accordance with any appropriate entries on Schedule
C, and estimated current values for each item.

Current market values for any assets that are known to be
different from the asset acquisition or carrying values as of the



close of the accounting period should be shown in the column
marked Estimate Current Value. The total adjusted carrying
value (not Current Value) must agree with the Total for Item V
on Summary.



 Pt. III. ,  Rule 5.696. 
Fla. Prob. R. Fla. Prob. R., Pt. III,  5.696

RULE 5.696. APPENDIX B
GUARDIAN ACCOUNTING PRINCIPLES

I. ACCOUNTS SHOULD BE STATED IN A MANNER THAT IS
UNDERSTANDABLE BY PERSONS WHO ARE NOT FAMILIAR WITH
PRACTICES AND TERMINOLOGY PECULIAR TO THE
ADMINISTRATION OF GUARDIANSHIPS.

Commentary: In order for an account to fulfill its basic function of
communication, it is essential that it be stated in a manner that recognizes that
the interested parties are not usually familiar with guardian accounts. It is
neither practical nor desirable to require that accounts be tailored to meet
individual disabilities of particular parties but any account should be capable
of being understood by a person of average intelligence, literate in English,
and familiar with basic financial terms who has read it with care and
attention.

Problems arising from terminology or style are usually a reflection of the
fact that people who become versed in a particular form of practice tend to
forget that terms which are familiar and useful to them may convey nothing
to someone else or may even be affirmatively misleading. For example, the
terms debit and credit are generally incomprehensible to people with no
knowledge of bookkeeping and many people who are familiar with them in
other contexts would assume that in the context of guardian accounting, the
receipt of an item is a credit to the fund rather than a debit to the
guardian.

While the need for concise presentation makes a certain amount of
abbreviation both acceptable and necessary, uncommon abbreviation of
matters essential to an understanding of the account should be avoided or
explained.

Print-outs from electronic accounting systems or account statements can be
used as attachments to the schedules in the accounting form or to clarify the
accounting. The quality of the accounts produced by these systems and
account statements varies widely in the extent to which they can be
understood by persons who are not familiar with them.



II. A GUARDIAN ACCOUNT SHALL BEGIN WITH A CONCISE
SUMMARY OF ITS PURPOSE AND CONTENT.

Commentary: Very few people can be expected to pay much attention to a
document unless they have some understanding of its general purpose and its
significance to them. Even with such an understanding, impressions derived
from the first page or two will often determine whether the rest is read. The
use that is made of these pages is therefore of particular significance.

The cover page should disclose the nature and function of the account.
While a complete explanation of the significance of the account and the effect
of its presentation upon the rights of the parties is obviously impractical for
inclusion at this point, there should be at least a brief statement identifying
the guardian and the subject matter, noting the importance of examining the
account and giving an address where more information can be obtained.

A summary of the account shall also be presented at the outset. This
summary, organized as a table of contents, shall indicate the order of the
details presented in the account and shall show separate totals for the
aggregate of the assets on hand at the beginning of the accounting period;
transactions during the period; and the assets remaining on hand at the end of
the period. Each entry in the summary shall be supported by a schedule in the
account that provides the details on which the summary is based.

III. A GUARDIAN ACCOUNT SHALL CONTAIN SUFFICIENT
INFORMATION TO PUT THE INTERESTED PARTIES ON NOTICE AS
TO ALL SIGNIFICANT TRANSACTIONS AFFECTING
ADMINISTRATION DURING THE ACCOUNTING PERIOD.

Commentary: The presentation of the information account shall allow an
interested party to follow the progress of the guardians administration of
assets during the accounting period.

An account is not complete if it does not itemize, or make reference to,
assets on hand at the beginning of the accounting period.

Illustration:
3.1 The first account for a guardianship may detail the items received by

the guardian and for which the guardian is responsible. It must begin with the
total amount on the inventory.



Transactions shall be described in sufficient detail to give the court and
interested parties notice of their purpose and effect. It should be recognized
that too much detail may be counterproductive to making the account
understandable. In accounts dealing with extensive assets, it is usually
desirable to consolidate information with attachments that show detail. For
instance, where income from a number of securities is being accounted for, a
statement of the total dividends received on each security with appropriate
indication of changes in the number of shares held will be more readily
understandable and easier to check for completeness than a chronological
listing of all dividends received.

Illustrations:
3.2 Extraordinary appraisal costs should be shown separately and

explained.
3.3 Interest and penalties in connection with late filing of tax returns

should be shown separately and explained.
3.4 Receipts and disbursements shall be shown on separate schedules in

chronological order. The separate schedules may include totals by account,
with separate ledgers for each account, such as securities or financial
accounts.

3.5 Changes in asset values due to market fluctuations are not transactions
and shall not be reflected as a loss or gain, but the estimated current value
and carrying value shall be shown on the schedule listing assets held at the
end of the accounting period.

IV. A GUARDIAN ACCOUNT SHALL CONTAIN TWO VALUES,
THE ASSET ACQUISITION VALUE OR CARRYING VALUE, AND
CURRENT VALUE.

Commentary: In order for transactions to be reported on a consistent basis,
an appropriate carrying value for assets must be chosen and employed
consistently.

The carrying value of an asset should reflect its value at the time it is
acquired by the guardian. When such a value is not precisely determinable,
the figure used should reflect a thoughtful decision by the guardian. Assets
received in kind should be carried at their value at the time of receipt. For
assets purchased during the administration of the guardianship, acquisition



cost would normally be used. Use of Federal income tax basis for carrying
value is acceptable when basis is reasonably representative of real values at
the time of acquisition.

In the Model Account, carrying value is referred to as guardian
acquisition value. The Model Account establishes the initial carrying value
of assets as their value at inception of the guardianship for inventoried assets,
date of receipt for subsequent receipts, and cost for investments.

Carrying value would not normally be adjusted for depreciation.
Except for adjustments that occur normally under the accounting system in

use, carrying values should generally be continued unchanged through
successive accounts and assets should not be arbitrarily written up or
written down. In some circumstances, however, with proper disclosure and
explanation, carrying value may be adjusted.

Illustrations:
4.1 Assets received in kind in satisfaction of a pecuniary legacy should be

carried at the value used for purposes of distribution.
Illustrations:
4.2 When an asset is held under circumstances that make it clear that it will

not be sold (e.g., a residence used by the ward) the guardians estimate of
value would be acceptable in lieu of an appraisal.

4.3 Considerations such as a pending tax audit or offer of the property for
sale may indicate the advisability of not publishing the guardians estimate of
value. In such circumstances, a statement that value was fixed by some
method such as per company books, formula under buy-sell agreement,
or 300% of assessed value would be acceptable, but the guardian would be
expected to provide further information to interested parties upon request.

V. GAINS AND LOSSES INCURRED DURING THE ACCOUNTING
PERIOD SHALL BE SHOWN SEPARATELY IN THE SAME
SCHEDULE.

Commentary: Each transaction involving the sale or other disposition of
securities during the accounting period shall be shown as a separate item in
one combined schedule of the account indicating the transaction, date,
explanation, and any gain or loss.



Although gains and losses from the sale of securities can be shown
separately in accounts, the preferred method of presentation is to present this
information in a single schedule. Such a presentation provides the most
meaningful description of investment performance and will tend to clarify
relationships between gains and losses that are deliberately realized at the
same time.

Increases and decreases in value not related to a sale or other disposition
are unrealized gains or losses and should not be shown as such on this
schedule.



 Pt. III. ,  Rule 5.697. 
Fla. Prob. R. 5.697

RULE 5.697. MAGISTRATES REVIEW OF GUARDIANSHIP
INVENTORIES, ACCOUNTINGS, AND PLANS.

(a) General Magistrates. The court may appoint general magistrates to
review guardianship inventories, accountings, and plans. General magistrates
shall be members of The Florida Bar and shall continue in office until
removed by the court. The order appointing a general magistrate shall be
recorded. Each general magistrate shall take the oath required of officers of
the court by the Florida Constitution. The oath shall be recorded before the
magistrate begins to act.

(b) Special Magistrates. In connection with the courts review of
guardianship inventories, accountings, and plans, the court may appoint
members of The Florida Bar as special magistrates for any particular service
required by the court. Special magistrates shall be governed by all laws and
rules relating to general magistrates except special magistrates shall not be
required to take an oath unless specifically required by the court. For good
cause shown, the court may appoint a person other than a member of The
Florida Bar as a special magistrate.

(c) General Powers and Duties. Every magistrate shall act under the
direction of the court. Process issued by a magistrate shall be directed as
provided by law. All grounds for disqualification of a judge shall apply to
magistrates.

(d) Hearings. Hearings before any magistrate may be held in the county
where the action is pending, or at any other place by order of the court for the
convenience of the witnesses or the parties. A magistrate shall give notice of
hearings to all parties. If any party fails to appear, the magistrate may proceed
ex parte or may continue the hearing to a future day, with notice to the absent
party. The magistrate shall proceed with reasonable diligence and the least
practicable delay. Any party may apply to the court for an order directing the
magistrate to accelerate the proceedings and to make a report promptly.
Evidence shall be taken in writing or by electronic recording by the
magistrate or by some other person under the magistrates authority in the
magistrates presence and shall be filed with the magistrates report. The



magistrate may examine and take testimony from the parties and their
witnesses under oath, on all matters authorized by the court for review by the
magistrate and may require production of all books, papers, writings,
vouchers, and other documents applicable to those matters. The magistrate
shall admit only evidence that would be admissible in court. The magistrate
may take all actions concerning evidence that may be taken by the court.

(e) Magistrates Report. The magistrates report shall contain a
description of the matters considered and the magistrates conclusions and
any recommendations. No part of any statement of facts, account, charge,
deposition, examination, or answer used before the magistrate shall be
recited. The magistrate shall be required to file a report only if a hearing is
held pursuant to subdivision (d) of this rule or if specifically directed to do so
by the court.

(f) Filing Report; Service; Exceptions. The magistrate shall file a report
with the court and serve copies on the parties. The parties may serve
exceptions to the report within 10 days from the date the report is served on
them. If no exceptions are timely filed, the court shall take appropriate action
on the report. All timely filed exceptions shall be heard by the court on
reasonable notice by any party.

COMMITTEE NOTES

Rule History
1991 Revision: This is a new rule, patterned after Florida Rule of Civil

Procedure 1.490.
1992 Revision: Editorial change. Citation form change in committee notes.
2007 Revision: Title of rule and subdivisions (a) and (b) amended to

include inventories. Shall substituted for may in last sentence of
subdivision (f). Committee notes revised.

Statutory Reference
 744.369(2), Fla. Stat. Judicial review of guardianship reports.
Rule Reference
Fla. Prob. R. 5.095 General and special magistrates.



Fla. R. Civ. P. 1.490 Magistrates.



 Pt. III. ,  Rule 5.700. 
Fla. Prob. R. 5.700

RULE 5.700. OBJECTION TO GUARDIANSHIP REPORTS.
(a) Objections. The ward, or any other interested person, may file an

objection to any part of a guardianship report within the time provided by
law.

(b) Contents. Any objection shall be in writing and shall state with
particularity each item to which the objection is directed and the grounds on
which the objection is based.

(c) Service. The objector shall serve a copy of the objection on each
guardian and on any other person as directed by the court.

COMMITTEE NOTES

Rule History
1975 Revision: Substantially the same as section 744.427(3), (5), and (6),

Florida Statutes, with editorial changes.
1977 Revision: No change in rule. Change in committee note to conform to

statutory renumbering.
1988 Revision: Captions added to subdivisions. Committee notes revised.

Citation form change in committee notes.
1989 Revision: Prior rule deleted and replaced by temporary emergency

rule.
1991 Revision: Revised to conform with new statutory requirements.
1992 Revision: Citation form changes in committee notes.
2008 Revision: Committee notes revised.
2012 Revision: Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.362, Fla. Stat. Initial guardianship report.



 744.363, Fla. Stat. Initial guardianship plan.
 744.365, Fla. Stat. Verified inventory.
 744.367, Fla. Stat. Duty to file annual guardianship report.
 744.3675, Fla. Stat. Annual guardianship plan.
 744.3678, Fla. Stat. Annual accounting.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.041 Service of pleadings and documents.
Fla. Prob. R. 5.060 Request for notices and copies of pleadings.
Fla. Prob. R. 5.180 Waiver and consent.
Fla. Prob. R. 5.610 Execution by guardian.
Fla. R. Gen. Prac. & Jud. Admin. 2.516 Service of pleadings and

documents.



 Pt. III. ,  Rule 5.705. 
Fla. Prob. R. 5.705

RULE 5.705. PETITION FOR INTERIM JUDICIAL REVIEW.
(a) Contents. A petition for interim judicial review shall be verified, state

the petitioners interest in the proceeding, state with particularity the manner
in which the guardians action or proposed action does not comply with or
exceeds the guardians authority under the guardian plan, or state that the
guardian is acting in a manner contrary to section 744.361, Florida Statutes,
and state why the action, proposed action, or conduct of the guardian is not in
the best interest of the ward.

(b) Service. The petition shall be served by formal notice.
(c) Hearing. The petitioner or any interested person may set the matter for

hearing.
(d) Expedited Proceedings. For good cause shown, the court may shorten

the time for response to the formal notice and may set an expedited hearing.

COMMITTEE NOTES

Rule History
1991 Revision: New rule.
2000 Revision: Subdivision (d) added to permit expedited proceedings.
2008 Revision: Committee notes revised.
2015 Revision: Subdivision (a) amended to conform to changes in sections

744.361 and 744.3715, Florida Statutes. Citation revised in committee notes.
Committee notes revised.

Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.361, Fla. Stat. Powers and duties of guardian.
 744.3715, Petition for interim judicial review.



 Pt. III. ,  Rule 5.710. 
Fla. Prob. R. 5.710

RULE 5.710. REPORTS OF PUBLIC GUARDIAN.
The public guardian, as the guardian of a ward, shall file:
(a) an initial report as required by law;
(b) annual guardianship reports, which shall include the dates of quarterly

visits to the ward, as required by law;
(c) a report within 6 months of his or her appointment as guardian of a

ward, which shall also be filed with the executive director of the Office of
Public and Professional Guardians, stating:

(1) the public guardians efforts to locate a family member or friend,
other person, bank, or corporation to act as guardian of the ward; and

(2) the wards potential to be restored to capacity;
(d) an annual report, filed with the Office of Public and Professional

Guardians, by September 1 for the preceding fiscal year, on the operations of
the office of public guardian; and

(e) a report of an independent audit by a qualified certified public
accountant, to be filed with the Office of Public and Professional Guardians
every 2 years.

COMMITTEE NOTES

Rule History
1987 Revision: This is a new rule and was promulgated to establish

procedures to accommodate the Public Guardian Act. See  744.701, et seq.,
Fla. Stat. See also Fla. Prob. R. 5.560.

1989 Revision: Prior rule adopted as temporary emergency rule.
1991 Revision: Editorial changes.
1992 Revision: Citation form changes in committee notes.
2007 Revision: Rule extensively amended to specify reports a public

guardian is required to file.



2010 Revision: Editorial change in (e).
2016 Revision: Subdivisions (c), (d), and (e) amended to reflect the name

change of the agency to the Office of Public and Professional Guardians.
Committee notes revised to reflect the repeal of Part IX of Chapter 744,
Florida Statutes.

Statutory Reference
 744.2001-744.2109, Fla. Stat. Public Guardianship Act.
Rule Reference
Fla. Prob. R. 5.560 Petition for appointment of guardian of an

incapacitated person.



 Pt. III. ,  Rule 5.720. 
Fla. Prob. R. 5.720

RULE 5.720. COURT MONITOR.
(a) Appointment. Upon motion or inquiry by any interested person or

upon its own motion, the court may appoint a court monitor in any
proceeding over which it has jurisdiction.

(b) Order of Appointment. The order of appointment shall state the
name, address, and phone number of the monitor and shall set forth the
matters to be investigated. The order may authorize the monitor to
investigate, seek information, examine documents, or interview the ward. The
order of appointment shall be served upon the guardian, the ward, and such
other persons as the court may determine.

(c) Report. The monitor shall file a verified written report with the court
setting forth the monitors findings. The report shall be served on the
guardian, the ward, and such other persons as the court may determine.

(d) Protection of Ward. If it appears from the monitors report that further
action by the court to protect the interests of the ward is necessary, the court
shall, after a hearing with notice, enter any order necessary to protect the
ward or the wards property, including amending the plan, requiring an
accounting, ordering production of assets, or initiating proceedings to remove
a guardian. Notice of the hearing shall be served on the guardian, the ward,
and such other persons as the court may determine.

COMMITTEE NOTES

This rule applies to the non-emergency appointment of court monitors.
Rule History
2006 Revision: New rule.
2008 Revision: Editorial change in (d). Committee notes revised.
Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.107, Fla. Stat. Court monitors.



 744.3701, Fla. Stat. Inspection of report.



 Pt. III. ,  Rule 5.725. 
Fla. Prob. R. 5.725

RULE 5.725. EMERGENCY COURT MONITOR.
(a) Appointment. Upon motion or inquiry by any interested person or

upon its own motion, the court may appoint a court monitor on an emergency
basis without notice in any proceeding over which it has jurisdiction.

(b) Order of Appointment. The order of appointment shall specifically
find that there appears to be imminent danger that the physical or mental
health or safety of the ward will be seriously impaired or that the wards
property is in danger of being wasted, misappropriated, or lost unless
immediate action is taken. The scope of the matters to be investigated and the
powers and duties of the monitor must be specifically enumerated in the
order.

(c) Duration of Authority. The authority of a monitor expires 60 days
after the date of appointment or upon a finding of no probable cause,
whichever occurs first. The court may enter an order extending the authority
of the monitor for an additional 30 days upon a showing that an emergency
condition still exists.

(d) Report. Within 15 days after the entry of an order of appointment, the
monitor shall file a verified written report setting forth the monitors findings
and recommendations. The report may be supported by documents or other
evidence. The time for filing the report may be extended by the court for
good cause.

(e) Review. Upon review of the report, the court shall enter an order
determining whether there is probable cause to take further action to protect
the person or property of the ward.

(1) If the court finds no probable cause, the court shall enter an order
finding no probable cause and discharging the monitor.

(2) If the court finds probable cause, the court shall enter an order
directed to the respondent stating the essential facts constituting the
conduct charged and requiring the respondent to appear before the court to
show cause why the court should not take further action. The order shall
specify the time and place of the hearing with a reasonable time to allow



for the preparation of a defense after service of the order. A copy of the
order to show cause together with the order of appointment and report of
the monitor shall be served upon the guardian, the ward, the wards
attorney, if any, and the respondent.
(f) Protecting Ward. If at any time prior to the hearing on the order to

show cause the court enters a temporary injunction, a restraining order, an
order freezing assets, an order suspending the guardian or appointing a
guardian ad litem, or any other order to protect the physical or mental health,
safety, or property of the ward, the order or injunction shall be served on the
guardian, the ward, the wards attorney, if any, and such other persons as the
court may determine.

COMMITTEE NOTES

Rule History
2006 Revision: New rule.
2008 Revision: Committee notes revised.
2010 Revision: Editorial change in (c).
Statutory references
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 744.1075, Fla. Stat. Emergency court monitor.



 Pt. III. ,  Rule 5.800. 
Fla. Prob. R. 5.800

RULE 5.800. APPLICATION OF REVISED CHAPTER 744 TO
EXISTING GUARDIANSHIPS.

(a) Prior Adjudication of Incompetency. When an adjudication of
incompetency has taken place under chapter 744, Florida Statutes, before
October 1, 1989, no readjudication of incapacity shall be required.

(b) Annual Guardianship Reports. Guardians appointed before October
1, 1989, shall file annual guardianship reports as required by law.

COMMITTEE NOTES

Rule History
1989 Revision by Ad Hoc Committee: The committee adopted a position

that guardians appointed before the effective date of the 1989 revisions to
chapter 744, Florida Statutes, should comply with all sections of the law that
apply to future acts of the guardian. For example, all guardians will in the
future file annual reports and will be responsible for the continuing well-
being of their wards. The committee recognized a distinction between those
actions that will necessarily occur on a continuing basis throughout the
guardianship and those actions that happen at a particular moment in time but
are not necessarily ongoing duties. There are two and only two specific
examples to which the statutory reforms would not apply retrospectively if
the above distinction is adopted. First, the initial adjudication of incapacity
occurs only once in any guardianship. Although guardianships are
reevaluated annually, the statute does not contemplate a complete
readjudication procedure every year. Therefore, the committee concluded that
the initial adjudicatory hearing need not be repeated for wards adjudicated
incompetent before October 1, 1989. Second, as concerns nonresident
guardians appointed before October 1, 1989, normally, a guardian is
appointed only once at the beginning of the guardianship. While these
nonresident guardians would be expected to obey all provisions of the law
prospectively, they would not be required to initiate their own removal.

1991 Revision: Editorial changes in first sentence of (a), and rest of
subdivision deleted as unnecessary. Subdivision (b) has been transferred to



rule 5.650. Date reference no longer required in (c), and modified to make
filing requirement of preexisting guardianships consistent with the current
statutory provisions.

1992 Revision: Citation form changes in committee notes.
Statutory References
 744.367, Fla. Stat. Duty to file annual guardianship report.
 744.3675, Fla. Stat. Annual guardianship plan.
 744.3678, Fla. Stat. Annual accounting.
Rule References
Fla. Prob. R. 5.695 Annual guardianship report.
Fla. Prob. R. 5.696 Annual accounting.



 Pt. III. ,  Rule 5.850. 
Fla. Prob. R. 5.850

RULE 5.850. EXPEDITED JUDICIAL INTERVENTION
CONCERNING MEDICAL TREATMENT PROCEDURES
[RENUMBERED].

 Pt. IV. 
Fla. Prob. R., Pt. IV



PART IV. EXPEDITED JUDICIAL INTERVENTION
CONCERNING MEDICAL TREATMENT PROCEDURES

 Pt. IV. ,  Rule 5.900. 
Fla. Prob. R. 5.900

RULE 5.900. EXPEDITED JUDICIAL INTERVENTION
CONCERNING MEDICAL TREATMENT PROCEDURES.

(a) Petition. Any proceeding for expedited judicial intervention
concerning medical treatment procedures may be brought by any interested
adult person and shall be commenced by the filing of a verified petition
which states:

(1) the name and address of the petitioner;
(2) the name and location of the person who is the subject of the petition

(hereinafter referred to as the patient);
(3) the relationship of the petitioner to the patient;
(4) the names, relationship to the patient, and addresses if known to the

petitioner, of:
(A) the patients spouse and adult children;
(B) the patients parents (if the patient is a minor);
(C) if none of the above, the patients next of kin;
(D) any guardian and any court-appointed health care decision-maker;
(E) any person designated by the patient in a living will or other

document to exercise the patients health care decision in the event of
the patients incapacity;

(F) the administrator of the hospital, nursing home, or other facility
where the patient is located;

(G) the patients principal treating physician and other physicians
known to have provided any medical opinion or advice about any
condition of the patient relevant to this petition; and

(H) all other persons the petitioner believes may have information



concerning the expressed wishes of the patient; and
(5) facts sufficient to establish the need for the relief requested,

including, but not limited to, facts to support the allegation that the patient
lacks the capacity to make the requisite medical treatment decision.
(b) Supporting Documentation. Any affidavits and supporting

documentation, including any living will or designation of health care
decision-maker, shall be attached to the petition.

(c) Notice. Unless waived by the court, notice of the petition and the
preliminary hearing shall be served on the following persons who have not
joined in the petition or otherwise consented to the proceedings:

(1) the patient;
(2) the patients spouse and the patients parents, if the patient is a

minor;
(3) the patients adult children;
(4) any guardian and any court-appointed health care decision-maker;
(5) any person designated by the patient in a living will or other

document to exercise the patients health care decision in the event of the
patients incapacity;

(6) the administrator of the hospital, nursing home, or other facility
where the patient is located;

(7) the patients principal treating physician and other physicians
believed to have provided any medical opinion or advice about any
condition of the patient relevant to this petition;

(8) all other persons the petitioner believes may have information
concerning the expressed wishes of the patient; and

(9) such other persons as the court may direct.
(d) Hearing. A preliminary hearing on the petition shall be held within 72

hours after the filing of the petition. At that time the court shall review the
petition and supporting documentation. In its discretion the court shall either:

(1) rule on the relief requested immediately after the preliminary
hearing; or



(2) conduct an evidentiary hearing not later than 4 days after the
preliminary hearing and rule on the relief requested immediately after the
evidentiary hearing.

COMMITTEE NOTES

This rule was submitted by the committee in response to the request
contained in footnote 17 of In re Guardianship of Browning, 568 So.2d 4
(Fla. 1990). See also Cruzan by Cruzan v. Director, Missouri Department of
Health, U.S., 110 S. Ct. 2841, 111 L. Ed. 2d 224 (1990).

The promulgation of this rule is not intended to imply that judicial
intervention is required to terminate life-prolonging procedures.

Practitioners should note that the criteria and standards of proof contained
in Browning differ from the criteria and standards of proof presently existing
in chapter 765, Florida Statutes.

Rule History
1991 Revision: New rule.
1992 Revision: This rule was created on an emergency basis and on further

review, the committee decided it needed to clarify that the petition should
include an allegation that the patient lacks capacity to make the requisite
medical treatment decision, and that the patient should receive notice of the
petition and hearing. Committee notes revised. Citation form changes in
committee notes.

2008 Revision: Committee notes revised.
2019 Revision: Committee notes updated to reflect the legislative

amendments to chapter 709, Florida Statutes.
2020 Revision, September 3, 2020: Rule was renumbered from 5.900 to

5.850 to allow forms to follow the rules set. Committee notes revised.
2020 Revision, December 31, 2020: Rule was renumbered from 5.850 to

5.900 to conform with statutory references. Committee notes revised.
Constitutional Reference.
Art. I,  23, Fla. Const.



Statutory References
 393.12, Fla. Stat. Capacity; appointment of guardian advocate.
 709.2101-709.2402, Fla. Stat. Florida Power of Attorney Act.
 709.2109, Fla. Stat. Termination or suspension of power of attorney or

agents authority.
 731.302, Fla. Stat. Waiver and consent by interested person.
 744.102, Fla. Stat. Definitions.
 744.104, Fla. Stat. Verification of documents.
 744.3115, Fla. Stat. Advanced directives for health care.
ch. 765, Fla. Stat. Health care advance directives.
Rule References
Fla. Prob. R. 5.020 Pleadings; verification; motions.
Fla. Prob. R. 5.040 Notice.



 Pt. V. 
Fla. Prob. R., Pt. V



PART V. FORMS

The following forms are sufficient for the matters that are covered by
them. So long as the substance is expressed without prolixity, the forms may
be varied to meet the facts of a particular case. The forms are not intended to
be part of the rules and are provided for convenience only.



 Pt. V. ,  Rule 5.901. 
Fla. Prob. R. 5.901

RULE 5.901. FORM FOR PETITION TO DETERMINE
INCAPACITY.

MODEL FORM FOR USE IN PETITION TO DETERMINE
INCAPACITY PURSUANT TO FLORIDA PROBATE RULE 5.550

In the Circuit Court of the
__________________ Judicial Circuit,
in and for _____________________________
County, Florida
Probate Division
Case No. _____________________________
In Re: Guardianship of
_____________________
Respondents Name
An Alleged Incapacitated Person
_____________________

PETITION TO DETERMINE INCAPACITY
Petitioner, .....(name of petitioner)....., files this petition

seeking a determination of incapacity of the respondent and
states:

1.  Petitioners name: ____________________ Petitioners
age: _________

Petitioners home address and mailing address:
_____________________________



_____________________________
Petitioners relationship to the respondent:

_____________________________
_____________________________
2.  Respondents name: ____________________

Respondents age: _________
Respondents home address, mailing address, county of

residence: _____________________________
_____________________________
_____________________________
Primary language of the respondent:

_____________________________
3.  The factual basis for alleging incapacity:

_____________________________
_____________________________
_____________________________
4.  List all persons, with their name and address, known to

have information relating to the basis for alleging incapacity:
_____________________________

_____________________________
_____________________________
_____________________________
5. Which rights are being sought to be removed under section

744.3215, Florida Statutes? Indicate which rights that the
petitioner requests be removed from the respondent, but not



delegated to a guardian:
    ( ) a. to marry. If the right to enter into a contract has been

removed, the right to marry is subject to court approval;
    ( ) b. to vote;
    ( ) c. to personally apply for government benefits;
    ( ) d. to have a driver license;
    ( ) e. to travel; and
    ( ) f. to seek or retain employment.
Indicate which rights that the petitioner requests be removed

from the respondent, but may be delegated to the guardian:
    ( ) a. to contract;
    ( ) b. to sue and defend lawsuits;
    ( ) c. to apply for government benefits;
    ( ) d. to manage property or to make any gift or disposition

of property;
    ( ) e. to determine his or her residence;
    ( ) f. to consent to medical and mental health treatment; and
    ( ) g. to make decisions about his or her social environment

or other social aspects of his or her life.
If all of the above are checked a determination of plenary

incapacity is requested. If only some of the above are checked a
determination of limited incapacity is requested.

6.  Is a guardianship being sought? ___________ Yes
___________ No



Check any possible alternatives to guardianship:
    ( ) a. trust agreements;
    ( ) b. powers of attorney;
    ( ) c. designations of health care surrogates;
    ( ) d. other advance directives; or
    ( ) e. other _____________________________
If a guardianship is being sought, explain why the checked

possible alternatives to guardianship are insufficient to meet the
needs of the respondent: _____________________________

_____________________________
_____________________________
7.  List the names, addresses, phone numbers, and

relationships of the living next of kin of the respondent,
including date of birth if the person is a minor. If married, this
includes the spouse and all of his or her children:

Name Address Relationship
__________________ __________________

____________________
__________________ __________________

____________________
8.  Name, address, and phone number of family physician, if

known: _____________________________
_____________________________
WHEREFORE, this court is respectfully requested to

determine incapacity of the respondent, award attorneys fees



and costs pursuant to Chapter 744, Florida Statutes, and grant
such other relief as the court deems just and proper.

Under penalties of perjury, I declare that I have read the
foregoing, and the facts alleged are true, to the best of my
knowledge and belief.

Signed on.....(date)......
_____________________________
Petitioners Signature
Petitioners Printed Name:

_____________________________
Petitioners Address: _____________________________
_____________________________
Petitioners Phone Number:

_____________________________
Petitioners E-mail Address:

_____________________________



 Pt. V. ,  Rule 5.902. 
Fla. Prob. R. 5.902

RULE 5.902. FORM FOR PETITION AND ORDER OF GUARDIAN.
(a) Petition.

In the Circuit Court of the
__________________ Judicial Circuit,
in and for _____________________________
County, Florida
Probate Division
Case No. _____________________________
In Re: Guardianship of
_____________________
Respondents Name
_____________________

PETITION FOR APPOINTMENT OF GUARDIAN
Petitioner, ___________________________________, files

this petition pursuant to section 744.1097, Florida Statutes, and
alleges that:

1.  The petitioner, proposed guardian .....(name)....., who is
__________________ years of age, whose residential address is
______________________ and post office address is
______________________. The relationship of the petitioner to
the respondent is ______________________.

2.  Venue is proper in .....(county)....., pursuant to section
744.1097(2), Florida Statutes, (choose one):



    ( ) a. the incapacitated person resides in .....(county).....,
Florida;

    ( ) b. the incapacitated person is not a Florida resident but
owns property in .....(county)....., Florida; or

    ( ) c. a debtor of the incapacitated person resides in .....
(county)...., Florida and the incapacitated person is not a Florida
resident and does not own property in Florida.

3.  The nature of the incapacity of the respondent:
_____________________________

_____________________________
_____________________________
4.  The extent of the guardianship requested for the

respondent:
    ( ) a. plenary; or
    ( ) b. limited.
5.  The guardianship requested for the respondent is (choose

one):
    ( ) a. of the person;
    ( ) b. of the property; or
    ( ) c. of the person and property.
6.  The nature and value of the property subject to

guardianship: _____________________________
_____________________________
_____________________________
7.  The names and addresses of the living next of kin of the



respondent are:
Name Address Relationship
__________________ __________________

____________________
__________________ __________________

____________________
__________________ __________________

____________________
8.  Choose one: _____________________________
    ( ) a. the petitioner proposes that .....(name)..... be appointed

as guardian and that .....(name)..... is qualified to serve;
    ( ) b. a willing and qualified guardian has not been located;

or
    ( ) c. the proposed guardian is a professional guardian and

has complied with the registration requirements of section
744.2002, Florida Statutes.

9.  The proposed guardian should be appointed because:
_____________________________

_____________________________
_____________________________
10.  There ___________ are or ___________ are not

alternatives to the appointment of a guardian, such as trust
agreements, powers of attorney, designation of health care
surrogate, or other advanced directive, known to petitioner.

Under penalties of perjury, I declare that I have read the
foregoing, and the facts alleged are true, to the best of my



knowledge and belief.
Signed on .....(date)......
Signature: _____________________________
Petitioner
Name: _____________________________
Address: _____________________________
_____________________________
Phone Number: _____________________________
E-mail Address: _____________________________

(b) Order.
In the Circuit Court of the
__________________ Judicial Circuit,
in and for _____________________________
County, Florida
Probate Division
Case No. _____________________________
In Re: Guardianship of
_____________________
Respondents Name
_____________________

ORDER FOR APPOINTMENT OF GUARDIAN
1.  By order of this court on .....(date)....., the respondent .....

(name)..... was adjudicated incapacitated and is now a ward as



defined in section 744.102(22), Florida Statutes. The extent of
the incapacity is .....(plenary or limited)...... The ward retains the
rights listed in section 744.3215(a), Florida Statutes.

2.  No alternative to guardianship exists that sufficiently
addresses the respondents needs.

3.  A .....(plenary or limited)..... guardianship of the:
    ( ) a. person;
    ( ) b. property; or
    ( ) c. person and property
is consistent with the respondents welfare and safety, is the

least restrictive alternative, and reserves to the respondent the
right to make decisions in all matters commensurate with the
wards ability to do so.

4.  .....(Name of guardian)..... is qualified to serve as .....
(plenary or limited)..... guardian of the:

    ( ) a. person;
    ( ) b. property; or
    ( ) c. person and property of the ward
5.   ( ) a. .....(Name of guardian)..... is the standby guardian or

preneed guardian;
    ( ) b. there is no standby guardian or preneed guardian;
    ( ) c. there is a standby guardian or preneed guardian, but

such person is not qualified to serve pursuant to section 744.309,
Florida Statutes; or

    ( ) d. there is a standby guardian or preneed guardian, but
appointment of such person is contrary to the best interests of the



ward because: _____________________________
_____________________________
_____________________________
6.  Any additional facts that support the selection of guardian:

_____________________________
_____________________________
_____________________________
7.   ( ) a. No advance directive exists;
    ( ) b. the following advance directive exists and is entitled

.....(name of advance directive)..... and is dated .....(date of
advance directive).....;

    ( ) c. the advance directive is being revoked or modified and
the surrogate under the advance directive entitled .....(name of
advance directive)..... and is dated .....(date of advance
directive)..... was given notice of this proceeding and any motion
to revoke or modify the advance directive; or

    ( ) d. if the advance directive is being revoked or modified
the facts supporting the revocation or modification:
_____________________________

_____________________________
_____________________________
ORDERED and ADJUDGED as follows:
8.  The court hereby appoints .....(name of guardian)..... as

the.....(plenary or limited)..... guardian of the:
    ( ) a. person;



    ( ) b. property; or
    ( ) c. person and property of the ward
9.  The guardian may exercise only those delegable rights that

have been removed from the ward and specifically delegated to
the guardian, which are:

    ( ) a. to contract;
    ( ) b. to sue and defend lawsuits;
    ( ) c. to apply for government benefits;
    ( ) d. to manage property or to make any gift or disposition

of property;
    ( ) e. to determine the wards residence;
    ( ) f. to consent to medical and mental health treatment; and
    ( ) g. to make decisions about the wards social environment

or other social aspects of the wards life.
10.  The guardian may not exercise the following rights, even

if such rights were removed from the ward:
    a. to marry;
    b. to vote;
    c. to personally apply for government benefits;
    d. to have a driver license;
    e. to travel; and
    f. to seek or retain employment.
11.  The amount of the bond to be given by the guardian is:

_____________________________



12.  The guardian:
    ( ) a. must; or
    ( ) b. is not required to
place all, or part, of the property of the ward in a restricted

account in a financial institution designated pursuant to section
69.031, Florida Statutes.

13.  ( ) a. No known advance directive exists;
    ( ) b. the advance directive entitled .....(name of advance

directive)..... and is dated .....(date of advance directive)..... is
being modified or revoked as follows:

      ( ) i. the surrogate shall not continue to exercise any
authority over the ward with regard to health care decisions;

      ( ) ii. the surrogate shall continue to exercise authority over
the respondent with regard to health care decisions;

      ( ) iii. the surrogate shall exercise the following authority
over the ward with regard to:
_____________________________

_____________________________
_____________________________; or
      ( ) iv. The guardian shall exercise the following authority

over the ward with regard to health care decisions:
_____________________________
_____________________________
14.    The respondent .....(may or may not)..... have a license to

carry a firearm or possess a weapon or firearm.



ORDERED this .....(date)......



 Pt. V. ,  Rule 5.903. 
Fla. Prob. R. 5.903

RULE 5.903. LETTERS OF GUARDIANSHIP.
(a) Letters of Guardianship of the Person.

FORM LETTERS OF GUARDIANSHIP OF THE PERSON

LETTERS OF .....(PLENARY OR LIMITED)..... GUARDIANSHIP OF
THE PERSON TO ALL WHOM IT MAY CONCERN:

WHEREAS, .....(guardians name)..... has been appointed .....
(plenary or limited)..... guardian of the person of .....(the
ward)..... and has taken the prescribed oath and performed all
other acts prerequisite to issuance of .....(plenary or limited).....
letters of guardianship of the person of the ward.

NOW THEREFORE, I, the undersigned judge, declare .....
(guardians name)..... duly qualified under the laws of the State
of Florida to act as .....(plenary or limited)..... guardian of the
person of .....(wards name)..... with full power to exercise all
power or the following powers and duties pertaining to the
wards person:

    ( ) 1. to determine his or her residence;
    ( ) 2. to consent to medical and mental health treatment; and
    ( ) 3. to make decisions about his or her social environment



or other social aspects of his or her life;
except the guardian shall not exercise any rights enumerated

under section 744.3215(1), Florida Statutes.
The guardian _______ shall _______ not execute any power

over any health care surrogate appointed by any valid advance
directive executed by the ward, pursuant to section 744.345,
Florida Statutes, except upon order of this court.

ORDERED this .....(date)......

(b) Letters of Guardianship of the Property.
FORM LETTERS OF GUARDIANSHIP OF THE PROPERTY

LETTERS OF .....(PLENARY OR LIMITED)..... GUARDIANSHIP OF
THE PROPERTY TO ALL WHOM IT MAY CONCERN:

WHEREAS, .....(guardians name)..... has been appointed .....
(plenary or limited)..... guardian of the property of .....(the
ward)..... and has taken the prescribed oath and performed all
other acts prerequisite to issuance of .....(plenary or limited).....
letters of guardianship of the property of the ward.

NOW THEREFORE, I, the undersigned judge, declare .....
(guardians name)..... duly qualified under the laws of the State
of Florida to act as .....(plenary or limited)..... guardian of the



property of .....(wards name)..... with full power to exercise all
delegable legal rights and powers of the ward, (or these listed):

    ( ) 1. to contract;
    ( ) 2. to sue and defend lawsuits;
    ( ) 3. to apply for government benefits; and
    ( ) 4. to manage property or to make any gift or disposition

of property; except the guardian shall not exercise any rights
enumerated under section 744.3215(1), Florida Statutes.

ORDERED this .....(date)......



 Pt. V. ,  Rule 5.904. 
Fla. Prob. R. 5.904

RULE 5.904. FORMS FOR INITIAL AND ANNUAL GUARDIANSHIP
PLANS.

(a) Initial Guardianship Plan for Minor.

In Re: Guardianship of
_____________________
Minor Ward
_____________________

INITIAL GUARDIANSHIP PLAN FOR MINOR
.....(Guardians name)....., the guardian of the person of .....

(wards name)....., submits the following annual plan for the
period beginning on .....(beginning date)..... and ending on .....
(ending date)....., for the benefit of the ward.

1.    The wards address at the time of filing this plan is:
_____________________________

_____________________________
2.    The medical, dental, mental, or personal care services for

the welfare of the ward that will be provided during the
upcoming year are:



3.    The social and personal services to be provided for the
welfare of the ward during the upcoming year are:
_____________________________

_____________________________
_____________________________
4.    The place and kind of residential setting best suited for the

needs of the ward is: _____________________________
_____________________________
_____________________________
5.    The physical and/or mental examinations necessary to

determine the wards medical, dental, and mental health
treatment needs are: _____________________________

_____________________________
_____________________________
6.    Education of the ward:
Name and address of the school the ward will attend:

_____________________________
_____________________________
Grade level of ward: _____________________________
Description of classes the ward will attend:

_____________________________



7.    Consulting with ward (Check one):
    ( ) a. The ward is under age 14;
    OR
    ( ) b. The guardian attests that the guardian has consulted

with the ward (if ward is 14 years of age or older) and, to the
extent reasonable, honored the wards wishes consistent with the
rights retained by the ward under the plan, and to the maximum
extent reasonable, the plan is in accordance with the wishes of
the ward.

8.    This initial plan does not restrict the physical liberty of the
ward more than is reasonably necessary to protect the ward from
serious physical injury, illness, or disease and provides the ward
with medical care and mental health treatment for the wards
physical and mental health.

(Please use additional sheets if necessary)
    Under penalties of perjury, I declare that I have

completed and read the foregoing, and the facts set forth are
true, to the best of my knowledge and belief.

Signed on .....(date)......
[A certificate of service is required if ward is 14 years of age

or older.]
[I certify that the foregoing document has been furnished to

.....(name, address used for service, mailing address, and e-mail
address)..... by (e-mail) (delivery) (mail) (fax) on .....(date)......]



If the guardian is represented by counsel, the attorney must
comply with Florida Rule of Judicial Administration 2.515.
(b) Annual Guardianship Plan for Minor.

In Re: Guardianship of
_____________________
Minor Ward
_____________________

ANNUAL GUARDIANSHIP PLAN FOR MINOR
.....(Guardians name)....., the guardian of the person of .....

(wards name)....., submits the following annual plan for the
period beginning on .....(beginning date)..... and ending on .....
(ending date)......

1.     The wards address at the time of filing this plan is:
_____________________________

    _________ During the prior 12 months, the ward resided at
(include dates, names, addresses, and length of stay at each
location):

2.    List any professional treatment (medical or dental) given
to the ward during the prior 12 months:



3.    A report from the physician who examined the ward no
more than 180 days before the beginning of the applicable
reporting period that contains an evaluation of the wards
physical and mental conditions has been filed with this plan. [See
subdivision (e) of this rule for a format for a physicians report.]

4.    The plan for providing medical or dental services in the
coming year:

_____________________________
_____________________________
_____________________________
5.     A summary of the wards school progress report:
_____________________________
_____________________________
_____________________________
6.    A description of the wards social development, including

how well the ward communicates and maintains interpersonal
relationships:

_____________________________
_____________________________
_____________________________
7.    The social needs of the ward are:
_____________________________



_____________________________
_____________________________
8.    Consulting with ward (Check one):
    ( ) a. The ward is under age 14;
OR
    ( ) b. The guardian attests that the guardian has consulted

with the ward (if ward is 14 years of age or older) and, to the
extent reasonable, honored the wards wishes consistent with the
rights retained by the ward under the plan, and to the maximum
extent reasonable, the plan is in accordance with the wishes of
the ward.

(Please use additional sheets if necessary)
Under penalties of perjury, I declare that I have completed

and read the foregoing, and the facts set forth are true, to the
best of my knowledge and belief.

Signed on .....(date)......
[A certificate of service is required if ward is 14 years of age

or older.]
[I certify that the foregoing document has been furnished to

.....(name, address used for service, mailing address, and e-mail
address)..... by .....(e-mail) (delivery) (mail) (fax)..... on .....
(date)......]

(c) Initial Guardianship Plan for Adult.



INITIAL GUARDIANSHIP PLAN
(Initial Report of Guardian/Guardian Advocate)

.....(Guardians name)....., the guardian of the person/guardian
advocate of .....(wards name)....., the ward, submits the
following initial plan:

During the period beginning .....(beginning date)....., and
ending on .....(ending date)......, the guardian proposes the
following plan for the benefit of the ward.

1.     The medical, mental, or personal care services for the
welfare of the ward that will be provided during the upcoming
year are:

2.    The social and personal services to be provided for the
welfare of the ward during the upcoming year are:
_____________________________

_____________________________
_____________________________



3.     The place and kind of residential setting best suited for
the needs of the ward is: _____________________________

_____________________________
_____________________________
4.     Describe the health and accident insurance and any other

private or governmental benefits to which the ward may be
entitled to meet any part of the costs of medical, mental health,
or related services provided to the ward:
_____________________________

_____________________________
_____________________________
5.     The physical and/or mental examinations necessary to

determine the wards medical, and mental health treatment needs
are: _____________________________

_____________________________
_____________________________
6.     The guardian/guardian advocate hereby attests that the

guardian/guardian advocate has consulted with the ward and, to
the extent reasonable, honored the wards wishes consistent with
the rights retained by the ward under the plan, and to the
maximum extent reasonable, the plan is in accordance with the
wishes of the ward.

7.    This initial plan does not restrict the physical liberty of the
ward more than is reasonably necessary to protect the ward from
serious physical injury, illness, or disease and provides the ward
with medical care and mental health treatment for the wards
physical and mental health.



(Please use additional sheets if necessary)
Under penalties of perjury, I declare that I have completed

and read the foregoing, and the facts set forth are true, to the
best of my knowledge and belief.

Signed on .....(date)......
[A certificate of service is required unless ward has been

declared totally incapacitated.]
[I certify that the foregoing document has been furnished to

.....(name, address used for service, mailing address, and e-mail
address)..... by .....(e-mail) (delivery) (mail) (fax)..... on .....
(date)......]

(d) Annual Guardianship Plan for Adult.

ANNUAL GUARDIANSHIP PLAN OF GUARDIAN/
GUARDIAN ADVOCATE OF THE PERSON

.....(Guardians name)....., the guardian of the person/guardian
advocate of .....(wards name)....., the ward, submits the
following annual plan for the period beginning .....(beginning



date)..... ending .....(ending date)......
1.    The wards address at the time of filing this plan is:

_____________________________
2.    During the prior 12 months, the ward resided or was

maintained at (include dates, names, addresses, and length of
stay at each location):

3.    The residential setting best suited for the current needs of
the ward is (Check one):

    ( ) a. group home;
    ( ) b. assisted living;
    ( ) c. nursing home;
    ( ) d. live with parents;
    ( ) e. at wards private residence; or
    ( ) f. other: _____________________________
4.    Plans for ensuring that the ward is in the best residential

setting to meet the wards needs during the coming year are as
follows: _____________________________

_____________________________
_____________________________
5.    The following is a list of any medical treatment given to

the ward during the preceding year:



6.    Attached is a report of a physician who examined the
ward no more than 90 days before the end of the report period,
including that physicians evaluation of the wards condition and
a statement of the current level of capacity of the ward.

7.    The plan for provision of medical, dental, mental health,
and rehabilitative services (for example, occupational therapy,
physical therapy, speech therapy, applied behavioral analysis) in
the coming year is:

8.    The following information is submitted concerning the
social condition of the ward:

a.    The ward is currently using the following social and
personal services (include name, services rendered, and address
of each provider), including any groups the ward is participating
in:

b.    The following is a statement of the social skills of the
ward, including how well the ward maintains interpersonal
relationships with others: _____________________________



_____________________________
_____________________________
c.    The following is a description of the social needs of the

ward, if any: _____________________________
_____________________________
_____________________________
9.    The following is a summary of activities during the

preceding year designed to increase the capacity of the ward,
including involvement in groups or group activities:
_____________________________

_____________________________
_____________________________
10.    Is the ward now capable of having some or all of the

wards rights restored?
    ( ) If yes, identify the rights that should be restored:

_____________________________
_____________________________
11.    Do you plan to seek the restoration of any rights to the

ward?
    ( ) If yes, identify the rights that you are seeking to be

restored: _____________________________
_____________________________
12.    This _______ plan has or _______ has not been

reviewed with the ward.
(Please use additional sheets where necessary)



Under penalties of perjury, I declare that I have completed
and read the foregoing, and the facts set forth are true, to the
best of my knowledge and belief.

Signed on .....(date)......
[A certificate of service is required unless ward has been

declared totally incapacitated.]
[I certify that the foregoing document has been furnished to

.....(name, address used for service, mailing address, and e-mail
address)..... by .....(e-mail) (delivery) (mail) (fax)..... on .....
(date)......]

If the guardian is represented by counsel, the attorney must
comply with Florida Rule of Judicial Administration 2.515
(every document of a party represented by an attorney shall be
signed by at least one attorney of record).
(e) Physicians Report.

PHYSICIANS REPORT
(Required by section 744.3675, Florida Statutes)



1.    Name of Physician: _____________________________
    Address: _____________________________
_____________________________
2.    Name of ward: _____________________________
3.    Date of examination: _____________________________
4.    Purpose of examination:

_____________________________
    a. Regular checkup: _____________________________
    b. Treatment for: _____________________________
5.    Evaluation of wards condition: (Specify mental and

physical condition at time of examination)
_____________________________

_____________________________
_____________________________
6.    Description of wards capacity to live independently:

_____________________________
_____________________________
_____________________________
7.    The ward _______ does _______ does not continue to

need assistance of a guardian.
8.    Is the ward capable of being restored to capacity at this

time? _______ Yes _______ No Are there any rights that can be
restored at this time? Check any rights that can be restored:

    ( ) a. to marry;



    ( ) b. to vote;
    ( ) c. to personally apply for government benefits;
    ( ) d. to have a driver license;
    ( ) e. to travel;
    ( ) f. to seek or retain employment;
    ( ) g. to contract;
    ( ) h. to sue and defend lawsuits;
    ( ) i. to apply for government benefits;
    ( ) j. to manage property or to make any gift or disposition

of property;
    ( ) k. to determine his or her residence;
    ( ) l. to consent to medical and mental health treatment; or
    ( ) m. to make decisions about his or her social environment

or other social aspects of his or her life.
9.    Date of this report: _____________________________
10.    Signature of physician completing this report:

_____________________________
APPENDIX A

INSTRUCTIONS TO GUARDIANS AND GUARDIAN ADVOCATES
FOR FILING ANNUAL PLANS ANNUAL PLANS

1.  Fill in the name of the County where the case is filed on the
second blank line at the top where it reads IN AND FOR
_________ COUNTY.

2.  Print the name of the ward on the line just below the In
Re: Guardianship of caption.



3.  Put the case number in the space marked CASE NO. in
the upper right-hand corner (same as court file number).

4.  On the first blank line after the title of the document
(Annual Plan), print the guardians name.

5.  On the next blank line, print the wards name.
6.  Write in the dates for the period of time of the plan. This

period should end on the last day of the month of the month you
were appointed and begin a full year before that. If you do not
know your plan period, please see the chart below. Please call
the Clerks Office or the appropriate Court Staff in the county
where you are filing, if you cannot determine the plan period
after reviewing the chart.

7.  Type or print answers to all of the questions on the plan. If
the question does not apply to your wards circumstances, write
in the phrase not applicable. Fill in all the blanks. If your ward
has a habilitation plan (produced by the social worker or the
Florida Department of Children and Families) and it has
changed, please provide a copy of the habilitation as an
attachment to the plan. If the habilitation plan has not changed
then do not file a copy.

8.  In paragraph 9, if your ward participates in groups, include
that information in this paragraph.

9.  Sign your name, and print your name, address, e-mail
address, and phone number where indicated. If there are co-
guardian advocates, both must sign the plan.

10.  Make a copy of the plan for your records in the event
there is a problem and work from it for next years plan. Make a
copy of any attachments to the plan, as well.



11.  Mail or hand deliver the original plan to the Clerk of
Court of your county where the case is filed. You MUST also
send a copy of the plan to your attorney, if you have an attorney,
so that the attorney will know that you have filed the plan and
will have a copy of the plan in case there is a problem.

APPENDIX B
ANNUAL ACCOUNTING AND PLAN DATES

(IF FISCAL YEAR REPORT PERIOD)



 Pt. V. ,  Rule 5.905. 
Fla. Prob. R. 5.905

RULE 5.905. FORM FOR PETITION, NOTICE, AND ORDER FOR
APPOINTMENT OF GUARDIAN ADVOCATE OF THE PERSON.

(a) Petition.
FORM FOR USE IN PETITION FOR

APPOINTMENT OF GUARDIAN ADVOCATE OF THE PERSON
PURSUANT TO FLORIDA PROBATE RULE 5.649

In Re: Guardianship Advocacy of
_____________________
Respondents Name
Person with Developmental Disability
_____________________

PETITION FOR APPOINTMENT OF
GUARDIAN ADVOCATE OF THE PERSON

Petitioner, ______________________________, files this
petition pursuant to section 393.12, Florida Statutes, and Florida
Probate Rule 5.649 and alleges that:

1.    The petitioner, proposed guardian advocate .....(name).....,
is _________ years of age, whose residential address is
_____________________ and post office address is
_____________________. The relationship of the petitioner to
the respondent is _____________________________



2.    .....(Respondents name)..... is a person with a
developmental disability who was born on ___________ and
who is _______ years of age, who resides in _________ County,
Florida. The residential address of the respondent is
______________________________ and the post office address
is _____________________________

3.    The petitioner believes that respondent needs a guardian
advocate:

    a. due to the following developmental disability:
    ( ) i. intellectual disability;
    ( ) ii. cerebral palsy;
    ( ) iii. autism;
    ( ) iv. spina bifida;
    ( ) v. Down syndrome;
    ( ) vi. Phelan-McDermid syndrome; or
    ( ) vii. Prader-Willi syndrome,
which manifested prior to the age of 18.
    b. The developmental disability has resulted in the

following substantial handicaps:
_____________________________

_____________________________
4.    The exact areas in which the person with the

developmental disability lacks the ability to make informed
decisions about his/her care and treatment services or to meet the
essential requirements for his/her physical health or safety are as
follows:



    ( ) a. to apply for government benefits;
    ( ) b. to determine residency;
    ( ) c. to consent to medical and mental health treatment;
    ( ) d. to make decisions about social environment/social

aspects of life; and
    ( ) e. to make decisions regarding education.
5.    There are no alternatives to guardian advocacy, such as

trust agreements, powers of attorney, designation of health care
surrogate, or other advanced directive, known to petitioner that
would sufficiently address the problems of the respondent in
whole or in part. Thus, it is necessary that a guardian advocate be
appointed to exercise some but not all of the rights of
respondent.

6.    The names and addresses of the next of kin of the
respondent are:

7.    The proposed guardian advocate .....(name)....., whose
residence address is ___________________________ and
whose post office address is ___________________________;
is over the age of 18 and otherwise qualified under the laws of
the State of Florida to act as guardian advocate of the person of
respondent. The proposed guardian advocate is not a
professional guardian. The relationship of the proposed guardian
advocate with the providers of health care services, residential
services, or other services to the respondent is (if none, indicate:
NONE): _____________________________



_____________________________
____________________
8.    The petitioner(s) allege(s) that to their knowledge,

information, and belief, respondent _________ has or
_________ has NOT executed an advance directive under
chapter 765, Florida Statutes, (designated health case surrogate
or other advance directive) or a durable power of attorney under
chapter 709, Florida Statutes.

9.    (If a Co-Guardian Advocate sought, complete this
paragraph.) Petitioner requests that
___________________________ be appointed co-guardian
advocate of the person of respondent. The proposed co-guardian
advocate .....(name)....., who is _________ years of age, whose
residence is __________________; whose post office address is
___________________________; is over the age of 18 and
otherwise qualified under the laws of the State of Florida to act
as guardian advocate of the person of respondent. The proposed
co-guardian advocate is not a professional guardian. The
relationship of the proposed co-guardian advocate with the
providers of health care services, residential services, or other
services to the respondent is (if none, indicate: NONE):
_____________________________

_____________________________
____________________
The relationship and previous association of the proposed co-

guardian advocate to the respondent is ____________________ .
The proposed co-guardian advocate should be appointed
because: _____________________________

_____________________________



_____________________________

(b) Notice.
The notice of the filing of the petition for the appointment of guardian

advocate of the person and notice of hearing must be served with the petition
for appointment of guardian advocate of the person pursuant to subdivision
(a) of this rule.

FORM FOR NOTICE OF FILING OF A PETITION FOR
APPOINTMENT OF GUARDIAN ADVOCATE OF THE PERSON

PURSUANT TO SECTION 393.12(4), FLORIDA STATUTES,
AND NOTICE OF HEARING

In Re: Guardianship Advocacy of
_____________________
Respondents Name
Person with Developmental Disability
_____________________



NOTICE OF FILING OF A PETITION FOR
APPOINTMENT OF GUARDIAN ADVOCATE

AND NOTICE OF HEARING
TO: .....(Respondent)....., .....(attorney for respondent)....., .....

(next of kin)....., .....(healthcare surrogate)....., and .....(agent
under durable power of attorney).....

YOU ARE NOTIFIED that a petition for appointment of
guardian advocate of the person has been filed. A copy of the
petition for appointment of guardian advocate of the person is
attached to this notice. There will be a hearing on the petition as
follows:

You are to appear before the Honorable ...................., Judge,
at .....(time)....., on .....(date)....., at the county courthouse of
.................... County, in ...................., Florida for the hearing of
this petition.

The reason for this hearing is to inquire into the capacity of
the respondent, the person with a developmental disability, to
exercise the rights enumerated in the petition. (See 
744.102(12)(b), Fla. Stat.)

The respondent has the right to be represented by counsel of
his or her own choice and the court has initially appointed the
following attorney to represent the respondent:

Attorney for the respondent: .....(name)....., .....(address)......,
.....(phone)....., .....(e-mail)......

Respondent has the right to substitute an attorney of his or her
own choice in place of the attorney appointed by the court.



CERTIFICATE OF SERVICE
I CERTIFY that a copy of the foregoing notice of filing

petition to appoint guardian advocate and notice of hearing and a
copy of the petition for appointment of guardian advocate of the
person was served on all persons indicated above, including on
the attorney for the respondent, on .....(date)......

If you are a person with a disability who needs any
accommodation in order to participate in this proceeding,
you are entitled, at no cost to you, to the provision of certain
assistance. Please contact [identify applicable court
personnel by name, address, and telephone number] at least
7 days before your scheduled court appearance, or
immediately upon receiving this notification if the time
before the scheduled appearance is less than 7 days; if you
are hearing or voice impaired, call 711.
(c) Order.



ORDER APPOINTING GUARDIAN ADVOCATE
Upon consideration of the petition for the appointment of

guardian advocate of the person, the court finds that .....
(respondents name)..... has a developmental disability of a
nature that requires the appointment of guardian advocate of the
person based upon the following findings of fact and conclusions
of law:

1.  The nature and scope of the persons lack of decision-
making ability are: _____________________________

_____________________________
_____________________________
_____________________________
2.  The exact areas in which the person lacks decision-making

ability to make informed decisions about care and treatment
services or to meet the essential requirements for his/her health
and safety are specified in number 4.

3.  The specific legal disabilities to which the person with a
developmental disability is subject to are:
_____________________________

_____________________________



_____________________________
4.  The powers and duties delegated to the guardian advocate

are:
    ( ) a. to apply for government benefits;
    ( ) b. to determine residency;
    ( ) c. to consent to medical and mental health treatment;
    ( ) d. to make decisions about social environment/social

aspects of life; and
    ( ) e. to make decisions regarding education.
5.  There are no alternatives to guardian advocacy, such as

trust agreements, powers of attorney, designation of health care
surrogate, or other advanced directive, known to petitioner that
would sufficiently address the problems of the respondent in
whole or in part. Thus, it is necessary that a guardian advocate be
appointed to exercise some but not all of the rights of
respondent.

6.  Without first obtaining specific authority from the court, as
stated in section 744.3725, Florida Statutes, the guardian
advocate may not exercise any authority over any health care
surrogate appointed by any valid advance directive executed by
the disabled person, pursuant to Chapter 765, Florida Statutes,
except upon further order of this Court.

ORDERED AND ADJUDGED:
1. .....(Name)..... is qualified to serve as guardian advocate and

is hereby appointed as guardian advocate of the person of .....
(respondents name)......

2.  The guardian advocate shall exercise only the rights that



the court has found the disabled person incapable of exercising
on his or her own behalf, as outlined herein above. Said rights
are specifically delegated to the guardian advocate.

ORDERED this .....(date)......



 Pt. V. ,  Rule 5.906. 
Fla. Prob. R. 5.906

RULE 5.906. LETTERS OF GUARDIAN ADVOCACY.
FORM LETTERS OF GUARDIAN ADVOCACY

In Re: Guardianship Advocacy of
_____________________
Respondents Name
Person with Developmental Disability
_____________________

LETTERS OF GUARDIAN ADVOCATE (CO-GUARDIAN
ADVOCATES) OF THE PERSON

TO ALL WHOM IT MAY CONCERN:
WHEREAS, .....(guardian advocates name(s))..... has/have

been appointed guardian advocate(s) of the person of .....(the
ward)....., a person with a developmental disability who lacks the
decision-making capacity to do some of the tasks necessary to
take care of his/her person; and

NOW, THEREFORE, I, the undersigned, declare that .....
(guardian advocates name(s))..... is/are duly qualified under the
laws of the State of Florida to act as guardian advocate of the
person of .....(the ward)...., with full power to exercise the
following powers and duties on behalf of the person with a
developmental disability:



( ) 1. to apply for government benefits;
( ) 2. to determine residency;
( ) 3. to consent to medical and mental health treatment; and
( ) 4. to make decisions about social environment and social aspects
of life; and
( ) 5. to make decisions regarding education.

Without first obtaining specific authority from the court,
pursuant to sections 744.3215(4) and 744.3725, Florida Statutes,
the guardian advocate (co-guardian advocates) may not:
a. commit the respondent to a facility, institution, or licensed service
provider without formal placement proceedings pursuant to Chapter 393,

Florida Statutes;
b. consent to the participation of the respondent in any experimen-
tal biomedical or behavior procedure, exam, study, or research;
c. consent to the performance of sterilization or abortion procedure
on the respondent;
d. consent to termination of life support systems provided for the
respondent;
e. initiate a petition for dissolution of marriage for the ward; or
f. exercise any authority over any health care surrogate appoint-
ment by a valid advance directive executed by the disabled person,

pursuant to Chapter 765, Florida Statutes, except upon further order of this
court.

The respondent shall retain all legal rights except those that
are specifically granted to the guardian advocate (co-guardian
advocates) pursuant to court order.

ORDERED this .....(date)......






 Pt. V. ,  Rule 5.910. 
Fla. Prob. R. 5.910

RULE 5.910. INVENTORY.












 Pt. V. ,  Rule 5.920. 
Fla. Prob. R. 5.920

RULE 5.920. FORMS RELATED TO INJUNCTION FOR
PROTECTION AGAINST EXPLOITATION OF A VULNERABLE
ADULT.

(a) Petition for Injunction. Petitioners should take steps to protect
confidential information within the petition for injunction pursuant to Florida
Rule of Judicial Administration 2.420 and minimize sensitive information
within the petition for injunction pursuant to Florida Rule of Judicial
Administration 2.425.

IN THE CIRCUIT COURT OF THE ___________ JUDICIAL CIRCUIT,
IN AND FOR ___________ COUNTY, FLORIDA

PETITION FOR INJUNCTION FOR PROTECTION
AGAINST EXPLOITATION OF A VULNERABLE ADULT

UNDER SECTION 825.1035, FLORIDA STATUTES
Before me, the undersigned authority, personally appeared

petitioner __________________ who has been sworn and says
that the following statements are true:

1.  The vulnerable adult, ___________, whose age is
___________, who resides at (address):
_____________________________

2.  Section 825.101(14), Florida Statutes, provides that a
vulnerable adult is a person whose ability to perform the normal
activities of daily living or to provide for his or her own care or



protection is impaired due to a mental, emotional, sensory, long-
term physical, or developmental disability or dysfunction, or
brain damage, or the infirmities of aging. Please describe the
vulnerable adults inability to perform the normal activities of
daily living. _____________________________

_____________________________
_____________________________
_____________________________
3.  The petitioners relationship to the vulnerable adult is:

_______, and the petitioner has the right to bring the petition
because: _____________________________

4.  The respondent, _______, resides at (last known address):
_____________________________

_____________________________
5.  The respondents last known place of employment is:

_____________________________
_____________________________
6.  The physical description of the respondent is:

7.  Aliases of the respondent are:
_____________________________

8.  The respondent is associated with the vulnerable adult as
follows: _____________________________

_____________________________
9.  The following describes other causes of action:



    (a) _______   there is/are 1 or more cause(s) of action
currently pending between the petitioner and the respondent,
and/or a proceeding under the Florida Guardianship Code,
chapter 744, Florida Statutes, concerning the vulnerable adult.
Describe causes of action here:
_____________________________

    (b) Related case numbers and county where filed, if
available: _____________________________

_____________________________
    (c) _______ there are previous or pending attempts by the

petitioner to obtain an injunction for protection against
exploitation of the vulnerable adult in this or any other circuit.
Describe attempts here: _____________________________

_____________________________
    (d) The results of any such attempts:

_____________________________
_____________________________
10.  The following describes the petitioners knowledge of:
    (a) Any reports made to a government agency, such as the

Department of Elder Affairs or the Department of Children and
Families: _____________________________

_____________________________
_____________________________
    (b) Any investigations performed by a government agency

relating to abuse, neglect, or exploitation of the vulnerable adult:
_____________________________

_____________________________



and
    (c) The results of any such reports or investigations:

_____________________________
_____________________________
_____________________________
_____________________________
11.  The petitioner knows or has reasonable cause to believe

the vulnerable adult is either a victim of exploitation or is in
imminent danger of becoming a victim of exploitation, because
the respondent (include a description of any incidents or threats
of exploitation by the respondent here):
_____________________________

_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
12.  The following describes:
    (a) The petitioners knowledge of the vulnerable adults

dependence on the respondent for care:
_____________________________

    (b) Alternative provisions for the vulnerable adults care in
the absence of the respondent, if necessary:
_____________________________

    (c) Available resources the vulnerable adult has for such



alternative provisions: _____________________________
    (d) The vulnerable adults willingness to use such

alternative provisions: _____________________________
_____________________________
_____________________________
_____________________________
_____________________________
13.  The petitioner knows the vulnerable adult maintains

assets, accounts, or lines of credit at the following institutions:

14.  If petitioner is seeking to freeze assets of the vulnerable
adult, petitioner believes that the vulnerable adults assets to be
frozen are (check one):

    _______ Worth less than $1,500
    _______ Worth from $1,500 to $5,000
    _______ Worth more than $5,000
15.  The petitioner genuinely fears imminent exploitation of

the vulnerable adult by the respondent.
16.  The petitioner seeks an injunction for the protection of the

vulnerable adult, including (mark appropriate section or
sections):



    _______ Prohibiting the respondent from having any direct
or indirect contact with the vulnerable adult.

    _______ Immediately restraining the respondent from
committing any acts of exploitation against the vulnerable adult.

    _______ Freezing the below assets, accounts, and/or lines
of credit of the vulnerable adult, listed below even if titled jointly
with the respondent, or in the respondents name only, in the
courts discretion.

    _______ Providing any terms the court deems necessary for
the protection of the vulnerable adult or his or her assets,
including any injunctions or directives to law enforcement
agencies, including: _____________________________

_____________________________
17.  If the court enters an injunction freezing assets, accounts,

and credit lines:
    (a) the petitioner believes that the critical expenses of the

vulnerable adult will be paid for or provided by the following
persons or entities: _____________________________

_____________________________
_____________________________
_____________________________



OR
    (b) The petitioner requests that the following expenses be

paid notwithstanding the freezing of assets, accounts, or lines of
credit from the following institution(s):
_____________________________

_____________________________
_____________________________
_____________________________
I ACKNOWLEDGE THAT PURSUANT TO SECTION

415.1034, FLORIDA STATUTES, ANY PERSON WHO
KNOWS, OR HAS REASONABLE CAUSE TO SUSPECT,
THAT A VULNERABLE ADULT HAS BEEN OR IS BEING
ABUSED, NEGLECTED, OR EXPLOITED HAS A DUTY TO
IMMEDIATELY REPORT SUCH KNOWLEDGE OR
SUSPICION TO THE CENTRAL ABUSE HOTLINE. I HAVE
REPORTED THE ALLEGATIONS IN THIS PETITION TO
THE CENTRAL ABUSE HOTLINE.

I HAVE READ EACH STATEMENT MADE IN THIS
PETITION AND EACH SUCH STATEMENT IS TRUE AND
CORRECT. I UNDERSTAND THAT THE STATEMENTS
MADE IN THIS PETITION ARE BEING MADE UNDER
PENALTY OF PERJURY PUNISHABLE AS PROVIDED IN
SECTION 837.02, FLORIDA STATUTES.

STATE OF FLORIDA



COUNTY OF ___________
Sworn to or affirmed and signed before me on .....(date)......

_______ Personally known or _______ Produced
identification

Type of identification produced:
_____________________________
(b) Temporary Protective Injunction Against Exploitation of a Vulnerable

Adult.
IN THE CIRCUIT COURT OF THE ___________ JUDICIAL CIRCUIT,

IN AND FOR ___________ COUNTY, FLORIDA

TEMPORARY PROTECTIVE INJUNCTION AGAINST
EXPLOITATION OF A VULNERABLE ADULT AND NOTICE OF

HEARING
This cause came before the court, which has jurisdiction over

the parties and subject matter under state law. The court having
reviewed the petition and affidavits and considered argument of
counsel, finds as follows:

1.  _______ Reasonable notice and opportunity to be heard
was given to the respondent in a manner sufficient to protect his
or her due process rights. Date of service
_____________________________



OR
2.  _______ The court conducted its review ex parte.
3.  An immediate and present danger of exploitation of the

vulnerable adult exists.
4.  There is a likelihood of irreparable harm and unavailability

of an adequate legal remedy.
5.  There is a substantial likelihood of success on the merits.
6.  The threatened injury to the vulnerable adult outweighs

possible harm to the respondent.
7.  Granting a temporary injunction will not disserve the

public interest.
8.  This injunction provides for the vulnerable adults physical

or financial safety.
9.  These findings were based on the following facts:

_____________________________
_____________________________
_____________________________
_____________________________
Accordingly, it is hereby ADJUDGED that:
The petitioners request for a temporary protective injunction

is GRANTED. This injunction is valid for 15 days from the date
of this order or _______. The full hearing is set for .....(date).....,
at .....(time)...... The hearing will be held before the Honorable
_______ at _______, Florida.

It is further ordered that:



_______   The respondent shall not commit any act of
exploitation against the vulnerable adult.

_______   The respondent will have no contact with
vulnerable adult.

_______   The vulnerable adult is awarded temporarily
exclusive use and possession of any dwelling he or she shares
with the respondent.

_______   The respondent is barred from entering the
residence of the vulnerable adult.

_______   The vulnerable adults assets, accounts, and/or
credit lines are hereby frozen until further court order except:
_____________________________

_____________________________
_______   Institution(s) served on .....(date)......
_______   The following institution(s) _______ holding the

vulnerable adults assets shall use his or her unencumbered
assets to pay the clerk of court the following filing fee:

_______   $75.00 (if assets are between $1,500-$5,000)
OR
_______   $200.00 (if assets are more than $5,000).
If the court enters an injunction, these fees will be taxed as

costs against the respondent.
Law enforcement is hereby directed to:

_____________________________
_____________________________
_____________________________



Other relief: _____________________________
_____________________________
_____________________________
This injunction is valid and enforceable in all Florida counties,

does not affect title to real property, and law enforcement may
use their section 901.15(6), Florida Statutes, arrest powers to
enforce its terms.

DONE and ORDERED on .....(date)..... at .....(time)......

CC: All parties and counsel of record
COPIES TO: (Check those that apply)
Petitioner:
_______   by U. S. Mail
_______   by hand delivery in open court (Petitioner must

acknowledge receipt in writing on the original ordersee
below.)

Vulnerable Adult (if not petitioner)
_______   by U. S. Mail
_______   by hand delivery in open court
Respondent:
_______   forwarded to Sheriff for service
_______   by U. S. Mail
_______   by hand delivery in open court (Respondent must

acknowledge receipt in writing on the original ordersee



below.)
_______   by certified mail (May only be used when

respondent is present at the hearing and Respondent fails or
refuses to acknowledge the receipt of a certified copy of this
injunction.)

_______   Other: _____________________________
Petitioners Attorney: _______ by e-mail
Respondents Attorney: _______ by e-mail
I CERTIFY the foregoing is a true copy of the original as it

appears on file in the office of the clerk of the circuit court of
___________ County, Florida, and that I have furnished copies
of this order as indicated above on .....(date)......

If you are a person with a disability who needs any
accommodation in order to participate in this proceeding,
you are entitled, at no cost to you, to the provision of certain
assistance. Please contact [identify applicable court
personnel by name, address, and telephone number] at least
7 days before your scheduled court appearance, or
immediately upon receiving this notification if the time
before the scheduled appearance is less than 7 days; if you
are hearing or voice impaired, call 711.
(c) Order Denying Injunction and Notice of Hearing.

IN THE CIRCUIT COURT OF THE ___________ JUDICIAL CIRCUIT,
IN AND FOR ___________ COUNTY, FLORIDA



ORDER DENYING REQUEST FOR TEMPORARY INJUNCTION
AND SETTING HEARING ON PETITION FOR INJUNCTION FOR
PROTECTION AGAINST EXPLOITATION OF A VULNERABLE

ADULT
A petition for injunction for protection against exploitation of

a vulnerable adult has been reviewed. This court has jurisdiction
over the parties and of the subject matter. Based upon the facts
stated in the petition, the court finds:

The facts supporting the denial of the request for an ex parte
injunction are: _____________________________

_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
The court finds that based upon the facts, as stated in the

petition alone and without a hearing in the matter, there is no
appearance of an immediate and present danger of exploitation
of a vulnerable adult.

IT IS THEREFORE ORDERED:
The request for a temporary injunction for protection against



exploitation of a vulnerable adult is denied. A hearing is
scheduled on the petition for injunction for protection against
exploitation of a vulnerable adult. The petitioner has the right to
promptly amend any petition consistent with court rules.

NOTICE OF HEARING
A hearing is scheduled regarding this matter on .....(date).....,

at .....(time)....., when the court will fully hear the allegations in
the petition for injunction for protection against exploitation of a
vulnerable adult. The hearing will be before The Honorable .....
(name)....., at the following .....(address)....., Florida. All
witnesses and evidence, if any, must be presented at this time.

IF EITHER PETITIONER OR RESPONDENT DO NOT
APPEAR AT THE FINAL HEARING, HE OR SHE WILL
BE BOUND BY THE TERMS OF ANY INJUNCTION OR
ORDER ISSUED IN THIS MATTER.

Nothing in this order limits petitioners rights to dismiss the
petition.

DONE AND ORDERED in, ___________ Florida, on .....
(date)......

COPIES TO:
Sheriff of _________ County
CERTIFICATE OF SERVICE:
Petitioner: _______ by U. S. Mail _______ by e-mail to

designated e-mail address(es)
Respondent will be served by sheriff.
Vulnerable Adult will be served by sheriff.



The financial institution will be served by sheriff. (If any
assets, accounts, or lines of credit are requested to be frozen,
insert names of the financial institutions.)

I CERTIFY the foregoing is a true copy of the original as it
appears on file in the office of the clerk of the circuit court of
_________ County, Florida, and that I have furnished copies of
this order as indicated above.

If you are a person with a disability who needs any
accommodation in order to participate in this proceeding,
you are entitled, at no cost to you, to the provision of certain
assistance. Please contact [identify applicable court
personnel by name, address, and telephone number] at least
7 days before your scheduled court appearance, or
immediately upon receiving this notification if the time
before the scheduled appearance is less than 7 days; if you
are hearing or voice impaired, call 711.
(d) Final Protective Injunction.

IN THE CIRCUIT COURT OF THE ___________ JUDICIAL CIRCUIT,
IN AND FOR ___________ COUNTY, FLORIDA

PERMANENT INJUNCTION FOR PROTECTION AGAINST
EXPLOITATION OF A VULNERABLE ADULT



This cause came before the court, which has jurisdiction over
the parties and subject matter under state law. The court having
reviewed the petition and affidavits and considered the testimony
presented and argument of counsel, finds as follows:

1.  Reasonable notice and opportunity to be heard was given to
the respondent in a manner sufficient to protect his or her due
process rights. Respondent was served with the petition for
injunction, notice of hearing, and temporary protective
injunction, if issued.

2.  A hearing was held on .....(date)......
3.  The vulnerable adult is a victim of exploitation or in

imminent danger of becoming an exploitation victim.
4.  There is a likelihood of irreparable harm and unavailability

of an adequate legal remedy.
5.  The threatened injury to the vulnerable adult outweighs

possible harm to the respondent.
6.  With regard to freezing the respondents assets, accounts,

and/or lines of credit that were the proceeds of exploitation, there
is probable cause that exploitation has occurred and a substantial
likelihood that such assets, accounts, and/or lines of credit will
be returned to the vulnerable adult.

7.  This injunction provides for the vulnerable adults physical
or financial safety.

8.  These findings were based on the following facts:
_____________________________
_____________________________
_____________________________



_____________________________
_____________________________
Accordingly, it is hereby ADJUDGED that:
The petitioners request for a protective injunction is

GRANTED. This injunction remains in effect until it has been
modified or dissolved, and it is further ordered that:

_______   The respondent shall not commit any acts of
exploitation against, or have any direct or indirect contact with,
the vulnerable adult.

_______   The vulnerable adult is awarded exclusive use and
possession of any dwelling he or she shares with the respondent.

_______   The respondent is excluded from the residence of
the vulnerable adult.

_______   The respondent shall, at his or her own expense,
participate in all relevant treatment, intervention, or counseling
services to be paid for by the respondent.

_______   Unless ownership is unclear, any temporarily frozen
assets, accounts, and credit lines of the vulnerable adult are to be
returned to the vulnerable adult.

If not already paid pursuant to the order granting temporary
protective injunction against exploitation of a vulnerable adult, a
final cost judgment is hereby entered against respondent and in
favor of the clerk of courts in the amount of (check one):

_______   $75.00 (if assets are between $1,500-$5,000)
OR
_______   $200.00 (if assets are more than $5,000).



All for which let execution issue forthwith.
If the amount set forth above has already been paid to the

clerk of courts, a final cost judgment is hereby entered against
respondent and in favor of the vulnerable adult in the amount set
forth above, all for which let execution issue forthwith.

Any other costs associated with this judgment, including filing
fees and service charges, are to be paid by the respondent.

Other: _____________________________
_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
_____________________________
This injunction is valid and enforceable in all Florida counties,

does not affect title to real property, and law enforcement may
use section 901.15(6), Florida Statutes, arrest powers to enforce
its terms.

DONE and ORDERED on .....(date)......

CC: All parties and counsel of record
COPIES TO: (Check those that apply)
Petitioner:



_______   by U. S. Mail
_______   by hand delivery in open court
Respondent:
_______   forwarded to Sheriff for service
_______   by U. S. Mail
_______   by hand delivery in open court (Respondent must

acknowledge receipt in writing on the original ordersee
below.)

_______   by certified mail (May only be used when
respondent is present at the hearing and respondent fails or
refuses to acknowledge the receipt of a certified copy of this
injunction.)

_______   Department of Agriculture and Consumer Services
_______   Other: _____________________________
Petitioners Attorney _______ by e-mail
Respondents Attorney _______ by e-mail
I CERTIFY the foregoing is a true copy of the original as it

appears on file in the office of the clerk of the circuit court of
_______ County, Florida, and that I have furnished copies of this
order as indicated above on .....(date)......



Licensed to Otis K Pitts, Otis K Pitts

FLORIDA STATUTES

__________

TITLE VI 
CIVIL PRACTICE AND PROCEDURE.

CHAPTER 69 
MISCELLANEOUS PROCEDURAL MATTERS.

69.031 Designated financial institutions for assets in hands of guardians,
curators, administrators, trustees, receivers, or other officers.

CHAPTER 86 
DECLARATORY JUDGMENTS.

86.041 Actions by executors, administrators, trustees, etc.
TITLE XIV 

TAXATION AND FINANCE
CHAPTER 198 

ESTATE TAXES.
198.01 Definitions.
198.015 Domicile of decedent.
198.02 Tax upon estates of resident decedents.
198.021 Tax upon generation-skipping transfers of residents.
198.03 Tax upon estates of nonresident decedents.
198.031 Tax upon generation-skipping transfers of nonresidents.
198.04 Tax upon estates of alien decedents.
198.05 Administration of law by Department of Revenue.
198.06 Examination of books, papers, records, or memoranda by the

department.



198.07 Appointment of agents by department; bonds of agents; may
administer oaths; credentials.

198.08 Rules.
198.11 Appointment of special appraisers.
198.13 Tax return to be made in certain cases; certificate of nonliability.
198.14 Failure to make return; extension of time for filing.
198.15 When tax due; extension; interest; penalty.
198.155 Payment of tax on generation-skipping transfers.
198.16 Notice of determination of deficiency in federal tax to be filed with

department.
198.17 Deficiency; hearing by department.
198.18 Failure to pay tax; penalties; delinquent or deficient taxes, interest.
198.19 Receipts for taxes.
198.20 Failure to pay tax when due, departments warrant, etc.
198.21 Tax due payable from entire estate; third persons.
198.22 Lien for unpaid taxes.
198.23 Personal liability of personal representative.
198.24 Sale of real estate by personal representative to pay tax.
198.25 Actions to enforce payment of tax.
198.26 No discharge of personal representative until tax is paid.
198.28 Time for assessment of tax.
198.29 Refunds of excess tax paid.
198.30 Circuit judge to report names of decedents, etc.
198.31 Duties and powers of corporate personal representatives of

nonresident decedents.
198.32 Prima facie liability for tax.
198.33 Discharge of estate, notice of lien, limitation on lien, etc.



198.34 Disposition of proceeds from taxes.
198.35 Interpretation and construction.
198.36 Failure to produce records; penalty.
198.37 Failure to make return; penalty.
198.38 False return; penalty.
198.39 False statement in return; penalty.
198.40 Failure to pay tax, evasion of tax, etc.; penalty.
198.41 Effectiveness of this chapter, etc.
198.42 Short title.
198.44 Certain exemptions from inheritance and estate taxes.

TITLE XV 
HOMESTEAD AND EXEMPTIONS.

CHAPTER 222 
METHOD OF SETTING APART HOMESTEAD AND EXEMPTIONS.

222.01 Designation of homestead by owner before levy.
222.02 Designation of homestead after levy.
222.03 Survey at instance of dissatisfied creditor.
222.04 Sale after survey.
222.05 Setting apart leasehold.
222.061 Method of exempting personal property; inventory.
222.07 Defendants rights of selection.
222.08 Jurisdiction to set apart homestead and exemption.
222.09 Injunction to prevent sale.
222.10 Jurisdiction to subject property claimed to be exempt.
222.11 Exemption of wages from garnishment.
222.12 Proceedings for exemption. [Repealed]
222.13 Life insurance policies; disposition of proceeds.



222.14 Exemption of cash surrender value of life insurance policies and
annuity contracts from legal process.

222.15 Wages or reemployment assistance or unemployment compensation
payments due deceased employee may be paid spouse or certain relatives.

222.16 Wages or reemployment assistance or unemployment compensation
payments so paid not subject to administration.

222.17 Manifesting and evidencing domicile in Florida.
222.18 Exempting disability income benefits from legal processes.
222.20 Nonavailability of federal bankruptcy exemptions.
222.201 Availability of federal bankruptcy exemptions.
222.21 Exemption of pension money and certain tax-exempt funds or

accounts from legal processes.
222.22 Exemption of assets in qualified tuition programs, medical savings

accounts, Coverdell education savings accounts, and hurricane savings
accounts from legal process.

222.25 Other individual property of natural persons exempt from legal
process.

222.29 No exemption for fraudulent transfers.
222.30 Fraudulent asset conversions.

TITLE XXIX 
PUBLIC HEALTH.

CHAPTER 393 
DEVELOPMENTAL DISABILITIES.

393.063 Definitions.
393.12 Capacity; appointment of guardian advocate.

TITLE XXX 
SOCIAL WELFARE.

CHAPTER 409 
SOCIAL AND ECONOMIC ASSISTANCE.



409.910 Responsibility for payments on behalf of Medicaid-eligible persons
when other parties are liable.

409.9101 Recovery for payments made on behalf of Medicaid-eligible
persons.

TITLE XXXIII 
REGULATION OF TRADE, COMMERCE, INVESTMENTS, AND

SOLICITATIONS.
CHAPTER 518 

INVESTMENT OF FIDUCIARY FUNDS.
518.01 Investments of funds received from United States Department of

Veterans Affairs.
518.06 Investment of fiduciary funds in loans insured by Federal Housing

Administrator.
518.07 Investment of fiduciary funds in bonds, etc., issued by Federal

Housing Administrator.
518.08 Applicability of laws requiring security, etc.
518.09 Housing bonds legal investments and security.
518.10 Fiduciary defined as used in ss. 518.11-518.14.
518.11 Investments by fiduciaries; prudent investor rule.
518.112 Delegation of investment functions.
518.115 Power of fiduciary or custodian to deposit securities in a central

depository.
518.116 Power of certain fiduciaries and custodians to deposit United States

Government and agency securities with a Federal Reserve bank.
518.117 Permissible investments of fiduciary funds.
518.12 Instrument creating or defining powers, duties of fiduciary not

affected.
518.13 Authority of court to permit deviation from terms of instrument

creating trust not affected.
518.14 Scope of ss. 518.10-518.13.



518.15 Bonds or motor vehicle tax anticipation certificates, legal investments
and security.

518.151 Higher education bonds or certificates, legal investments and
security.

518.152 Puerto Rican bonds or obligations, legal investments and securities.
518.16 Chapter cumulative.

TITLE XXXVIII 
BANKS AND BANKING.

CHAPTER 655 
FINANCIAL INSTITUTIONS GENERALLY.

655.769 Definitions of terms used in ss. 655.77-655.91.
655.77 Deposits by minors.
655.78 Deposit accounts in two or more names.
655.79 Deposits and accounts in two or more names; presumption as to

vesting on death.
655.80 Convenience accounts.
655.82 Pay-on-death accounts.
655.825 Deposits in trust; applicability of s. 655.82 in place of former s.

655.81.
655.83 Adverse claim to a deposit or fiduciary account.
655.84 Limitations; statements as correct.
655.85 Settlement of checks.
655.851 Unclaimed credit balances.
655.86 Issuance of postdated checks.
655.89 Legal holidays; business days; business and transactions.
655.90 Closing during emergencies and other special days.
655.91 Records of institutions and copies thereof; retention and destruction.
655.921 Transaction of business by out-of-state financial institutions; exempt



transactions.
655.922 Banking business by unauthorized persons; use of name.
655.93 Definitions for ss. 655.93-655.94.
655.931 Authority to engage in safe-deposit business.
655.932 Lease to minor.
655.933 Access by fiduciaries.
655.934 Effect of lessees death or incapacity.
655.935 Search procedure on death of lessee.
655.936 Delivery of safe-deposit box contents or property held in

safekeeping to personal representative.
655.937 Access to safe-deposit boxes leased in two or more names.
655.938 Adverse claims to contents of safe-deposit box.
655.939 Limiting right of access for failure to comply with security

procedures.
655.94 Special remedies for nonpayment of rent.

TITLE XL 
REAL AND PERSONAL PROPERTY.

CHAPTER 689 
CONVEYANCES OF LAND AND DECLARATIONS OF TRUST.

689.01 How real estate conveyed.
689.02 Form of warranty deed prescribed.
689.03 Effect of such deed.
689.04 How executed.
689.041 Curative procedure for scriveners errors in deeds.
689.045 Conveyances to or by partnership.
689.05 How declarations of trust proved.
689.06 How trust estate conveyed.



689.07 Trustee or as trustee added to name of grantee, transferee,
assignee, or mortgagee transfers interest or creates lien as if additional
word or words not used.

689.071 Florida Land Trust Act.
689.072 Real estate interests transferred to or by a custodian or trustee of an

individual retirement account or qualified plan.
689.073 Powers conferred on trustee in recorded instrument.
689.075 Inter vivos trusts; powers retained by settlor.
689.08 Fines and common recoveries.
689.09 Deeds under statute of uses.
689.10 Words of limitation and the words fee simple dispensed with.
689.11 Conveyances between husband and wife direct; homestead.
689.111 Conveyances of homestead; power of attorney.
689.115 Estate by the entirety in mortgage made or assigned to husband and

wife.
689.12 How state lands conveyed for educational purposes.
689.13 Rule against perpetuities not applicable to dispositions of property for

private cemeteries, etc.
689.14 Entailed estates.
689.15 Estates by survivorship.
689.17 Rule in Shelleys Case abolished.
689.175 Worthier title doctrine abolished.
689.18 Reverter or forfeiture provisions, limitations; exceptions.
689.19 Variances of names in recorded instruments.
689.20 Limitation on use of word minerals.
689.21 Disclaimer of interests in property passing under certain

nontestamentary instruments or under certain powers of appointment.
[Repealed]



689.225 Statutory rule against perpetuities.
689.25 Failure to disclose homicide, suicide, deaths, or diagnosis of HIV or

AIDS infection in an occupant of real property.
689.26 Prospective purchasers subject to association membership

requirement; disclosure required; covenants; assessments; contract
voidability. [Transferred]

689.261 Sale of residential property; disclosure of ad valorem taxes to
prospective purchaser.

689.262 Sale of residential property; disclosure of windstorm mitigation
rating. [Repealed]

689.265 Financial report. [Transferred]
689.27 Termination by servicemember of agreement to purchase real

property.
689.28 Prohibition against transfer fee covenants.
689.29 Disclosure of subsurface rights to prospective purchaser.
689.301 Disclosure of known defects in sanitary sewer laterals to prospective

purchaser.
CHAPTER 695 

RECORD OF CONVEYANCES OF REAL ESTATE.
695.01 Conveyances and liens to be recorded.
695.015 Conveyances by law between governmental agencies, recording.
695.02 Blank or master form of instruments may be recorded.
695.03 Acknowledgment and proof; validation of certain acknowledgments;

legalization or authentication before foreign officials.
695.031 Affidavits and acknowledgments by members of armed forces and

their spouses.
695.032 Provisions not applicable to transactions under chapter 679, Uniform

Commercial Code.
695.04 Requirements of certificate.



695.05 Certain defects cured as to acknowledgments and witnesses.
695.06 Certain irregularities as to venue validated.
695.07 Use of scrawl as seal.
695.08 Prior use of scrawl as seal.
695.09 Identity of grantor.
695.10 Proof by others.
695.11 Instruments deemed to be recorded from time of filing.
695.12 Imperfect record.
695.13 Want of certificate of record.
695.14 Unsigned certificate of record.
695.15 Recording conveyances lost by fire.
695.16 When mortgage or lien is destroyed.
695.17 United States deeds and patents may be recorded.
695.18 Indorsement by clerk.
695.19 Certified copies of recorded instruments may be recorded.
695.20 Unperformed contracts of record.
695.22 Daily schedule of deeds and conveyances filed for record to be

furnished property appraiser.
695.25 Short form of acknowledgment.
695.26 Requirements for recording instruments affecting real property.
695.27 Uniform Real Property Electronic Recording Act.
695.28 Validity of recorded electronic documents.

CHAPTER 709 
POWERS OF ATTORNEY AND SIMILAR INSTRUMENTS.

PART I. POWERS OF APPOINTMENT.

709.01 Power of attorney; authority of nominee when principal dead.



[Repealed]
709.015 Power of attorney; authority of agent when principal listed as

missing. [Repealed]
709.02 Power of appointment; method of release.
709.03 Power of appointment; property held in trust.
709.04 Power of appointment; effect of release.
709.05 Powers of appointment; validation of prior releases.
709.06 Powers of appointment included in law.
709.07 Power of appointment; effect of release on title to property.
709.08 Durable power of attorney. [Repealed]
709.11 Deployment-contingent power of attorney. [Repealed]

PART II. POWERS OF ATTORNEY.

709.2101 Short title.
709.2102 Definitions.
709.2103 Applicability.
709.2104 Durable power of attorney.
709.2105 Qualifications of agent; execution of power of attorney.
709.2106 Validity of power of attorney.
709.2107 Meaning and effectiveness of power of attorney.
709.2108 When power of attorney is effective.
709.2109 Termination or suspension of power of attorney or agents

authority.
709.2110 Revocation of power of attorney.
709.2111 Co-agents and successor agents.
709.2112 Reimbursement and compensation of agent.
709.2113 Agents acceptance of appointment.



709.2114 Agents duties.
709.2115 Exoneration of agent.
709.2116 Judicial relief; conflicts of interests.
709.2117 Agents liability.
709.2118 Agents resignation.
709.2119 Acceptance of and reliance upon power of attorney.
709.2120 Rejecting power of attorney.
709.2121 Notice.
709.2201 Authority of agent.
709.2202 Authority that requires separate signed enumeration.
709.2208 Banks and other financial institutions.
709.2301 Principles of law and equity.
709.2302 Laws applicable to financial institutions and entities.
709.2303 Remedies under other law.
709.2401 Relation to electronic signatures in federal law.
709.2402 Effect on existing powers of attorney.

CHAPTER 710 
TRANSFERS TO MINORS.

710.101 Short title.
710.102 Definitions.
710.103 Scope and jurisdiction.
710.104 Nomination of custodian.
710.105 Transfer by gift or exercise of power of appointment.
710.106 Transfer authorized by will or trust.
710.107 Other transfer by fiduciary.
710.108 Transfer by obligor.



710.109 Receipt for custodial property.
710.111 Manner of creating custodial property and effecting transfer;

designation of initial custodian; control.
710.112 Single custodianship.
710.113 Validity and effect of transfer.
710.114 Care of custodial property.
710.115 Powers of custodian.
710.116 Use of custodial property.
710.117 Custodians expenses, compensation, and bond.
710.118 Exemption of third person from liability.
710.119 Liability to third persons.
710.121 Renunciation, resignation, death, or removal of custodian;

designation of successor custodian.
710.122 Accounting by and determination of liability of custodian.
710.123 Termination of custodianship.
710.124 Applicability.
710.125 Effect on existing custodianships.
710.126 Uniformity of application and construction.

CHAPTER 711 
FLORIDA UNIFORM TRANSFER-ON-DEATH SECURITY

REGISTRATION ACT.
711.50 Short title.
711.501 Definitions.
711.502 Registration in beneficiary form; sole or joint tenancy ownership.
711.503 Registration in beneficiary form; applicable law.
711.504 Origination of registration in beneficiary form.
711.505 Form of registration in beneficiary form.



711.506 Effect of registration in beneficiary form.
711.507 Ownership on death of owner.
711.508 Protection of registering entity.
711.509 Nontestamentary transfer on death.
711.51 Terms, conditions, and forms for registration.
711.511 Rules of construction.
711.512 Application of ss. 711.50-711.512.

CHAPTER 716 
ESCHEATS.

716.01 Declaration of policy.
716.02 Escheat of funds in the possession of federal agencies.
716.03 Department to institute proceedings to recover escheated property.
716.04 Jurisdiction.
716.05 Money recovered to be paid into State Treasury.
716.06 Public records.
716.07 Recovery of escheated property by claimant.

CHAPTER 717 
DISPOSITION OF UNCLAIMED PROPERTY.

717.001 Short title.
717.101 Definitions.
717.102 Property presumed unclaimed; general rule.
717.103 General rules for taking custody of intangible unclaimed property.
717.1035 Property originated or issued by this state, any political subdivision

of this state, or any entity incorporated, organized, created, or otherwise
located in the state.

717.104 Travelers checks and money orders.
717.1045 Gift certificates and similar credit items.



717.105 Checks, drafts, and similar instruments issued or certified by
banking and financial organizations.

717.106 Bank deposits and funds in financial organizations.
717.107 Funds owing under life insurance policies, annuity contracts, and

retained asset accounts; fines, penalties, and interest; United States Social
Security Administration Death Master File.

717.1071 Lost owners of unclaimed demutualization, rehabilitation, or
related reorganization proceeds.

717.108 Deposits held by utilities.
717.109 Refunds held by business associations.
717.1101 Unclaimed equity and debt of business associations.
717.111 Property of business associations held in course of dissolution.
717.112 Property held by agents and fiduciaries.
717.1125 Property held by fiduciaries under trust instruments.
717.113 Property held by courts and public agencies.
717.115 Wages.
717.116 Contents of safe-deposit box or other safekeeping repository.
717.117 Report of unclaimed property.
717.118 Notification of apparent owners of unclaimed property.
717.119 Payment or delivery of unclaimed property.
717.1201 Custody by state; holder relieved from liability; reimbursement of

holder paying claim; reclaiming for owner; defense of holder; payment of
safe-deposit box or repository charges.

717.121 Crediting of dividends, interest, or increments to owners account.
717.122 Public sale of unclaimed property.
717.123 Deposit of funds.
717.1235 Dormant campaign accounts; report of unclaimed property.
717.124 Unclaimed property claims.



717.12403 Unclaimed demand, savings, or checking account in a financial
institution held in the name of more than one person.

717.12404 Claims on behalf of a business entity or trust.
717.12405 Claims by estates.
717.12406 Joint ownership of unclaimed securities or dividends.
717.1241 Conflicting claims.
717.1242 Restatement of jurisdiction of the circuit court sitting in probate

and the department.
717.1243 Small estate accounts.
717.1244 Determinations of unclaimed property claims.
717.1245 Garnishment of unclaimed property.
717.125 Claim of another state to recover property; procedure.
717.126 Administrative hearing; burden of proof; proof of entitlement;

venue.
717.1261 Death certificates.
717.1262 Court documents.
717.127 Election to take payment or delivery.
717.128 Destruction or disposition of property having insubstantial

commercial value; immunity from liability.
717.129 Periods of limitation.
717.1301 Investigations; examinations; subpoenas.
717.1311 Retention of records.
717.1315 Retention of records by claimants representatives and buyers of

unclaimed property.
717.132 Enforcement; cease and desist orders; fines.
717.1322 Administrative and civil enforcement.
717.1323 Prohibited practice.
717.133 Interstate agreements and cooperation; joint and reciprocal actions



with other states.
717.1331 Actions against holders.
717.1333 Evidence; estimations; audit reports, examiners worksheets,

investigative reports, other related documents.
717.134 Penalties and interest.
717.1341 Invalid claims, recovery of property, interest and penalties.
717.135 Recovery agreements and purchase agreements for claims filed by a

claimants representative; fees and costs.
717.1351 Acquisition of unclaimed property. [Repealed]
717.1355 Theme park and entertainment complex tickets.
717.136 Foreign transactions.
717.138 Rulemaking authority.
717.1381 Void unclaimed property powers of attorney and purchase

agreements. [Repealed]
717.1382 United States savings bond; unclaimed property; escheatment;

procedure.
717.1383 United States savings bond; claim for bond.
717.139 Uniformity of application and construction.
717.1400 Registration.
717.1401 Repeal.

TITLE XLII 
ESTATES AND TRUSTS.

CHAPTER 731 
PROBATE CODE: GENERAL PROVISIONS.

PART I. SHORT TITLE; CONSTRUCTION.

731.005 Short title.
731.011 Determination of substantive rights; procedures.



731.102 Construction against implied repeal.
731.103 Evidence as to death or status.
731.1035 Applicable rules of evidence.
731.104 Verification of documents.
731.105 In rem proceeding.
731.1055 Disposition of real property.
731.106 Assets of nondomiciliaries.
731.1065 Precious metals.
731.109 Seal of the court.
731.110 Caveat; proceedings.
731.155 Applicability.

PART II. DEFINITIONS.

731.201 General definitions.

PART III. NOTICE AND REPRESENTATION.

731.301 Notice.
731.302 Waiver and consent by interested person.
731.303 Representation.
731.401 Arbitration of disputes.

CHAPTER 732 
PROBATE CODE: INTESTATE SUCCESSION AND WILLS.

PART I. INTESTATE SUCCESSION.

732.101 Intestate estate.
732.102 Spouses share of intestate estate.
732.103 Share of other heirs.



732.104 Inheritance per stirpes.
732.105 Half blood.
732.106 Afterborn heirs.
732.107 Escheat.
732.108 Adopted persons and persons born out of wedlock.
732.1081 Termination of parental rights.
732.109 Debts to decedent.
732.1101 Aliens.
732.111 Dower and curtesy abolished.

PART II. ELECTIVE SHARE OF SURVIVING SPOUSE; RIGHTS IN
COMMUNITY PROPERTY.

732.201 Right to elective share.
732.2025 Definitions.
732.2035 Property entering into elective estate.
732.2045 Exclusions and overlapping application.
732.2055 Valuation of the elective estate.
732.2065 Amount of the elective share.
732.2075 Sources from which elective share payable; abatement.
732.2085 Liability of direct recipients and beneficiaries.
732.2095 Valuation of property used to satisfy elective share.
732.2105 Effect of election on other interests.
732.2115 Protection of payors and other third parties.
732.2125 Right of election; by whom exercisable.
732.2135 Time of election; extensions; withdrawal.
732.2145 Order of contribution; personal representatives duty to collect

contribution.



732.2151 Award of fees and costs in elective share proceedings.
732.2155 Effective date; effect of prior waivers; transition rules.
732.216 Short title.
732.217 Application.
732.218 Rebuttable presumptions.
732.219 Disposition upon death.
732.221 Perfection of title of personal representative or beneficiary.
732.222 Purchaser for value or lender.
732.223 Perfection of title of surviving spouse.
732.224 Creditors rights.
732.225 Acts of married persons.
732.226 Limitations on testamentary disposition.
732.227 Homestead defined.
732.228 Uniformity of application and construction.

PART III. PRETERMITTED SPOUSE AND CHILDREN.

732.301 Pretermitted spouse.
732.302 Pretermitted children.

PART IV. EXEMPT PROPERTY AND ALLOWANCES.

732.401 Descent of homestead.
732.4015 Devise of homestead.
732.4017 Inter vivos transfer of homestead property.
732.402 Exempt property.
732.403 Family allowance.

PART V. WILLS.



732.501 Who may make a will.
732.502 Execution of wills.
732.503 Self-proof of will.
732.504 Who may witness.
732.505 Revocation by writing.
732.506 Revocation by act.
732.507 Effect of subsequent marriage, birth, adoption, or dissolution of

marriage.
732.508 Revival by revocation.
732.509 Revocation of codicil.
732.5105 Republication of wills by codicil.
732.511 Republication of wills by reexecution.
732.512 Incorporation by reference.
732.513 Devises to trustee.
732.514 Vesting of devises.
732.515 Separate writing identifying devises of tangible property.
732.5165 Effect of fraud, duress, mistake, and undue influence.
732.517 Penalty clause for contest.
732.518 Will contests.
732.521 Definitions.
732.522 Method and place of execution.
732.523 Self-proof of electronic will.
732.524 Qualified custodians.
732.525 Liability coverage; receivership of qualified custodians.
732.526 Probate.

PART VI. RULES OF CONSTRUCTION.



732.6005 Rules of construction and intention.
732.601 Simultaneous Death Law.
732.603 Antilapse; deceased devisee; class gifts.
732.604 Failure of testamentary provision.
732.605 Change in securities; accessions; nonademption.
732.606 Nonademption of specific devises in certain cases; sale by guardian

of the property; unpaid proceeds of sale, condemnation, or insurance.
732.607 Exercise of power of appointment.
732.608 Construction of terms.
732.609 Ademption by satisfaction.
732.611 Devises to multigeneration classes to be per stirpes.
732.615 Reformation to correct mistakes.
732.616 Modification to achieve testators tax objectives.

PART VII. CONTRACTUAL ARRANGEMENTS RELATING TO
DEATH.

732.701 Agreements concerning succession.
732.702 Waiver of spousal rights.
732.7025 Waiver of homestead rights through deed.
732.703 Effect of divorce, dissolution, or invalidity of marriage on

disposition of certain assets at death.

PART VIII. GENERAL PROVISIONS.

732.801 Disclaimer of interests in property passing by will or intestate
succession or under certain powers of appointment. [Repealed]

732.802 Killer not entitled to receive property or other benefits by reason of
victims death.

732.8031 Forfeiture for abuse, neglect, exploitation, or aggravated
manslaughter of an elderly person or a disabled adult.



732.804 Provisions relating to disposition of the body.
732.805 Spousal rights procured by fraud, duress, or undue influence.
732.806 Gifts to lawyers and other disqualified persons.

PART IX. PRODUCTION OF WILLS.

732.901 Production of wills.
CHAPTER 733 

PROBATE CODE: ADMINISTRATION OF ESTATES.

PART I. GENERAL PROVISIONS.

733.101 Venue of probate proceedings.
733.103 Effect of probate.
733.104 Suspension of statutes of limitation in favor of the personal

representative.
733.105 Determination of beneficiaries.
733.1051 Limited judicial construction of will with federal tax provisions.
733.106 Costs and attorneys fees.
733.1061 Fees and costs; will reformation and modification.
733.107 Burden of proof in contests; presumption of undue influence.
733.109 Revocation of probate.

PART II. COMMENCING ADMINISTRATION.

733.201 Proof of wills.
733.202 Petition.
733.204 Probate of a will written in a foreign language.
733.205 Probate of notarial will.
733.206 Probate of will of resident after foreign probate.
733.207 Establishment and probate of lost or destroyed will.



733.208 Discovery of later will.
733.209 Estates of missing persons.
733.212 Notice of administration; filing of objections.
733.2121 Notice to creditors; filing of claims.
733.2123 Adjudication before issuance of letters.
733.213 Probate as prerequisite to judicial construction of will.

PART III. PREFERENCE IN APPOINTMENT AND QUALIFICATIONS
OF PERSONAL REPRESENTATIVE.

733.301 Preference in appointment of personal representative.
733.302 Who may be appointed personal representative.
733.303 Persons not qualified.
733.304 Nonresidents.
733.305 Trust companies and other corporations and associations.
733.306 Effect of appointment of debtor.
733.307 Succession of administration.
733.308 Administrator ad litem.
733.309 Executor de son tort.
733.3101 Personal representative not qualified.

PART IV. FIDUCIARY BONDS.

733.402 Bond of fiduciary; when required; form.
733.403 Amount of bond.
733.404 Liability of surety.
733.405 Release of surety.
733.406 Bond premium allowable as expense of administration.

PART V. CURATORS; RESIGNATION AND REMOVAL OF PERSONAL



REPRESENTATIVES.

733.501 Curators.
733.502 Resignation of personal representative.
733.503 Appointment of successor upon resignation.
733.5035 Surrender of assets after resignation.
733.5036 Accounting and discharge following resignation.
733.504 Removal of personal representative; causes for removal.
733.505 Jurisdiction in removal proceedings.
733.506 Proceedings for removal.
733.5061 Appointment of successor upon removal.
733.508 Accounting and discharge of removed personal representatives upon

removal.
733.509 Surrender of assets upon removal.

PART VI. DUTIES AND POWERS OF PERSONAL REPRESENTATIVE.

733.601 Time of accrual of duties and powers.
733.602 General duties.
733.603 Personal representative to proceed without court order.
733.604 Inventories and accountings; public records exemptions.
733.6065 Opening safe-deposit box.
733.607 Possession of estate.
733.608 General power of the personal representative.
733.609 Improper exercise of power; breach of fiduciary duty.
733.610 Sale, encumbrance, or transaction involving conflict of interest.
733.611 Persons dealing with the personal representative; protection.
733.612 Transactions authorized for the personal representative; exceptions.



733.6121 Personal representative; powers as to environmental issues relating
to property subject to administration; liability.

733.613 Personal representatives right to sell real property.
733.614 Powers and duties of successor personal representative.
733.615 Joint personal representatives; when joint action required.
733.616 Powers of surviving personal representatives.
733.617 Compensation of personal representative.
733.6171 Compensation of attorney for the personal representative.
733.6175 Proceedings for review of employment of agents and compensation

of personal representatives and employees of estate.
733.619 Individual liability of personal representative.
733.620 Exculpation of personal representative.

PART VII. CREDITORS CLAIMS.

733.701 Notifying creditors.
733.702 Limitations on presentation of claims.
733.703 Form and manner of presenting claim.
733.704 Amendment of claims.
733.705 Payment of and objection to claims.
733.706 Executions and levies.
733.707 Order of payment of expenses and obligations.
733.708 Compromise.
733.710 Limitations on claims against estates.

PART VIII. SPECIAL PROVISIONS FOR DISTRIBUTION.

733.801 Delivery of devises and distributive shares.
733.802 Proceedings for compulsory payment of devises or distributive

interest.



733.803 Encumbered property; liability for payment.
733.805 Order in which assets abate.
733.806 Advancement.
733.808 Death benefits; disposition of proceeds.
733.809 Right of retainer.
733.810 Distribution in kind; valuation.
733.811 Distribution; right or title of distributee.
733.812 Improper distribution or payment; liability of distributee or payee.
733.813 Purchasers from distributees protected.
733.814 Partition for purpose of distribution.
733.815 Private contracts among interested persons.
733.816 Disposition of unclaimed property held by personal representatives.
733.817 Apportionment of estate taxes.

PART IX. CLOSING ESTATES.

733.901 Final discharge.
733.903 Subsequent administration.

CHAPTER 734 
PROBATE CODE: FOREIGN PERSONAL REPRESENTATIVES;

ANCILLARY ADMINISTRATION

PART I. GENERAL PROVISIONS.

734.101 Foreign personal representative.
734.102 Ancillary administration.
734.1025 Nonresident decedents testate estate with property not exceeding

$50,000 in this state; determination of claims.
734.104 Foreign wills; admission to record; effect on title.



PART II. JURISDICTION OVER FOREIGN PERSONAL
REPRESENTATIVES.

734.201 Jurisdiction by act of foreign personal representative.
734.202 Jurisdiction by act of decedent.

CHAPTER 735 
PROBATE CODE: SMALL ESTATES

PART I. SUMMARY ADMINISTRATION.

735.201 Summary administration; nature of proceedings.
735.202 May be administered in the same manner as other estates.
735.203 Petition for summary administration.
735.2055 Filing of petition.
735.206 Summary administration distribution.
735.2063 Notice to creditors.

PART II. DISPOSITION OF PERSONAL PROPERTY WITHOUT
ADMINISTRATION.

735.301 Disposition without administration.
735.302 Income tax refunds in certain cases.
735.303 Payment to successor without court proceedings.
735.304 Disposition without administration of intestate property in small

estate.
CHAPTER 736 

FLORIDA TRUST CODE

PART I. GENERAL PROVISIONS AND DEFINITIONS.

736.0101 Short title.
736.0102 Scope.



736.0103 Definitions.
736.0104 Knowledge.
736.0105 Default and mandatory rules.
736.0106 Common law of trusts; principles of equity.
736.0107 Governing law.
736.0108 Principal place of administration.
736.0109 Methods and waiver of notice.
736.0110 Others treated as qualified beneficiaries.
736.0111 Nonjudicial settlement agreements.
736.0112 Qualification of foreign trustee.

PART II. JUDICIAL PROCEEDINGS.

736.0201 Role of court in trust proceedings.
736.0202 Jurisdiction over trustee and beneficiary.
736.02025 Service of process.
736.0203 Subject matter jurisdiction.
736.0204 Venue.
736.0205 Trust proceedings; dismissal of matters relating to foreign trusts.

[Repealed]
736.0206 Proceedings for review of employment of agents and review of

compensation of trustee and employees of trust.
736.0207 Trust contests.

PART III. REPRESENTATION.

736.0301 Representation; basic effect.
736.0302 Representation by holder of power of appointment.
736.0303 Representation by fiduciaries and parents.



736.0304 Representation by person having substantially identical interest.
736.0305 Appointment of representative.
736.0306 Designated representative.

PART IV. CREATION, VALIDITY, MODIFICATION, AND
TERMINATION.

736.0401 Methods of creating trust.
736.0402 Requirements for creation.
736.0403 Trusts created in other jurisdictions; formalities required for

revocable trusts.
736.0404 Trust purposes.
736.0405 Charitable purposes; enforcement.
736.0406 Effect of fraud, duress, mistake, or undue influence.
736.0407 Evidence of oral trust.
736.0408 Trust for care of an animal.
736.0409 Noncharitable trust without ascertainable beneficiary.
736.0410 Modification or termination of trust; proceedings for disapproval of

nonjudicial acts.
736.04113 Judicial modification of irrevocable trust when modification is not

inconsistent with settlors purpose.
736.04114 Limited judicial construction of irrevocable trust with federal tax

provisions.
736.04115 Judicial modification of irrevocable trust when modification is in

best interests of beneficiaries.
736.04117 Trustees power to invade principal in trust.
736.0412 Nonjudicial modification of irrevocable trust.
736.0413 Cy pres.
736.0414 Modification or termination of uneconomic trust.



736.0415 Reformation to correct mistakes.
736.0416 Modification to achieve settlors tax objectives.
736.0417 Combination and division of trusts.

PART V. CREDITORS CLAIMS; SPENDTHRIFT AND
DISCRETIONARY TRUSTS.

736.0501 Rights of beneficiarys creditor or assignee.
736.0502 Spendthrift provision.
736.0503 Exceptions to spendthrift provision.
736.0504 Discretionary trusts; effect of standard.
736.0505 Creditors claims against settlor.
736.05053 Trustees duty to pay expenses and obligations of settlors estate.
736.05055 Notice of trust.
736.0506 Overdue distribution.
736.0507 Personal obligations of trustee.

PART VI. REVOCABLE TRUSTS.

736.0601 Capacity of settlor of revocable trust.
736.0602 Revocation or amendment of revocable trust.
736.0603 Settlors powers; powers of withdrawal.
736.0604 Limitation on action contesting validity of revocable trust.

PART VII. OFFICE OF TRUSTEE.

736.0701 Accepting or declining trusteeship.
736.0702 Trustees bond.
736.0703 Cotrustees.
736.0704 Vacancy in trusteeship; appointment of successor.



736.0705 Resignation of trustee.
736.0706 Removal of trustee.
736.0707 Delivery of property by former trustee.
736.0708 Compensation of trustee.
736.0709 Reimbursement of expenses.

PART VIII. DUTIES AND POWERS OF TRUSTEE.

736.0801 Duty to administer trust.
736.0802 Duty of loyalty.
736.0803 Impartiality.
736.0804 Prudent administration.
736.0805 Expenses of administration.
736.0806 Trustees skills.
736.0807 Delegation by trustee.
736.0808 Powers to direct. [Repealed]
736.0809 Control and protection of trust property.
736.0810 Recordkeeping and identification of trust property.
736.08105 Duty to ascertain marketable title of trust real property.
736.0811 Enforcement and defense of claims.
736.0812 Collecting trust property.
736.08125 Protection of successor trustees.
736.0813 Duty to inform and account.
736.08135 Trust accountings.
736.0814 Discretionary powers; tax savings.
736.08145 Grantor trust reimbursement.
736.08147 Duty to distribute trust income.



736.0815 General powers of trustee.
736.0816 Specific powers of trustee.
736.08163 Powers of trustees relating to environmental or human health laws

or to trust property contaminated with hazardous or toxic substances;
liability.

736.08165 Administration pending outcome of contest or other proceeding.
736.0817 Distribution on termination.

PART IX. TRUST INVESTMENTS

736.0901 Applicability of chapter 518.
736.0902 Nonapplication of prudent investor rule.

PART X. LIABILITY OF TRUSTEE AND RIGHTS OF PERSONS
DEALING WITH TRUSTEE.

736.1001 Remedies for breach of trust.
736.1002 Damages for breach of trust.
736.1003 Damages in absence of breach.
736.1004 Attorneys fees and costs.
736.1005 Attorneys fees for services to the trust.
736.1006 Costs in trust proceedings.
736.1007 Trustees attorneys fees.
736.1008 Limitations on proceedings against trustees.
736.1009 Reliance on trust instrument.
736.1010 Event affecting administration or distribution.
736.1011 Exculpation of trustee.
736.1012 Beneficiarys consent, release, or ratification.
736.1013 Limitation on personal liability of trustee.
736.1014 Limitations on actions against certain trusts.



736.1015 Interest as general partner.
736.1016 Protection of person dealing with trustee.
736.1017 Certification of trust.
736.1018 Improper distribution or payment; liability of distributee.

PART XI. RULES OF CONSTRUCTION.

736.1101 Rules of construction; general provisions.
736.1102 Construction of terms.
736.1103 Gifts to multigeneration classes to be per stirpes.
736.1104 Person not entitled to receive property or other benefits by reason

of victims death.
736.1105 Effect of subsequent marriage, birth, adoption, or dissolution of

marriage.
736.1106 Antilapse; survivorship with respect to future interests under terms

of inter vivos and testamentary trusts; substitute takers.
736.1107 Change in securities; accessions; nonademption.
736.1108 Penalty clause for contest.
736.1109 Testamentary and revocable trusts; homestead protections.

PART XII. CHARITABLE TRUSTS.

736.1201 Definitions.
736.1202 Application of this part.
736.1203 Trustee of a private foundation trust or a split interest trust.
736.1204 Powers and duties of trustee of a private foundation trust or a split

interest trust.
736.1205 Notice that this part does not apply.
736.1206 Power to amend trust instrument.
736.1207 Power of court to permit deviation.



736.1208 Release; property and persons affected; manner of effecting.
736.1209 Election to come under this part.
736.1210 Interpretation.
736.1211 Protections afforded to certain charitable trusts and organizations.

PART XIII. MISCELLANEOUS.

736.1301 Electronic records and signatures.
736.1302 Severability clause.
736.1303 Application to existing relationships.

Part XLII. Florida Uniform Directed Trust Act.

736.1401 Short title.
736.1403 Application; principal place of administration.
736.1405 Exclusions.
736.1406 Power of trust director.
736.1407 Limitations on trust director.
736.1408 Duty and liability of trust director.
736.1409 Duty and liability of directed trustee.
736.141 Duty to provide information.
736.1411 No duty to monitor, inform, or advise.
736.1412 Application to cotrustee.
736.1413 Limitation of action against trust director.
736.1414 Defenses in action against trust director.
736.1415 Jurisdiction over trust director.
736.1416 Office of trust director.

Part XV. Community Property Trust Act.



736.1501 Short title.
736.1502 Definitions.
736.1503 Requirements for community property trust.
736.1504 Agreement establishing community property trust; amendments

and revocation.
736.1505 Classification of property as community property; enforcement;

duration; management and control; effect of distributions.
736.1506 Satisfaction of obligations.
736.1507 Death of a spouse.
736.1508 Dissolution of marriage.
736.1509 Right of child to support.
736.151 Homestead property.
736.1511 Application of Internal Revenue Code; community property

classified by another jurisdiction.
736.1512 Unenforceable trusts.

CHAPTER 737 
TRUST ADMINISTRATION 

[NOTE: CHAPTER 737 WAS REPEALED EFFECTIVE JULY 1, 2008]
CHAPTER 738 

PRINCIPAL AND INCOME
738.101 Short title.
738.102 Definitions.
738.103 Fiduciary duties; general principles.
738.104 Trustees power to adjust.
738.1041 Total return unitrust.
738.105 Judicial control of discretionary powers.
738.201 Determination and distribution of net income.
738.202 Distribution to residuary and remainder beneficiaries.



738.301 When right to income begins and ends.
738.302 Apportionment of receipts and disbursements when decedent dies or

income interest begins.
738.303 Apportionment when income interest ends.
738.401 Character of receipts.
738.402 Distribution from trust or estate.
738.403 Business and other activities conducted by fiduciary.
738.501 Principal receipts.
738.502 Rental property.
738.503 Obligation to pay money.
738.504 Insurance policies and similar contracts.
738.601 Insubstantial allocations not required.
738.602 Payments from deferred compensation plans, annuities, and

retirement plans or accounts.
738.603 Liquidating asset.
738.604 Minerals, water, and other natural resources.
738.605 Timber.
738.606 Property not productive of income.
738.607 Derivatives and options.
738.608 Asset-backed securities.
738.701 Disbursements from income.
738.702 Disbursements from principal.
738.703 Transfers from income to principal for depreciation.
738.704 Transfers from income to reimburse principal.
738.705 Income taxes.
738.706 Adjustments between principal and income because of taxes.
738.801 Apportionment of expenses; improvements.



738.802 Uniformity of application and construction.
738.803 Severability.
738.804 Application.

CHAPTER 739 
FLORIDA UNIFORM DISCLAIMER OF PROPERTY INTERESTS ACT

739.101 Short title.
739.102 Definitions.
739.103 Scope.
739.104 Power to disclaim; general requirements; when irrevocable.
739.201 Disclaimer of interest in property.
739.202 Disclaimer of rights of survivorship in jointly held property.
739.203 Disclaimer of property held as tenancy by the entirety.
739.204 Disclaimer of interest by trustee.
739.205 Disclaimer of power of appointment or other power not held in a

fiduciary capacity.
739.206 Disclaimer by appointee, object, or taker in default of exercise of

power of appointment.
739.207 Disclaimer of power held in fiduciary capacity.
739.301 Delivery or filing.
739.401 When disclaimer is permitted.
739.402 When disclaimer is barred or limited.
739.501 Tax-qualified disclaimer.
739.601 Recording of disclaimer relating to real estate.
739.701 Application to existing relationships.

CHAPTER 740 
FIDUCIARY ACCESS TO DIGITAL ASSETS

740.001 Short title.



740.002 Definitions.
740.003 User direction for disclosure of digital assets.
740.004 Terms-of-service agreement preserved.
740.005 Procedure for disclosing digital assets.
740.006 Disclosure of content of electronic communications of deceased

user.
740.007 Disclosure of other digital assets of deceased user.
740.008 Disclosure of content of electronic communications of principal.
740.009 Disclosure of other digital assets of principal.
740.01 Disclosure of digital assets held in trust when trustee is the original

user.
740.02 Disclosure of content of electronic communications held in trust when

trustee is not the original user.
740.03 Disclosure of other digital assets held in trust when trustee is not the

original user.
740.04 Disclosure of digital assets to guardian of ward.
740.05 Fiduciary duty and authority.
740.06 Custodian compliance and immunity.
740.07 Relation to Electronic Signatures in Global and National Commerce

Act.
740.08 Applicability.
740.09 Severability.
740.11 Relation to wills.

TITLE XLIII 
DOMESTIC RELATIONS.

CHAPTER 744 
GUARDIANSHIP

PART I. GENERAL PROVISIONS.



744.101 Short title.
744.1012 Legislative intent.
744.102 Definitions.
744.1025 Additional definitions.
744.103 Guardians of incapacitated world war veterans. [Repealed]
744.104 Verification of documents.
744.105 Costs.
744.106 Notice.
744.107 Court monitors.
744.1075 Emergency court monitor.
744.1076 Court orders appointing court monitors and emergency court

monitors; reports of court monitors; orders finding no probable cause;
public records exemptions.

744.108 Guardians and attorneys fees and expenses.
744.1083 Professional guardian registration. [Transferred]
744.1085 Regulation of professional guardians; application; bond required;

educational requirements. [Transferred]
744.109 Records.
744.1095 Hearings.
744.1096 Domicile of ward.
744.1097 Venue.
744.1098 Change of wards residence.

PART II. PUBLIC AND PROFESSIONAL GUARDIANS.

744.2001 Office of Public and Professional Guardians.
744.2002 Professional guardian registration.
744.2003 Regulation of professional guardians; application; bond required;

educational requirements.



744.2004 Complaints; disciplinary proceedings; penalties; enforcement.
744.20041 Grounds for discipline; penalties; enforcement.
744.2005 Order of appointment.
744.2006 Office of Public and Professional Guardians; appointment,

notification.
744.2007 Powers and duties.
744.2008 Costs of public guardian.
744.2009 Preparation of budget.
744.201 Domicile of ward. [Transferred]
744.202 Venue. [Transferred]
744.2025 Change of wards residence. [Transferred]
744.2101 Procedures and rules.
744.2102 Surety bond.
744.2103 Reports and standards.
744.21031 Public reports exemption. [Effective until October 2, 2023]
744.2104 Access to records by the Office of Public and Professional

Guardians; confidentiality.
744.2105 Direct-support organization; definition; use of property; board of

directors; audit; dissolution.
744.2106 Joining Forces for Public Guardianship grant program; purpose.
744.2107 Program administration; duties of the Office of Public and

Professional Guardians.
744.2108 Eligibility.
744.2109 Grant application requirements; review criteria; awards process.
744.2111 Confidentiality.
744.2112 Guardianship information and transparency.

PART III. TYPES OF GUARDIANSHIP.



744.301 Natural guardians.
744.3021 Guardians of minors.
744.3025 Claims of minors.
744.3031 Emergency temporary guardianship.
744.304 Standby guardianship.
744.3045 Preneed guardian.
744.3046 Preneed guardian for minor.
744.306 Foreign guardians.
744.307 Foreign guardian may manage the property of nonresident ward.
744.308 Resident guardian of the property of nonresident ward.
744.3085 Guardian advocates.

PART IV. GUARDIANS.

744.309 Who may be appointed guardian of a resident ward.
744.3115 Advance directives for health care.
744.312 Considerations in appointment of guardian.
744.3125 Application for appointment.
744.3135 Credit and criminal investigation.
744.3145 Guardian education requirements.

PART V. ADJUDICATION OF INCAPACITY AND APPOINTMENT OF
GUARDIANS.

744.3201 Petition to determine incapacity.
744.3203 Suspension of power of attorney before incapacity determination.
744.3215 Rights of persons determined incapacitated.
744.331 Procedures to determine incapacity.
744.334 Petition for appointment of guardian or professional guardian;



contents.
744.3371 Notice of petition for appointment of guardian and hearing.
744.341 Voluntary guardianship.
744.342 Minors; guardianship.
744.344 Order of appointment. [Transferred]
744.345 Letters of guardianship.
744.347 Oath of guardian.
744.351 Bond of guardian.
744.354 Validity of bond.
744.357 Liability of surety.
744.358 Liability of a guardian.
744.359 Abuse, neglect, or exploitation by a guardian.

PART VI. POWERS AND DUTIES.

744.361 Powers and duties of guardian.
744.362 Initial guardianship report.
744.363 Initial guardianship plan.
744.365 Verified inventory.
744.367 Duty to file annual guardianship report.
744.3675 Annual guardianship plan.
744.3678 Annual accounting.
744.3679 Simplified accounting procedures in certain cases.
744.368 Responsibilities of the clerk of the circuit court.
744.3685 Order requiring guardianship report; contempt.
744.369 Judicial review of guardianship reports.
744.3701 Confidentiality.



744.371 Relief to be granted.
744.3715 Petition for interim judicial review.
744.372 Judicial review of guardianships.
744.3725 Procedure for extraordinary authority.
744.373 Production of property.
744.3735 Annual appearance of the guardian.
744.374 Payments to guardian.
744.381 Appraisals.
744.384 Subsequently discovered or acquired property.
744.387 Settlement of claims.
744.391 Actions by and against guardian or ward.
744.394 Suspension of statutes of limitations in favor of guardian.
744.397 Application of income of property of ward.
744.421 Petition for support of wards dependents.
744.441 Powers of guardian upon court approval.
744.442 Delegation of authority.
744.444 Power of guardian without court approval.
744.446 Conflicts of interest; prohibited activities; court approval; breach of

fiduciary duty.
744.447 Petition for authorization to act.
744.451 Order.
744.454 Guardian forbidden to borrow or purchase; exceptions.
744.457 Conveyance of various property rights by guardians of the property.
744.461 Purchasers and lenders protected.
744.462 Determination regarding alternatives to guardianship.

PART VII. TERMINATION



744.464 Restoration to capacity.
744.467 Resignation of guardian.
744.471 Appointment of successor.
744.474 Reasons for removal of guardian.
744.477 Proceedings for removal of a guardian.
744.511 Accounting upon removal.
744.514 Surrender of property upon removal.
744.517 Proceedings for contempt.
744.521 Termination of guardianship.
744.524 Termination of guardianship on change of domicile of resident ward.
744.527 Final reports and application for discharge; hearing.
744.528 Discharge of guardian named as personal representative.
744.531 Order of discharge.
744.534 Disposition of unclaimed funds held by guardian.

PART VIII. VETERANS GUARDIANSHIP.

744.602 Short title; scope of part.
744.604 Definitions.
744.607 Secretary of Veterans Affairs as party in interest.
744.609 Procedure for commitment of veteran to United States Department

of Veterans Affairs hospital.
744.613 Appointment of guardian for ward authorized.
744.616 Petition for appointment of guardian.
744.617 Notice by court of petition filed for appointment of guardian.
744.618 Persons who may be appointed guardian.
744.619 Bond of guardian.
744.621 Inventory of wards property; guardians failure to file inventory;



discharge; forfeiture of commissions.
744.622 Guardian empowered to receive moneys due ward from the United

States Government.
744.624 Guardians application of estate funds for support and maintenance

of person other than ward.
744.625 Petition for support, or support and education, of wards dependents;

payments of apportioned benefits prohibit contempt action against
veteran.

744.626 Exemption of benefits from claims of creditors.
744.627 Investment of funds of estate by guardian.
744.631 Guardians petition for authority to sell wards real estate; notice by

publication; penalties.
744.634 Guardians accounts, filing with court and certification to United

States Department of Veterans Affairs; notice and hearing on accounts;
failure to account.

744.637 Certified copies of public records made available.
744.638 Clerk of the circuit court; fees; duties.
744.639 Attorneys fee.
744.641 Guardians compensation; bond premiums.
744.643 Discharge of guardian of minor or incompetent ward.
744.646 Final settlement of guardianship; notice required; guardian ad litem

fee; papers required by United States Department of Veterans Affairs.
744.649 Notice of appointment of general guardian; closing of veterans

guardianship; transfer of responsibilities and penalties to general
guardian.

744.652 Construction and application of part.
744.653 Annual guardianship report.

PART IX. PUBLIC GUARDIANSHIP.



744.701 Short title. [Repealed]
744.702 Legislative intent. [Repealed]
744.7021 Statewide Public Guardianship Office. [Transferred]
744.703 Office of public guardian; appointment, notification. [Transferred]
744.704 Powers and duties. [Transferred]
744.705 Costs of public guardian. [Transferred]
744.706 Preparation of budget. [Transferred]
744.707 Procedures and rules. [Transferred]
744.708 Reports and standards. [Transferred]
744.7081 Access to records by Statewide Public Guardianship Office;

confidentiality. [Transferred]
744.7082 Direct-support organization; definition; use of property; board of

directors; audit; dissolution. [Transferred]
744.709 Surety bond. [Transferred]
744.7101 Short title. [Repealed]
744.711 Legislative findings and intent. [Repealed]
744.712 Joining Forces for Public Guardianship grant program; purpose.

[Transferred]
744.713 Program administration; duties of the Statewide Public Guardianship

Office. [Transferred]
744.714 Eligibility. [Transferred]
744.715 Grant application requirements; review criteria; awards process.

[Transferred]
CHAPTER 747 

CONSERVATORSHIP
747.01 Who are absentees under this law.
747.011 Absentee incompetent for certain purposes.
747.02 Jurisdiction.



747.03 Petition.
747.031 Notice; hearing.
747.032 Order of appointment.
747.033 Oath.
747.034 Bond.
747.035 Rights, powers, and duties of conservator.
747.036 Resignation or removal of conservator.
747.04 Termination of conservatorship.
747.051 Summary procedure.
747.052 Procedure for order authorizing action by spouse or next

TITLE XLIV 
CIVIL RIGHTS.
CHAPTER 765 

HEALTH CARE ADVANCE DIRECTIVES

PART I. GENERAL PROVISIONS.

765.101 Definitions.
765.102 Legislative findings and intent.
765.103 Existing advance directives.
765.104 Amendment or revocation.
765.105 Review of surrogate or proxys decision.
765.106 Preservation of existing rights.
765.107 Construction.
765.108 Effect with respect to insurance.
765.109 Immunity from liability; weight of proof; presumption.
765.110 Health care facilities and providers; discipline.
765.1103 Pain management and palliative care.



765.1105 Transfer of a patient.
765.1115 Falsification, forgery, or willful concealment, cancellation, or

destruction of directive or revocation or amendment; penalties.
765.112 Recognition of advance directive executed in another state.
765.113 Restrictions on providing consent.

PART II. HEALTH CARE SURROGATE

765.201 Short title.
765.202 Designation of a health care surrogate.
765.203 Suggested form of designation.
765.2035 Designation of a health care surrogate for a minor.
765.2038 Designation of health care surrogate for a minor; suggested form.
765.204 Capacity of principal; procedure.
765.205 Responsibility of the surrogate.

PART III. LIFE-PROLONGING PROCEDURES

765.301 Short title.
765.302 Procedure for making a living will; notice to physician.
765.303 Suggested form of a living will.
765.304 Procedure for living will.
765.305 Procedure in absence of a living will.
765.306 Determination of patient condition.
765.309 Mercy killing or euthanasia not authorized; suicide distinguished.

PART IV. ABSENCE OF ADVANCE DIRECTIVE.

765.401 The proxy.
765.404 Persistent vegetative state.



PART V. ANATOMICAL GIFTS.

765.510 Legislative declaration.
765.511 Definitions.
765.512 Persons who may make an anatomical gift.
765.513 Donees; purposes for which anatomical gifts may be made.
765.514 Manner of making anatomical gifts.
765.515 Delivery of donor document.
765.5155 Donor registry; education program.
765.51551 Donor registry; public records exemption.
765.516 Donor amendment or revocation of anatomical gift.
765.517 Rights and duties at death.
765.518 Eye banks.
765.5185 Corneal removal by medical examiners.
765.519 Enucleation of eyes by licensed funeral directors.
765.521 Donations as part of driver license or identification card process.
765.5215 Education program relating to annatomical gifts. [Repealed]
765.52155 Florida Organ and Tissue Donor Education and Procurement

Trust Fund. [Repealed]
765.5216 Organ and tissue education panel. [Repealed]
765.522 Duty of hospital administrators; liability of hospital administrators

and procurement organizations.
765.523 Discrimination in access to anatomical gifts and organ transplants

prohibited.
765.53 Organ Transplant Advisory Council; membership; responsibilities.

[Repealed]
765.541 Certification of procurement organizations; agency responsibilities.
765.542 Requirements to engage in organ, tissue, or eye procurement.



765.543 Organ and Tissue Procurement and Transplantation Advisory Board;
creation; duties.

765.544 Fees; organ and tissue donor education and procurement.
765.545 Physician supervision of cadaveric organ and tissue procurement

coordinators.
765.546 Procurement of cadaveric organs for transplant by out-of-state

physicians.
765.547 Cooperation between medical examiner and procurement

organization.
TITLE XLVI 

CRIMES.
CHAPTER 825 

ABUSE, NEGLECT, AND EXPLOITATION OF ELDERLY PERSONS
AND DISABLED ADULTS.

825.1035 Injunction for protection against exploitation of vulnerable adult.
__________

Constitution of the State of Florida
__________

ARTICLE X 
MISCELLANEOUS.

Section 4 Homestead; exemptions.



 Title VI. 
Fla. Stat. Title VI

TITLE VI.
CIVIL PRACTICE AND PROCEDURE.

________
 Title VI. ,  Ch. 69. 

Fla. Stat. Title VI, Ch. 69



CHAPTER 69.
MISCELLANEOUS PROCEDURAL MATTERS.

 Title VI. ,  Ch. 69. ,   69.031. 
Fla. Stat.  69.031

 69.031. Designated financial institutions for property in hands of
guardians, curators, administrators, trustees, receivers, or other
officers.
(1) When it is expedient in the judgment of any court having jurisdiction

of any estate in process of administration by any guardian, curator,
executor, administrator, trustee, receiver, or other officer, because the size
of the bond required of the officer is burdensome or for other cause, the
court may order part or all of the personal property of the estate placed
with a bank, trust company, or savings and loan association designated by
the court, consideration being given to any bank, trust company or savings
and loan association proposed by the officer. Notwithstanding the
foregoing, in probate proceedings and in accordance with s. 733.402, the
court shall allow the officer at any time to elect to post and maintain bond
for the value of the personal property, or such other reasonable amount
determined by the court, whereupon the court shall vacate or terminate any
order establishing the depository. When the property is placed with the
designated financial institution, it shall file a receipt therefor in the name of
the estate and give the officer a copy. Such receipt shall acknowledge the
property received by the financial institution. All interest, dividends,
principal and other debts collected by the financial institution on account
thereof shall be held by the financial institution in safekeeping, subject to
the instructions of the officer authorized by order of the court directed to
the financial institution.

(2) Accountings shall be made to the officer at reasonably frequent
intervals. After the receipt for the original property has been filed by the
financial institution, the court shall waive the bond given or to be given or
reduce it so that it shall apply only to the estate remaining in the hands of
the officer, whichever the court deems proper.

(3) When the court has ordered any property of an estate to be placed



with a designated financial institution, any person or corporation having
possession or control of any of the property, or owing interest, dividends,
principal or other debts on account thereof, shall pay and deliver such
property, interest, dividends, principal and other debts to the financial
institution on its demand whether the officer has duly qualified or not, and
the receipt of the financial institution relieves the person or corporation
from further responsibility therefor.

(4) Any bank, trust company, or savings and loan association which is
designated under this section, may accept or reject the designation in any
instance, and shall file its acceptance or rejection with the court making the
designation within 15 days after actual knowledge of the designation
comes to the attention of the financial institution, and if the financial
institution accepts, it shall be allowed a reasonable amount for its services
and expenses which the court may allow as a charge against the property
placed with the financial institution.

HISTORY:
SS. 1, 2, 3, ch. 21980, 1943; s. 1, ch. 57-198; s. 23, ch. 67-254; s. 1, ch.

2021-183, effective June 29, 2021; s. 1, ch. 2021-239, effective July 1, 2021.

Editors notes.
Former s. 69.15.



 Title VI. ,  Ch. 86. 
Fla. Stat. Title VI, Ch. 86



CHAPTER 86.
DECLARATORY JUDGMENTS.

 Title VI. ,  Ch. 86. ,   86.041. 
Fla. Stat.  86.041

 86.041. Actions by executors, administrators, trustees, etc.
Any person interested as or through an executor, administrator, trustee,

guardian, or other fiduciary, creditor, devisee, legatee, heir, next of kin, or
cestui que trust, in the administration of a trust, a guardianship, or the estate
of a decedent, an infant, a mental incompetent, or insolvent may have a
declaration of rights or equitable or legal relations to:

(1) Ascertain any class of creditors, devisees, legatees, heirs, next of kin,
or others;

(2) Direct the executor, administrator, or trustee to refrain from doing
any particular act in his or her fiduciary capacity; or

(3) Determine any question relating to the administration of the
guardianship, estate, or trust, including questions of construction of wills
and other writings.
For the purpose of this section, a mental incompetent is one who,
because of mental illness, intellectual disability, senility, excessive use of
drugs or alcohol, or other mental incapacity, is incapable of managing his
or her property or caring for himself or herself or both.

HISTORY:
S. 4, ch. 21820, 1943; s. 38, ch. 67-254; s. 1, ch. 88-33; s. 459, ch. 95-147;

s. 3, ch. 2013-162, eff. July 1, 2013.

Editors notes.
Former s. 87.04.



 Title XIV. 
Fla. Stat. Title XIV

TITLE XIV.
TAXATION AND FINANCE.

________
 Title XIV. ,  Ch. 198. 

Fla. Stat. Title XIV, Ch. 198



CHAPTER 198.
ESTATE TAXES.

 Title XIV. ,  Ch. 198. ,   198.01. 
Fla. Stat.  198.01

 198.01. Definitions.
When used in this chapter the term, phrase or word:

(1) Department means the Department of Revenue.
(2) Personal representative means the executor, administrator, or

curator of the decedent, or, if there is no executor, administrator, or curator
appointed, qualified, and acting, then any person who is in the actual or
constructive possession of any property included in the gross estate of the
decedent or any other person who is required to file a return or pay the
taxes due under any provision of this chapter.

(3) Person means persons, corporations, associations, joint stock
companies, and business trusts.

(4) Transfer shall be taken to include the passing of property or any
interest therein, in possession or enjoyment, present or future, by
inheritance, descent, devise, succession, bequest, grant, deed, bargain, sale,
gift, or appointment in the manner herein described.

(5) Decedent shall include the testator, intestate, grantor, bargainor,
vendor, or donor.

(6) Resident means a natural person domiciled in the state.
(7) Nonresident means a natural person domiciled without the state.
(8) Gross estate means the gross estate as determined under the

provisions of the applicable federal revenue act.
(9) Net estate means the net estate as determined under the provisions

of the applicable federal revenue act.
(10) Tangible personal property means corporeal personal property,

including money.



(11) Intangible personal property means incorporeal personal property
including deposits in banks, negotiable instruments, mortgages, debts,
receivables, shares of stock, bonds, notes, credits, evidences of an interest
in property, evidences of debt and choses in action generally.

(12) United States when used in a geographical sense includes only
the 50 states and the District of Columbia.

(13) Generation-skipping transfer means every transfer subject to the
federal generation-skipping transfer tax in which transfer the original
transferor is a resident of this state at the date of original transfer or the
property transferred is real or personal property in this state.

(14) Original transferor means any grantor, donor, trustor, or testator
who by grant, gift, trust, or will makes a transfer of real or personal
property that results in a federal generation-skipping transfer tax.

(15) Federal generation-skipping transfer tax means the tax imposed
by chapter 13 of the Internal Revenue Code of 1986, as amended.

HISTORY:
S. 2, ch. 16015, 1933; CGL 1936 Supp. 1342(81); ss. 21, 35, ch. 69-106; s.

44, ch. 71-377; s. 1, ch. 80-153; s. 3, ch. 89-356.



 Title XIV. ,  Ch. 198. ,   198.015. 
Fla. Stat.  198.015

 198.015. Domicile of decedent.
(1) For the purposes of this chapter, every person shall be presumed to

have died a resident and not a nonresident of the state:
(a) If such person has dwelt or lodged in the state during and for the greater

part of any period of 12 consecutive months in the 24 months next preceding
death, notwithstanding the fact that from time to time during such 24 months
such person may have sojourned outside of this state, and without regard to
whether or not such person may have voted, may have been entitled to vote,
or may have been assessed for taxes in this state; or

(b) If such person has been a resident of Florida, sojourning outside of this
state.

(2) The burden of proof in an estate tax proceeding shall be upon any
person claiming exemption by reason of alleged nonresidency. Domicile
shall be determined exclusively in the proceedings provided in this chapter,
and orders relating to domicile previously entered in the probate
proceedings shall not be conclusive for the purposes of this chapter.

HISTORY:
S. 1, ch. 77-411; s. 1031, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.02. 
Fla. Stat.  198.02

 198.02. Tax upon estates of resident decedents.
A tax is imposed upon the transfer of the estate of every person who, at the

time of death, was a resident of this state, the amount of which shall be a sum
equal to the amount by which the credit allowable under the applicable
federal revenue act for estate, inheritance, legacy, and succession taxes
actually paid to the several states exceeds the aggregate amount of all
constitutionally valid estate, inheritance, legacy, and succession taxes
actually paid to the several states of the United States (other than this state) in
respect of any property owned by such decedent or subject to such taxes as a
part of or in connection with his or her estate. All values shall be as finally
determined for federal estate tax purposes.

HISTORY:
S. 3, ch. 16015, 1933; CGL 1936 Supp. 1342(83); s. 1, ch. 71-202; s. 3, ch.

82-38; s. 1032, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.021. 
Fla. Stat.  198.021

 198.021. Tax upon generation-skipping transfers of residents.
A tax is hereby imposed upon every generation-skipping transfer in which

the original transferor is a resident of this state at the date of original transfer,
in an amount equal to the amount allowable as a credit for state legacy taxes
under s. 2604 of the Internal Revenue Code of 1986, as amended, to the
extent such credit exceeds the aggregate amount of all constitutionally valid
taxes on the same transfer actually paid to the several states of the United
States other than this state.

HISTORY:
S. 2, ch. 80-153; s. 4, ch. 89-356.

Editors notes.
Section 2604 of the Internal Revenue Code of 1986, referred to in this

section, is codified as 26 U.S.C.S.  2604.



 Title XIV. ,  Ch. 198. ,   198.03. 
Fla. Stat.  198.03

 198.03. Tax upon estates of nonresident decedents.
A tax is imposed upon the transfer of real property situate in this state,

upon tangible personal property having an actual situs in this state, upon
intangible personal property having a business situs in this state and upon
stocks, bonds, debentures, notes, and other securities or obligations of
corporations organized under the laws of this state, of every person who at
the time of death was not a resident of this state but was a resident of the
United States, the amount of which shall be a sum equal to such proportion of
the amount of the credit allowable under the applicable federal revenue act
for estate, inheritance, legacy, and succession taxes actually paid to the
several states, as the value of the property taxable in this state bears to the
value of the entire gross estate wherever situate.

HISTORY:
S. 4, ch. 16015, 1933; CGL 1936 Supp. 1342(84); s. 1, ch. 28031, 1953.



 Title XIV. ,  Ch. 198. ,   198.031. 
Fla. Stat.  198.031

 198.031. Tax upon generation-skipping transfers of nonresidents.
A tax is hereby imposed upon every generation-skipping transfer in which

the original transferor is not a resident of this state at the date of the original
transfer but in which the property transferred includes real or personal
property in this state, in an amount equal to the amount allowable as a credit
for state legacy taxes under s. 2604 of the Internal Revenue Code of 1986, as
amended, reduced by an amount which bears the same ratio to the total state
tax credit allowable for federal generation-skipping transfer tax purposes as
the value of the transferred property taxable by all other states bears to the
value of the gross generation-skipping transfer for federal generation-
skipping transfer tax purposes.

HISTORY:
S. 3, ch. 80-153; s. 5, ch. 89-356.

Editors notes.
Section 2604 of the Internal Revenue Code of 1986, referred to in this

section, is codified as 26 U.S.C.S.  2604.



 Title XIV. ,  Ch. 198. ,   198.04. 
Fla. Stat.  198.04

 198.04. Tax upon estates of alien decedents.
A tax is imposed upon the transfer of real property situate and tangible

personal property having an actual situs in this state and upon intangible
personal property physically present within this state of every person who at
the time of death was not a resident of the United States, the amount of which
shall be a sum equal to such proportion of the credit allowable under the
applicable federal revenue act for estate, inheritance, legacy, and succession
taxes actually paid to the several states, as the value of the property taxable in
this state bears to the value of the estate taxable by the United States
wherever situate. For the purpose of this section, stock in a corporation
organized under the laws of this state shall be deemed physically present
within this state. The amount receivable as insurance upon the life of a
decedent who at the time of death was not a resident of the United States, and
any moneys deposited with any person carrying on the banking business by
or for such decedent who was not engaged in business in the United States at
the time of death, shall not, for the purpose of this section, be deemed to be
physically present in this state.

HISTORY:
S. 5, ch. 16015, 1933; CGL 1936 Supp. 1342(85); s. 1033, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.05. 
Fla. Stat.  198.05

 198.05. Administration of law by Department of Revenue.
The Department of Revenue shall, except as otherwise provided, have

jurisdiction and be charged with the administration and enforcement of the
provisions of this chapter.

HISTORY:
S. 6, ch. 16015, 1933; CGL 1936 Supp. 1342(86); ss. 21, 35, ch. 69-106.



 Title XIV. ,  Ch. 198. ,   198.06. 
Fla. Stat.  198.06

 198.06. Examination of books, papers, records, or memoranda by the
department.
(1) The department, for the purpose of ascertaining the correctness of

any return, or for the purpose of making a return where none has been
made, may examine any books, papers, records, or memoranda, bearing
upon the matter required to be included in the return; may require the
attendance of persons rendering return or of any officer or employee of
such persons, or of any person having knowledge in the premises, at any
convenient place in the county in which such person resides, and may take
his or her testimony with reference to the matter required by law to be
included in such return, and may administer oaths to such persons.

(2) If any person summoned to appear under this chapter to testify, or to
produce books, papers, or other data, shall refuse to do so, the circuit court
for the county in which such person resides shall have jurisdiction by
appropriate process to compel such attendance, testimony, or production of
books, papers, or other data.

HISTORY:
S. 6, ch. 16015, 1933; CGL 1936 Supp. 1342(86); ss. 21, 35, ch. 69-106; s.

1034, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.07. 
Fla. Stat.  198.07

 198.07. Appointment of agents by department; bonds of agents; may
administer oaths; credentials.
(1) The department may appoint and remove such examiners, appraisers,

attorneys and employees as it may deem necessary, such persons to have
such duties and powers as the department may from time to time prescribe.
The salaries of all examiners, appraisers, attorneys and employees
employed by the department shall be such as it may prescribe, and such
examiners, appraisers, attorneys and employees shall be reimbursed for
travel expenses as provided in s. 112.061.

(2) The department may require such of the examiners, appraisers,
attorneys and employees as it may designate to give bond payable to the
state for the faithful performance of their duties in such form and with such
sureties as it may determine, and all premiums on such bonds shall be paid
by the state.

(3) All officers empowered by law to administer oaths and the
examiners, appraisers and attorneys appointed by the department may
administer an oath to all persons giving any testimony before them or to
take the acknowledgment of any person in respect to any return or report
required under this chapter.

(4) All examiners, appraisers and attorneys appointed by the department
shall have for identification purpose proper credentials issued by the
department and exhibit the same upon demand.

HISTORY:
S. 6, ch. 16015, 1933; CGL 1936 Supp. 1342(86); s. 19, ch. 63-400; ss. 21,

35, ch. 69-106.



 Title XIV. ,  Ch. 198. ,   198.08. 
Fla. Stat.  198.08

 198.08. Rules.
The department has authority to adopt rules pursuant to ss. 120.536(1) and

120.54 to enforce the provisions of this chapter and may adopt, as rules, such
rules and regulations as are promulgated with respect to the estate tax or
generation-skipping transfer tax provisions of the Revenue Act of the United
States insofar as they are applicable hereto. The department may from time to
time prescribe such forms as it shall deem proper for the administration of
this chapter.

HISTORY:
S. 6, ch. 16015, 1933; CGL 1936 Supp. 1342(86); ss. 21, 35, ch. 69-106; s.

4, ch. 80-153; s. 14, ch. 98-200.



 Title XIV. ,  Ch. 198. ,   198.11. 
Fla. Stat.  198.11

 198.11. Appointment of special appraisers.
The department may employ special appraisers for the purpose of

determining the value of any property which is, or is believed by the
department to be, subject to the tax imposed by this chapter, and such special
appraisers shall be paid such compensation as said department shall deem
proper.

HISTORY:
S. 6, ch. 16015, 1933; CGL 1936 Supp. 1342(86); ss. 21, 35, ch. 69-106.



 Title XIV. ,  Ch. 198. ,   198.13. 
Fla. Stat.  198.13

 198.13. Tax return to be made in certain cases; certificate of
nonliability.
(1) The personal representative of every estate required by the laws of

the United States to file a federal estate tax return shall file with the
department, on or before the last day prescribed by law for filing the initial
federal estate tax return for such estate, a return consisting of an executed
copy of the federal estate tax return and shall file with such return all
supplemental data, if any, as may be necessary to determine and establish
the correct tax under this chapter. Such return shall be made in the case of
every decedent who at the time of death was not a resident of the United
States and whose gross estate includes any real property situate in the state,
tangible personal property having an actual situs in the state, and intangible
personal property physically present within the state.

(2) Whenever it is made to appear to the department that an estate that
has filed a return owes no taxes under this chapter, the department shall
issue to the personal representative a certificate in writing to that effect,
which certificate shall have the same force and effect as a receipt showing
payment. The certificate shall be subject to record and admissible in
evidence in like manner as a receipt showing payment of taxes. A fee of $5
shall be paid to the department for each certificate so issued.

(3) Every person required to file a return reporting a generation-skipping
transfer under applicable federal statutes and regulations shall file with the
Department of Revenue, on or before the last day prescribed for filing the
federal return, a return consisting of a duplicate copy of the federal return.

(4) Notwithstanding any other provisions of this section and applicable
to the estate of a decedent who dies after December 31, 2004, if, upon the
death of the decedent, a state death tax credit or a generation-skipping
transfer credit is not allowable pursuant to the Internal Revenue Code of
1986, as amended:
(a) The personal representative of the estate is not required to file a return

under subsection (1) in connection with the estate.
(b) The person who would otherwise be required to file a return reporting a



generation-skipping transfer under subsection (3) is not required to file such a
return in connection with the estate.

HISTORY:
S. 7, ch. 16015, 1933; CGL 1936 Supp. 1342(87); s. 2, ch. 28031, 1953; s.

2, ch. 29718, 1955; ss. 21, 35, ch. 69-106; s. 2, ch. 71-202; s. 7, ch. 80-153; s.
1, ch. 84-325; s. 38, ch. 85-342; s. 1035, ch. 95-147; s. 4, ch. 99-208; s. 7, ch.
2007-106, eff. July 1, 2007; s. 35, ch. 2008-4, eff. July 1, 2008; s. 1, ch.
2011-86, eff. May 31, 2011; s. 1, ch. 2013-172, eff. Oct. 1, 2013.

Editors notes.
The introductory language of ch. 2011-86, s. 1 states that the amendment

of subsection (4) is retroactive to January 1, 2011.
Section 1, ch. 2013-172, provides: Subsection (4) of section 198.13 is

amended retroactively to January 1, 2013.



 Title XIV. ,  Ch. 198. ,   198.14. 
Fla. Stat.  198.14

 198.14. Failure to make return; extension of time for filing.
To obtain an extension for filing a Florida return, the personal

representative shall file with the department a copy of the federal extension
request within 30 days after filing such request with the federal taxing
authorities. If the federal taxing authorities grant an extension of time for
filing a return, the department shall allow a like extension of time for filing if
the personal representative files a copy of such federal extension with the
department within 30 days after receiving an approved federal extension. An
extension of time for filing a return shall not operate to extend the time for
payment of the tax. If any person fails to file a return at the time prescribed
by law or files, willfully or otherwise, a false or fraudulent return, the
department shall make the return from its own knowledge and from such
information as it can obtain through testimony or otherwise. Any such return
so made by the department shall be prima facie good and sufficient for all
legal purposes.

HISTORY:
S. 7, ch. 16015, 1933; CGL 1936 Supp. 1342(87); s. 3, ch. 29718, 1955; ss.

21, 35, ch. 69-106; s. 2, ch. 87-102.



 Title XIV. ,  Ch. 198. ,   198.15. 
Fla. Stat.  198.15

 198.15. When tax due; extension; interest; penalty.
(1) The tax imposed by this chapter is due and payable on or before the

last day prescribed by law for paying the federal estate tax pursuant to the
initial estate tax return and shall be paid by the personal representative to
the department. The department shall extend the time for payment of the
tax or any part of the tax if the time for paying the federal estate tax is
extended, provided the personal representative files with the department a
copy of the approved federal extension notice within 30 days after
receiving such notice. No extension shall be for more than 1 year, and the
aggregate of extensions with respect to any estate shall not exceed 10 years
from the due date. In such case, the amount in respect of which the
extension is granted shall be paid on or before the date of the expiration of
the period of the extension, unless a further extension is granted. If the
time for the payment is thus extended, there shall be collected, as part of
such amount, interest thereon at the rate of 1 percent per month of the
amount due from the due date of the tax to the date the same is paid.

(2) For any tax that is due on or after July 1, 1991, and that is not paid
by the due date or by the due date of any extension granted by the
department, in addition to any other penalties, a specific penalty shall be
added to the tax in the amount of 10 percent of any unpaid tax if the failure
is for not more than 30 days, or 20 percent of the aggregate of any unpaid
tax if the failure is for more than 30 days.

HISTORY:
S. 8, ch. 16015, 1933; CGL 1936 Supp. 1342(88); s. 3, ch. 28031, 1953; ss.

21, 35, ch. 69-106; s. 3, ch. 71-202; s. 1, ch. 76-261; s. 2, ch. 77-411; s. 1, ch.
80-24; s. 8, ch. 80-153; s. 2, ch. 84-325; s. 39, ch. 85-342; s. 3, ch. 87-102; s.
8, ch. 91-112; s. 3, ch. 92-320.



 Title XIV. ,  Ch. 198. ,   198.155. 
Fla. Stat.  198.155

 198.155. Payment of tax on generation-skipping transfers.
(1) The person liable for payment of the federal generation-skipping

transfer tax shall be liable for the tax imposed by ss. 198.021 and 198.031.
(2) The tax imposed by ss. 198.021 and 198.031 is due upon a taxable

distribution or taxable termination as determined under applicable
provisions of the federal generation-skipping transfer tax.

(3) The tax becomes delinquent the day after the last day allowed for
filing a return for the generation-skipping transfer.

(4) The tax shall be paid to the Department of Revenue.
(5) If the tax, or any portion thereof, is not paid before it becomes

delinquent, it shall bear interest at the rate of 1 percent per month for each
month or fraction thereof that it is delinquent.

HISTORY:
S. 21, ch. 80-153.



 Title XIV. ,  Ch. 198. ,   198.16. 
Fla. Stat.  198.16

 198.16. Notice of determination of deficiency in federal tax to be filed
with department.
(1) It shall be the duty of the personal representative to file with the

department within 60 days after a final determination of any deficiency in
federal estate tax has been made, written notice thereof.

(2) If, after a duplicate federal return of a generation-skipping transfer
has been filed with the Department of Revenue, the federal authorities
increase or decrease the amount of the federal generation-skipping transfer
tax, an amended return shall be filed with the department showing all
changes made in the original return and the amount of increase or decrease
in the federal generation-skipping transfer tax.

(3) If, based upon any deficiency and the ground therefor, it shall appear
that the amount of tax previously paid is less than the amount of tax owing,
the difference, together with interest at the rate of 1 percent per month
from the due date of the tax, shall be paid upon notice and demand by the
department. In the event the personal representative or person required to
return and pay such tax shall fail to give the notice required by this section,
any additional tax which shall be owing may be assessed, or a proceeding
in court for the collection of such tax may be begun without assessment at
any time prior to the filing of such notice or within 30 days after the
delinquent filing of such notice, notwithstanding the provisions of s.
198.28.

HISTORY:
S. 9, ch. 16015, 1933; CGL 1936 Supp. 1342(89); s. 4, ch. 28031, 1953; s.

4, ch. 29718, 1955; ss. 21, 35, ch. 69-106; s. 3, ch. 77-411; s. 9, ch. 80-153.



 Title XIV. ,  Ch. 198. ,   198.17. 
Fla. Stat.  198.17

 198.17. Deficiency; hearing by department.
If upon examination of any return a tax or a deficiency in tax is disclosed,

the department shall proceed to determine all questions involving such tax or
deficiency. Such tax or deficiency in tax shall be assessed and paid together
with the penalty and interest, if any, applicable thereto, within 60 days after
such demand as may be included in the departments order.

HISTORY:
S. 10, ch. 16015, 1933; CGL 1936 Supp. 1342(90); s. 5, ch. 29718, 1955;

s. 19, ch. 63-559; ss. 21, 35, ch. 69-106; s. 54, ch. 78-95.



 Title XIV. ,  Ch. 198. ,   198.18. 
Fla. Stat.  198.18

 198.18. Failure to pay tax; penalties; delinquent or deficient taxes,
interest.
(1) If any part of a deficiency in tax due under the provisions of this

chapter is due to negligence or intentional disregard of the provisions of
this chapter or the rules and regulations issued pursuant hereto, with
knowledge thereof but without intent to defraud, there shall be added as a
penalty 10 percent per month of the total amount of the deficiency in tax to
a maximum of 50 percent of the tax due; and, if any part of such deficiency
is willfully made with intent to defraud, there shall be added as a penalty
100 percent of the total amount of such deficiency, which penalty shall
become due and payable upon notice and demand by the department. The
personal representative shall be liable to the state personally and on his or
her official bond, if any, for any loss to the state accruing under the
provisions of this section through the personal representatives negligence
or willful neglect. No interest shall be collected upon the amount of any
penalty. The department may settle or compromise such penalties pursuant
to s. 213.21.

(2) Any deficiency in tax or any tax payment not received by the
department on or before the due date as provided in s. 198.15, in addition
to any other penalties, shall bear interest at the rate of 1 percent per month
of the amount due from the due date until paid. The department may settle
or compromise such interest pursuant to s. 213.21.

HISTORY:
S. 11, ch. 16015, 1933; CGL 1936 Supp. 1342(91); s. 6, ch. 29718, 1955;

ss. 21, 35, ch. 69-106; s. 2, ch. 76-261; s. 1, ch. 77-174; s. 10, ch. 80-153; s.
2, ch. 81-178; s. 50, ch. 87-6; s. 30, ch. 87-101; s. 4, ch. 92-320; s. 1036, ch.
95-147.



 Title XIV. ,  Ch. 198. ,   198.19. 
Fla. Stat.  198.19

 198.19. Receipts for taxes.
The department shall issue to the personal representative, upon payment of

the tax imposed by this chapter, receipts in triplicate, any of which shall be
sufficient evidence of such payment and shall entitle the personal
representative to be credited and allowed the amount thereof by any court
having jurisdiction to audit or settle his or her accounts. If the personal
representative files a complete return and makes written application to the
department for determination of the amount of the tax and discharge from
personal liability therefor, the department as soon as possible, and in any
event within 1 year after receipt of such application, shall notify the personal
representative of the amount of the tax; and upon payment thereof the
personal representative shall be discharged from personal liability for any
additional tax thereafter found to be due and shall be entitled to receive from
the department a receipt in writing showing such discharge; however, such
discharge shall not operate to release the gross estate of the lien of any
additional tax that may thereafter be found to be due, while the title to the
gross estate remains in the personal representative or in the heirs, devisees, or
distributees thereof; but after such discharge is given, no part of the gross
estate shall be subject to such lien or to any claim or demand for any such tax
after the title thereto has passed to a bona fide purchaser for value.

HISTORY:
S. 12, ch. 16015, 1933; CGL 1936 Supp. 1342(92); ss. 21, 35, ch. 69-106;

s. 11, ch. 80-153; s. 1037, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.20. 
Fla. Stat.  198.20

 198.20. Failure to pay tax when due, departments warrant, etc.
If any tax imposed by this chapter or any portion of such tax be unpaid

within 90 days after the same becomes due, and the time for payment be not
extended, the department shall issue a warrant directed to the sheriff of any
county of the state in which the estate or any part thereof may be situated,
commanding the sheriff to levy upon and sell the real and personal property
of such estate found within his or her county, for the payment of the amount
thereof, with such interest and penalties, if any, as may have accrued thereon
or been assessed against the same, together with the cost of executing the
warrant, and to return such warrant, to the department and pay to it the
money collected by virtue thereof, by a time to be therein specified, not less
than 60 days from the date of the warrant. The sheriff thereupon shall
proceed upon the same in all respects, with like effect, and in the same
manner prescribed by law in respect to executions issued against property
upon judgments of a court of record, and shall be entitled to the same fees for
services in executing the warrant as are now allowed by law for like services
to be collected in the same manner as now provided by law. Alias and pluries
warrants may issue from time to time as said department may deem proper
until the entire amount of the tax, deficiency, interest, penalties, and costs
have been recovered.

HISTORY:
S. 13, ch. 16015, 1933; CGL 1936 Supp. 1342(93); ss. 21, 35, ch. 69-106;

s. 1038, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.21. 
Fla. Stat.  198.21

 198.21. Tax due payable from entire estate; third persons.
If the tax or any part thereof is paid or collected out of that part of the

estate passing to or in possession of any person other than the personal
representative in his or her capacity as such, such person shall be entitled to a
reimbursement out of any part of the estate still undistributed or by a just and
equitable contribution by the person whose interest in the estate of the
decedent would have been reduced if the tax had been paid before the
distribution of the estate or whose interest in the estate is subject to an equal
or prior liability for the payment of tax, debts, or other charges against the
estate, it being the purpose and intent of this section that, so far as is practical
and unless otherwise directed by the will of the decedent, the tax shall be paid
out of the estate before its distribution; but the department shall not be
charged with enforcing contribution from any person.

HISTORY:
S. 14, ch. 16015, 1933; CGL 1936 Supp. 1342(94); ss. 21, 35, ch. 69-106;

s. 12, ch. 80-153; s. 1039, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.22. 
Fla. Stat.  198.22

 198.22. Lien for unpaid taxes.
Unless the tax is sooner paid in full, it shall be a lien for 12 years upon the

gross estate of the decedent, except that such part of the gross estate as is
used for the payment of charges against the estate and expenses of its
administration, allowed by any court having jurisdiction thereof, shall be
divested of such lien, and except that such part of the gross estate of a
resident decedent as is transferred to a bona fide purchaser, mortgagee, or
pledgee, for an adequate and full consideration in money or moneys worth
shall be divested of such lien and such lien shall then attach to the
consideration received for such property from such purchaser, mortgagee, or
pledgee. If the department is satisfied that no tax liability exists or that the tax
liability of an estate has been fully discharged or provided for, it may issue a
waiver releasing any or all property of such estate from the lien herein
imposed.

HISTORY:
S. 15, ch. 16015, 1933; CGL 1936 Supp. 1342(95); s. 1, ch. 57-108; s. 13,

ch. 59-1; ss. 21, 35, ch. 69-106; s. 4, ch. 77-411.



 Title XIV. ,  Ch. 198. ,   198.23. 
Fla. Stat.  198.23

 198.23. Personal liability of personal representative.
If any personal representative shall make distribution either in whole or in

part of any of the property of an estate to the heirs, next of kin, distributees,
legatees, or devisees without having paid or secured the tax due the state
under this chapter, or having obtained the release of such property from the
lien of such tax either by the department or pursuant to s. 198.32(2), he or she
shall become personally liable for the tax so due the state, or so much thereof
as may remain due and unpaid, to the full extent of the full value of any
property belonging to such person or estate which may come into the
personal representatives hands, custody, or control.

HISTORY:
S. 16, ch. 16015, 1933; CGL 1936 Supp. 1342(96); s. 13, ch. 80-153; s.

1040, ch. 95-147; s. 5, ch. 99-208.



 Title XIV. ,  Ch. 198. ,   198.24. 
Fla. Stat.  198.24

 198.24. Sale of real estate by personal representative to pay tax.
Every personal representative shall have the same right and power to take

possession of or sell, convey, and dispose of real estate, as assets of the
estate, for the payment of the tax imposed by this chapter as he or she may
have for the payment of the debts of the decedent.

HISTORY:
S. 17, ch. 16015, 1933; CGL 1936 Supp. 1342(97); s. 14, ch. 80-153; s.

1041, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.25. 
Fla. Stat.  198.25

 198.25. Actions to enforce payment of tax.
Actions may be brought within the time or times herein specified by the

department to recover the amount of any taxes, penalties and interest due
under this chapter. Every such action shall be brought in the county where the
estate is being or has been administered, or if no administration be had in this
state, then in any county where any of the property of the estate shall be
situate.

HISTORY:
S. 18, ch. 16015, 1933; CGL 1936 Supp. 1342(98); ss. 21, 35, ch. 69-106.



 Title XIV. ,  Ch. 198. ,   198.26. 
Fla. Stat.  198.26

 198.26. No discharge of personal representative until tax is paid.
No final account of a personal representative shall be allowed by any court

unless and until such account shows, and the judge of said court finds, that
the tax imposed by the provisions of this chapter upon the personal
representative, which has become payable, has been paid. The certificate of
the department of nonliability for the tax or its receipt for the amount of tax
therein certified shall be conclusive in such proceedings as to the liability or
the payment of the tax to the extent of said certificate. In the case of a
nontaxable estate, the court may consider the affidavit prepared pursuant to s.
198.32(2) as evidence of the nonliability for tax.

HISTORY:
S. 19, ch. 16015, 1933; CGL 1936 Supp. 1342(99); s. 7, ch. 29718, 1955;

ss. 21, 35, ch. 69-106; s. 15, ch. 80-153; s. 6, ch. 99-208.



 Title XIV. ,  Ch. 198. ,   198.28. 
Fla. Stat.  198.28

 198.28. Time for assessment of tax.
The amount of estate tax due under this chapter shall be determined and

assessed within 4 years from the date the return was filed, or within a period
expiring 90 days after the last day on which the assessment of a deficiency in
federal estate tax may lawfully be made under applicable provisions of the
Internal Revenue Laws of the United States, whichever date last occurs, and
no suit or other proceedings for the collection of any tax due under this
chapter shall be begun after such date; provided, however, that in the case of
a false or fraudulent return or of a failure to file a return, the tax may be
assessed, or a proceeding in court for the collection of such tax may be begun
without assessment, at any time.

HISTORY:
S. 21, ch. 16015, 1933; CGL 1936 Supp. 1342(101); s. 5, ch. 28031, 1953;

s. 8, ch. 29718, 1955.



 Title XIV. ,  Ch. 198. ,   198.29. 
Fla. Stat.  198.29

 198.29. Refunds of excess tax paid.
(1) Whenever it appears, upon the examination of any return made under

this chapter or upon proof submitted to the department by the personal
representative, that an amount of estate tax has been paid in excess of the
tax legally due under this chapter, the amount of such overpayment,
together with any overpayment of interest thereon shall be refunded to the
personal representative and paid by the Chief Financial Officer; such
refund shall be made by the department as a matter of course regardless of
whether or not the personal representative has filed a written claim
therefor, except that upon request of the department, the personal
representative shall file with the department a conformed copy of any
written claim for refund of federal estate tax which has theretofore been
filed with the United States.

(2) Notwithstanding the foregoing provisions, no refund of estate tax
shall be made nor shall any personal representative be entitled to bring any
action for refund of estate tax after the expiration of 4 years from the date
of payment of the tax to be refunded, unless there shall have been filed
with the department written notice of any administrative or judicial
determination of the federal estate tax liability of the estate, whichever
shall last occur, and such notice shall have been so filed not later than 60
days after the determination shall have become final.

(3) For the purpose of this section, an administrative determination shall
be deemed to have become final on the date of receipt by the personal
representative or other interested party of the final payment to be made
refunding federal estate tax or upon the last date on which the personal
representative or any other interested party shall receive notice from the
United States that an overpayment of federal estate tax has been credited
by the United States against any liability other than federal estate tax of
said estate. A final judicial determination shall be deemed to have occurred
on the date on which any judgment entered by a court of competent
jurisdiction and determining that there has been an overpayment of federal
estate tax becomes final.



(4) Nothing herein contained shall be construed to prevent a personal
representative from bringing or maintaining an action in any court of
competent jurisdiction, within any period otherwise prescribed by law, to
determine any question bearing upon the taxable situs of property, the
domicile of a decedent, or otherwise affecting the jurisdiction of the state
to impose an inheritance or estate tax with respect to a particular item or
items of property.

(5) Notwithstanding any other provision of this section, estate tax may
not be refunded pursuant to any allegation that the decedent was a resident
of another state unless this state is a party to any compromise agreement
between the decedents estate and the other state or unless this state is
allowed to intervene as a party in any action in the other state in which the
residency of the decedent is at issue.

HISTORY:
S. 22, ch. 16015, 1933; CGL 1936 Supp. 1342(102); s. 8-A, ch. 29718,

1955; ss. 21, 35, ch. 69-106; s. 17, ch. 80-153; s. 2, ch. 89-356; s. 176, ch.
2003-261.



 Title XIV. ,  Ch. 198. ,   198.30. 
Fla. Stat.  198.30

 198.30. Circuit judge to report names of decedents, etc.
Each circuit judge of this state shall, on or before the 10th day of every

month, notify the Agency for Health Care Administration of the names of all
decedents; the names and addresses of the respective personal
representatives, administrators, or curators appointed; the amount of the
bonds, if any, required by the court; and the probable value of the estates, in
all estates of decedents whose wills have been probated or propounded for
probate before the circuit judge or upon which letters testamentary or upon
whose estates letters of administration or curatorship have been sought or
granted, during the preceding month; and such report shall contain any other
information that the circuit judge may have concerning the estates of such
decedents. A circuit judge shall also furnish forthwith such further
information, from the records and files of the circuit court in regard to such
estates, as the department may from time to time require.

HISTORY:
S. 23, ch. 16015, 1933; CGL 1936 Supp. 1342(103); s. 9, ch. 29718, 1955;

ss. 21, 35, ch. 69-106; s. 20, ch. 73-334; s. 18, ch. 80-153; s. 1042, ch. 95-
147; s. 14, ch. 98-191; s. 8, ch. 2017-36, effective May 25, 2017.



 Title XIV. ,  Ch. 198. ,   198.31. 
Fla. Stat.  198.31

 198.31. Duties and powers of corporate personal representatives of
nonresident decedents.

If the personal representative of the estate of a nonresident is a corporation
duly authorized, qualified, and acting as personal representative in the
jurisdiction of the domicile of the decedent, it shall be under the duties and
obligations as to the giving of notices and filing of returns required by this
chapter, and may bring and defend actions and suits as may be authorized or
permitted by this chapter, to the same extent as an individual personal
representative, notwithstanding that such corporation may be prohibited from
exercising, in this state, any powers as personal representative; but nothing
herein contained shall be taken or construed as authorizing a corporation not
authorized to do business in this state to qualify or act as a personal
representative, an administrator, or in any other fiduciary capacity, if
otherwise prohibited by the laws of this state, except to the extent herein
expressly provided.

HISTORY:
S. 24, ch. 16015, 1933; CGL 1936 Supp. 1342(104); s. 19, ch. 80-153.



 Title XIV. ,  Ch. 198. ,   198.32. 
Fla. Stat.  198.32

 198.32. Prima facie liability for tax.
(1) The estate of each decedent whose property is subject to the laws of

the state shall be deemed prima facie liable for estate taxes under this
chapter and shall be subject to a lien therefor in such amount as may be
later determined to be due and payable on the estate as provided in this
chapter. This presumption of liability shall begin on the date of the death
of the decedent and shall continue until the full settlement of all taxes
which may be found to be due under this chapter, the settlement to be
shown by receipts for all taxes due to be issued by the department as
provided for in this chapter.

(2) Whenever an estate is not subject to tax under this chapter and is not
required to file a return, the personal representative may execute an
affidavit attesting that the estate is not taxable. The form of the affidavit
shall be prescribed by the department, and shall include, but not be limited
to, statements regarding the decedents domicile and whether a federal
estate tax return will be filed, and acknowledgment of the personal
representatives personal liability under s. 198.23. This affidavit shall be
subject to record and admissible in evidence to show nonliability for tax.
This subsection applies to all estates, regardless of the date of death of the
decedent.

HISTORY:
S. 25, ch. 16015, 1933; CGL 1936 Supp. 1342(105); ss. 21, 35, ch. 69-106;

s. 4, ch. 71-202; s. 20, ch. 80-153; s. 7, ch. 99-208; s. 2, ch. 2005-280.



 Title XIV. ,  Ch. 198. ,   198.33. 
Fla. Stat.  198.33

 198.33. Discharge of estate, notice of lien, limitation on lien, etc.
(1) Where no receipt for the payment of taxes, or no affidavit or

certificate of nonliability for taxes has been issued or recorded as provided
for in this chapter, the property constituting the estate of the decedent in
this state shall be deemed fully acquitted and discharged of all liability for
estate and inheritance taxes under this chapter after a lapse of 10 years
from the date of the filing with the department of an estate tax return,
unless the department shall make out and file and have recorded in the
public records of the county wherein any part of the estate of the decedent
may be situated in this state, a notice of lien against the property of the
estate, specifying the amount or approximate amount of taxes claimed to
be due to the state under this chapter, which notice of lien shall continue
said lien in force for an additional period of 5 years or until payment is
made. Such notice of lien shall be filed and recorded in the book of deeds
in the office of the clerk of the circuit court; provided, where no receipt for
the payment of taxes, or no affidavit or certificate of nonliability for taxes,
has been issued or recorded as provided for in this chapter, the property
constituting the estate of the decedent in this state, if said decedent was a
resident of this state at the time of death, shall be deemed fully acquitted
and discharged of all liability for tax under this chapter after a lapse of 10
years from the date of the death of the decedent, unless the department
shall make out and file and have recorded notice of lien as herein provided,
which notice shall continue said lien in force against such property of the
estate as is situate in the county wherein said notice of lien was recorded
for an additional period of 5 years or until payment is made.

(2) Notwithstanding anything to the contrary in this section or this
chapter, no lien for estate and inheritance taxes under this chapter shall
continue for more than 20 years from the date of death of the decedent,
whether the decedent be a resident or nonresident of this state.

HISTORY:
S. 26, ch. 16015, 1933; CGL 1936 Supp. 1342(106); s. 6, ch. 28031, 1953;

s. 10, ch. 29718, 1955; s. 2, ch. 57-108; ss. 21, 35, ch. 69-106; s. 1043, ch.



95-147; s. 8, ch. 99-208.



 Title XIV. ,  Ch. 198. ,   198.34. 
Fla. Stat.  198.34

 198.34. Disposition of proceeds from taxes.
All taxes and fees levied and collected under this chapter shall be paid into

the Treasury of the state to the credit of the General Revenue Fund.

HISTORY:
S. 28, ch. 16015, 1933; CGL 1936 Supp. 1342(108); s. 10, ch. 26869,

1951.



 Title XIV. ,  Ch. 198. ,   198.35. 
Fla. Stat.  198.35

 198.35. Interpretation and construction.
When not otherwise provided for in this chapter, the rules of interpretation

and construction applicable to the estate and inheritance tax laws of the
United States shall apply to and be followed in the interpretation of this
chapter.

HISTORY:
S. 32, ch. 16015, 1933; CGL 1936 Supp. 1342(111); s. 5, ch. 77-411; s. 1,

ch. 79-34; s. 1, ch. 80-16; s. 1, ch. 82-38.



 Title XIV. ,  Ch. 198. ,   198.36. 
Fla. Stat.  198.36

 198.36. Failure to produce records; penalty.
Whoever fails to comply with any duty imposed upon him or her by this

law, or having in his or her possession or control any record, file, or paper,
containing or supposed to contain any information concerning the estate of
the decedent, or, having in his or her possession or control any property
comprised in the gross estate of the decedent, fails to exhibit the same upon
request to the department or any examiner, appraiser, or attorney appointed
pursuant to this chapter, who desires to examine the same in the performance
of his or her duties under this chapter, shall be liable to a penalty of not
exceeding $500 to be recovered, with costs of suit, in a civil action in the
name of the state.

HISTORY:
S. 27, ch. 16015, 1933; CGL 1936 Supp. 1342(107); ss. 21, 35, ch. 69-106;

s. 1044, ch. 95-147.



 Title XIV. ,  Ch. 198. ,   198.37. 
Fla. Stat.  198.37

 198.37. Failure to make return; penalty.
Any person required under this chapter to pay any tax, or required by law

or regulations made under authority thereof to make a return, keep any
records, or supply any information for the purposes of the computation,
assessment, or collection of any tax imposed by this chapter, who willfully
fails to pay such tax, make such return, keep such records, or supply such
information, at the time or times required by law or regulations, is, in
addition to other penalties provided by law, guilty of a misdemeanor of the
first degree, punishable as provided in s. 775.082 or s. 775.083.

HISTORY:
S. 27, ch. 16015, 1933; CGL 1936 Supp. 7473(3-a); s. 97, ch. 71-136; s.

62, ch. 87-6; s. 36, ch. 87-101; s. 11, ch. 91-224.



 Title XIV. ,  Ch. 198. ,   198.38. 
Fla. Stat.  198.38

 198.38. False return; penalty.
Any person who willfully aids or assists in, or procures, counsels, or

advises, the preparation or presentation under, or in connection with any
matter arising under, this chapter of a false or fraudulent return, affidavit,
claim, or document shall (whether or not such falsity or fraud is with the
knowledge or consent of the person authorized or required to present such
return, affidavit, claim or document) be guilty of a felony of the third degree,
punishable as provided in s. 775.082, s. 775.083, or s. 775.084.

HISTORY:
S. 27, ch. 16015, 1933; CGL 1936 Supp. 7473(3-a); s. 98, ch. 71-136.



 Title XIV. ,  Ch. 198. ,   198.39. 
Fla. Stat.  198.39

 198.39. False statement in return; penalty.
Whoever knowingly makes any false statement in any notice, affidavit, or

return required to be filed or made under this chapter is guilty of a
misdemeanor of the first degree, punishable as provided in s. 775.082 or s.
775.083.

HISTORY:
S. 27, ch. 16015, 1933; CGL 1936 Supp. 7473(3-a); s. 99, ch. 71-136; s.

63, ch. 87-6; s. 37, ch. 87-101; s. 12, ch. 91-224; s. 9, ch. 99-208.



 Title XIV. ,  Ch. 198. ,   198.40. 
Fla. Stat.  198.40

 198.40. Failure to pay tax, evasion of tax, etc.; penalty.
Any person required under this chapter to collect, account for, and pay

over any tax imposed by this chapter who willfully fails to collect or
truthfully account for and pay over such tax, and any person who willfully
attempts in any manner to evade or defeat any tax imposed by this chapter or
the payment thereof, shall, in addition to other penalties provided by law, be
guilty of a felony of the third degree, punishable as provided in s. 775.082, s.
775.083, or s. 775.084.

HISTORY:
S. 27, ch. 16015, 1933; CGL 1936 Supp. 7473(3-a); s. 100, ch. 71-136.



 Title XIV. ,  Ch. 198. ,   198.41. 
Fla. Stat.  198.41

 198.41. Effectiveness of this chapter, etc.
This chapter shall remain in force and effect so long as the Government of

the United States retains in full force and effect as a part of the Revenue
Laws of the United States a Federal Estate Tax, and this chapter shall cease to
be operative as and when the Government of the United States ceases to
impose any Estate Tax of the United States.

HISTORY:
S. 29, ch. 16015, 1933; CGL 1936 Supp. 1342(109).



 Title XIV. ,  Ch. 198. ,   198.42. 
Fla. Stat.  198.42

 198.42. Short title.
This chapter may be cited as the Estate Tax Law of Florida.

HISTORY:
S. 1, ch. 16015, 1933; CGL 1936 Supp. 1342(80).



 Title XIV. ,  Ch. 198. ,   198.44. 
Fla. Stat.  198.44

 198.44. Certain exemptions from inheritance and estate taxes.
The tax imposed under the inheritance and estate tax laws of this state in

respect to personal property (except tangible property having an actual situs
in this state) shall not be payable:

(1) If the transferor at the time of death was a resident of a state or
territory of the United States, or the District of Columbia, which at the time
of death did not impose a death tax of any character in respect to property
of residents of this state (except tangible personal property having an
actual situs in such state, territory, or district); or

(2) If the laws of the state, territory, or district of the residence of the
transferor at the time of death contained a reciprocal exemption provision
under which nonresidents were exempted from said death taxes of every
character in respect to personal property (except tangible personal property
having an actual situs therein), and provided that the state, territory, or
district of the residence of such nonresident decedent allowed a similar
exemption to residents of the state, territory, or district of residence of such
decedent.

HISTORY:
S. 1, ch. 15747, 1931; CGL 1936 Supp. 1342(70); s. 1045, ch. 95-147.



 Title XV. 
Fla. Stat. Title XV

TITLE XV.
HOMESTEAD AND EXEMPTIONS.

________
 Title XV. ,  Ch. 222. 

Fla. Stat. Title XV, Ch. 222



CHAPTER 222.
METHOD OF SETTING APART HOMESTEAD AND

EXEMPTIONS.
 Title XV. ,  Ch. 222. ,   222.01. 

Fla. Stat.  222.01

 222.01. Designation of homestead by owner before levy.
(1) Whenever any natural person residing in this state desires to avail

himself or herself of the benefit of the provisions of the constitution and
laws exempting property as a homestead from forced sale under any
process of law, he or she may make a statement, in writing, containing a
description of the real property, mobile home, or modular home claimed to
be exempt and declaring that the real property, mobile home, or modular
home is the homestead of the party in whose behalf such claim is being
made. Such statement shall be signed by the person making it and shall be
recorded in the circuit court.

(2) When a certified copy of a judgment has been filed in the public
records of a county pursuant to chapter 55, a person who is entitled to the
benefit of the provisions of the State Constitution exempting real property
as homestead and who has a contract to sell or a commitment from a lender
for a mortgage on the homestead may file a notice of homestead in the
public records of the county in which the homestead property is located in
substantially the following form:
NOTICE OF HOMESTEAD
To: (Name and address of judgment creditor as shown on recorded

judgment and name and address of any other person shown in the recorded
judgment to receive a copy of the Notice of Homestead).

You are notified that the undersigned claims as homestead exempt from
levy and execution under Section 4, Article X of the State Constitution, the
following described property:

(Legal description)
The undersigned certifies, under oath, that he or she has applied for and



received the homestead tax exemption as to the above-described property,
that ___________ is the tax identification parcel number of this property, and
that the undersigned has resided on this property continuously and
uninterruptedly from (date) to the date of this Notice of Homestead. Further,
the undersigned will either convey or mortgage the above-described property
pursuant to the following:

(Describe the contract of sale or loan commitment by date, names of
parties, date of anticipated closing, and amount. The name, address, and
telephone number of the person conducting the anticipated closing must be
set forth.)

The undersigned also certifies, under oath, that the judgment lien filed by
you on (date) and recorded in Official Records Book ___________, Page
___________, of the Public Records of ___________ County, Florida, does
not constitute a valid lien on the described property.

YOU ARE FURTHER NOTIFIED, PURSUANT TO SECTION 222.01
ET SEQ., FLORIDA STATUTES, THAT WITHIN 45 DAYS AFTER THE
MAILING OF THIS NOTICE YOU MUST FILE AN ACTION IN THE
CIRCUIT COURT OF ___________ COUNTY, FLORIDA, FOR A
DECLARATORY JUDGMENT TO DETERMINE THE
CONSTITUTIONAL HOMESTEAD STATUS OF THE SUBJECT
PROPERTY OR TO FORECLOSE YOUR JUDGMENT LIEN ON THE
PROPERTY AND RECORD A LIS PENDENS IN THE PUBLIC
RECORDS OF THE COUNTY WHERE THE HOMESTEAD IS
LOCATED. YOUR FAILURE TO SO ACT WILL RESULT IN ANY
BUYER OR LENDER, OR HIS OR HER SUCCESSORS AND ASSIGNS,
UNDER THE ABOVE-DESCRIBED CONTRACT OF SALE OR LOAN
COMMITMENT TO TAKE FREE AND CLEAR OF ANY JUDGMENT
LIEN YOU MAY HAVE ON THE PROPERTY.

This ___________ day of ___________, 2___________.
_____________________________

(Signature of Owner)
_____________________________

(Printed Name of Owner)



_____________________________
(Owners Address)

Sworn to and subscribed before me by ___________ who is personally
known to me or produced ___________ as identification, this ___________
day of ___________, 2___________.

_____________________________
Notary Public

(3) The clerk shall mail a copy of the notice of homestead to the
judgment lienor, by certified mail, return receipt requested, at the address
shown in the most recent recorded judgment or accompanying affidavit,
and to any other person designated in the most recent recorded judgment or
accompanying affidavit to receive the notice of homestead, and shall
certify to such service on the face of such notice and record the notice.
Notwithstanding the use of certified mail, return receipt requested, service
shall be deemed complete upon mailing.

(4) A lien pursuant to chapter 55 of any lienor upon whom such notice is
served, who fails to institute an action for a declaratory judgment to
determine the constitutional homestead status of the property described in
the notice of homestead or to file an action to foreclose the judgment lien,
together with the filing of a lis pendens in the public records of the county
in which the homestead is located, within 45 days after service of such
notice shall be deemed as not attaching to the property by virtue of its
status as homestead property as to the interest of any buyer or lender, or his
or her successors or assigns, who takes under the contract of sale or loan
commitment described above within 180 days after the filing in the public
records of the notice of homestead. This subsection shall not act to prohibit
a lien from attaching to the real property described in the notice of
homestead at such time as the property loses its homestead status.

(5) As provided in s. 4, Art. X of the State Constitution, this subsection
shall not apply to:
(a) Liens and judgments for the payment of taxes and assessments on real

property.
(b) Liens and judgments for obligations contracted for the purchase of real



property.
(c) Liens and judgments for labor, services, or materials furnished to repair

or improve real property.
(d) Liens and judgments for other obligations contracted for house, field,

or other labor performed on real property.

HISTORY:
S. 1, ch. 1715, 1869; RS 1998; GS 2520; RGS 3875; CGL 5782; s. 20, ch.

73-334; s. 2, ch. 77-299; s. 1, ch. 83-40; s. 1195, ch. 95-147; s. 25, ch. 2000-
258; s. 17, ch. 2005-241.



 Title XV. ,  Ch. 222. ,   222.02. 
Fla. Stat.  222.02

 222.02. Designation of homestead after levy.
Whenever a levy is made upon the lands, tenements, mobile home, or

modular home of such person whose homestead has not been set apart and
selected, such person, or the persons agent or attorney, may in writing notify
the officer making such levy, by notice under oath made before any officer of
this state duly authorized to administer oaths, at any time before the day
appointed for the sale thereof, of what such person regards as his or her
homestead, with a description thereof; and the remainder only shall be
subject to sale under such levy.

HISTORY:
S. 2, ch. 1715, 1869; RS 1999; GS 2521; RGS 3876; CGL 5783; s. 3, ch.

77-299; s. 2, ch. 83-40; s. 1196, ch. 95-147.



 Title XV. ,  Ch. 222. ,   222.03. 
Fla. Stat.  222.03

 222.03. Survey at instance of dissatisfied creditor.
If the creditor in any execution or process sought to be levied is dissatisfied

with the quantity of land selected and set apart, and shall himself or herself,
or by his or her agent or attorney, notify the officer levying, the officer shall
at the creditors request cause the same to be surveyed, and when the
homestead is not within the corporate limits of any town or city, the person
claiming said exemption shall have the right to set apart that portion of land
belonging to him or her which includes the residence, or not, at the persons
option, and if the first tract or parcel does not contain 160 acres, the said
officer shall set apart the remainder from any other tract or tracts claimed by
the debtor, but in every case taking all the land lying contiguous until the
whole quantity of 160 acres is made up. The person claiming the exemption
shall not be forced to take as his or her homestead any tract or portion of a
tract, if any defect exists in the title, except at the persons option. The
expense of such survey shall be chargeable on the execution as costs; but if it
shall appear that the person claiming such exemption does not own more than
160 acres in the state, the expenses of said survey shall be paid by the person
directing the same to be made.

HISTORY:
S. 3, ch. 1715, 1869; s. 1, ch. 1944, 1873; RS 2000; GS 2522; RGS 3877;

CGL 5784; s. 1197, ch. 95-147.



 Title XV. ,  Ch. 222. ,   222.04. 
Fla. Stat.  222.04

 222.04. Sale after survey.
After such survey has been made, the officer making the levy may sell the

property levied upon not included in such property set off in such manner.

HISTORY:
S. 4, ch. 1715, 1869; RS 2001; GS 2523; RGS 3878; CGL 5785.



 Title XV. ,  Ch. 222. ,   222.05. 
Fla. Stat.  222.05

 222.05. Setting apart leasehold.
Any person owning and occupying any dwelling house, including a mobile

home used as a residence, or modular home, on land not his or her own which
he or she may lawfully possess, by lease or otherwise, and claiming such
house, mobile home, or modular home as his or her homestead, shall be
entitled to the exemption of such house, mobile home, or modular home from
levy and sale as aforesaid.

HISTORY:
S. 5, ch. 1715, 1869; RS 2002; GS 2524; RGS 3879; CGL 5786; s. 1, ch.

77-299; s. 1198, ch. 95-147.



 Title XV. ,  Ch. 222. ,   222.061. 
Fla. Stat.  222.061

 222.061. Method of exempting personal property; inventory.
(1) When a levy is made by writ of execution, writ of attachment, or writ

of garnishment upon personal property which is allowed by law or by the
State Constitution to be exempt from levy and sale, the debtor may claim
such personal property to be exempt from sale by making, within 15 days
after the date of the levy, an inventory of his or her personal property. The
inventory shall show the fair market valuation of the property listed and
shall have an affidavit attached certifying that the inventory contains a
correct list of all personal property owned by the debtor in this state and
that the value shown is the fair market value of the property. The debtor
shall designate the property listed in the schedule which he or she claims to
be exempt from levy and sale.

(2) The original inventory and affidavit shall be filed with the court
which issued the writ. The debtor, by mail or hand delivery, shall promptly
serve one copy on the judgment creditor and furnish one copy to the sheriff
who executed the writ. If the creditor desires to object to the inventory, he
or she shall file an objection with the court which issued the writ within 5
days after service of the inventory, or he or she shall be deemed to admit
the inventory as true. If the creditor does not file an objection, the clerk of
the court shall immediately send the case file to the court issuing the writ,
and the court shall promptly issue an order exempting the items claimed.
Such order shall be sent by the court to the sheriff directing him or her to
promptly redeliver to the debtor any exempt property under the levy and to
sell any nonexempt property under the levy according to law.

(3) If the creditor files an objection, he or she shall promptly serve, by
mail or hand delivery, one copy on the debtor and furnish one copy to the
sheriff who executed the writ. Upon the filing of an objection, the clerk
shall immediately send the case file to the court issuing the writ, and the
court shall automatically schedule a prompt evidentiary hearing to
determine the validity of the objection and shall enter its order therein
describing the exempt and nonexempt property. Upon its issuance, the
order shall be sent by the court to the sheriff directing him or her to
promptly redeliver to the debtor any exempt property under the levy and to



sell the nonexempt property under the levy according to law.
(4) The court shall appoint a disinterested appraiser to assist in its

evidentiary hearing unless the debtor and creditor mutually waive the
appointment of such appraiser. The appraiser shall take and file an oath
that he or she will faithfully appraise the property at its fair market value
and that he or she will file a signed and sworn appraisal with the court as
required by law. Notice of the time and place of the inspection of the
property for the purpose of its appraisal shall be given by the appraiser to
the debtor, creditor, and sheriff, at least 24 hours before the inspection is
made. The appraiser shall be entitled to a reasonable fee as determined by
the court for his or her services. The appraisers fee shall be taxed as costs,
but no costs shall be assessed against the debtor for the proceedings under
this section if the debtor prevails on his or her claim of exemption. The
court may require the creditor to deposit a cash bond, a surety bond, or
other security, conditioned on the creditors obligation to pay reasonable
appraisal expenses, not to exceed $100.

(5) During the pendency of proceedings under this section, the sheriff
shall safeguard the property seized under the writ, and the creditor shall
deposit sufficient moneys with the sheriff to pay the cost of such
safeguarding until the property is sold or redelivered to the debtor. When
the sheriff receives a copy of a court order identifying which property has
been declared exempt and which property has been declared not exempt
and ordering the sale of the property not exempt from levy, he or she shall
sell the property.

(6) The party who successfully maintains his or her claim at the time of
the evidentiary hearing may be entitled to reasonable attorneys fees and
shall be entitled to costs. The costs shall include, but not be limited to,
appraisal fees, storage fees, and such other costs incurred as a result of the
levy.

(7) No inventory or schedule to exempt personal property from sale shall
be accepted prior to a levy on the property.

HISTORY:
S. 5, ch. 85-272; s. 61, ch. 87-224; s. 1199, ch. 95-147.



 Title XV. ,  Ch. 222. ,   222.07. 
Fla. Stat.  222.07

 222.07. Defendants rights of selection.
Upon the completion of the inventory the person entitled to the exemption,

or the persons agent or attorney, may select from such an inventory an
amount of property not exceeding, according to such appraisal, the amount of
value exempted; but if the person so entitled, or the persons agent or
attorney, does not appear and make such selection, the officer shall make the
selection for him or her, and the property not so selected as exempt may be
sold.

HISTORY:
S. 8, ch. 1715, 1869; RS 2004; GS 2526; RGS 3881; CGL 5788; s. 1200,

ch. 95-147.



 Title XV. ,  Ch. 222. ,   222.08. 
Fla. Stat.  222.08

 222.08. Jurisdiction to set apart homestead and exemption.
The circuit courts have equity jurisdiction to order and decree the setting

apart of homesteads and of exemptions of personal property from forced
sales.

HISTORY:
S. 2, ch. 3246, 1881; RS 2005; GS 2527; RGS 3882; CGL 5789.



 Title XV. ,  Ch. 222. ,   222.09. 
Fla. Stat.  222.09

 222.09. Injunction to prevent sale.
The circuit courts have equity jurisdiction to enjoin the sale of all property,

real and personal, that is exempt from forced sale.

HISTORY:
S. 1, ch. 3246, 1881; RS 2006; GS 2528; RGS 3883; CGL 5790.



 Title XV. ,  Ch. 222. ,   222.10. 
Fla. Stat.  222.10

 222.10. Jurisdiction to subject property claimed to be exempt.
The circuit courts have equity jurisdiction upon bill filed by a creditor or

other person interested in enforcing any unsatisfied judgment or decree, to
determine whether any property, real or personal, claimed to be exempt, is so
exempt, and in case it be not exempt, the court shall, by its decree subject it,
or so much thereof as may be necessary, to the satisfaction of said judgment
or decree and may enjoin the sheriff or other officer from setting apart as
exempt property, real or personal, which is not exempt, and may annul all
exemptions made and set apart by the sheriff or other officer.

HISTORY:
S. 3, ch. 3246, 1881; RS 2007; GS 2529; RGS 3884; CGL 5791.



 Title XV. ,  Ch. 222. ,   222.11. 
Fla. Stat.  222.11

 222.11. Exemption of wages from garnishment.
(1) As used in this section, the term:

(a) Earnings includes compensation paid or payable, in money of a sum
certain, for personal services or labor whether denominated as wages, salary,
commission, or bonus.

(b) Disposable earnings means that part of the earnings of any head of
family remaining after the deduction from those earnings of any amounts
required by law to be withheld.

(c) Head of family includes any natural person who is providing more
than one-half of the support for a child or other dependent.

(2)(a) All of the disposable earnings of a head of family whose disposable
earnings are less than or equal to $750 a week are exempt from attachment
or garnishment.
(b) Disposable earnings of a head of a family, which are greater than $750

a week, may not be attached or garnished unless such person has agreed
otherwise in writing. The agreement to waive the protection provided by this
paragraph must:

1. Be written in the same language as the contract or agreement to which
the waiver relates;

2. Be contained in a separate document attached to the contract or
agreement; and

3. Be in substantially the following form in at least 14-point type:
IF YOU PROVIDE MORE THAN ONE-HALF OF THE SUPPORT FOR

A CHILD OR OTHER DEPENDENT, ALL OR PART OF YOUR INCOME
IS EXEMPT FROM GARNISHMENT UNDER FLORIDA LAW. YOU
CAN WAIVE THIS PROTECTION ONLY BY SIGNING THIS
DOCUMENT. BY SIGNING BELOW, YOU AGREE TO WAIVE THE
PROTECTION FROM GARNISHMENT.

(Consumers Signature) (Date Signed)



I have fully explained this document to the consumer.
(Consumers Signature) (Date Signed)
The amount attached or garnished may not exceed the amount allowed

under the Consumer Credit Protection Act, 15 U.S.C. s. 1673.
(c) Disposable earnings of a person other than a head of family may not be

attached or garnished in excess of the amount allowed under the Consumer
Credit Protection Act, 15 U.S.C. s. 1673.

(3) Earnings that are exempt under subsection (2) and are credited or
deposited in any financial institution are exempt from attachment or
garnishment for 6 months after the earnings are received by the financial
institution if the funds can be traced and properly identified as earnings.
Commingling of earnings with other funds does not by itself defeat the
ability of a head of family to trace earnings.

HISTORY:
S. 1, ch. 2065, 1875; RS 2008; GS 2530; RGS 3885; CGL 5792; s. 1, ch.

81-301; s. 6, ch. 85-272; s. 2, ch. 93-256; s. 1, ch. 2010-97, eff. Oct. 1, 2010.



 Title XV. ,  Ch. 222. ,   222.12. 
Fla. Stat.  222.12

 222.12. Proceedings for exemption. [Repealed]
Repealed by s. 3, ch. 2013-233, effective July 1, 2013.

HISTORY:
S. 2, ch. 2065, 1875; RS 2009; GS 2531; RGS 3886; CGL 5793; s. 1201,

ch. 95-147; s. 26, ch. 2000-258.



 Title XV. ,  Ch. 222. ,   222.13. 
Fla. Stat.  222.13

 222.13. Life insurance policies; disposition of proceeds.
(1) Whenever any person residing in the state shall die leaving insurance

on his or her life, the said insurance shall inure exclusively to the benefit of
the person for whose use and benefit such insurance is designated in the
policy, and the proceeds thereof shall be exempt from the claims of
creditors of the insured unless the insurance policy or a valid assignment
thereof provides otherwise. Notwithstanding the foregoing, whenever the
insurance, by designation or otherwise, is payable to the insured or to the
insureds estate or to his or her executors, administrators, or assigns, the
insurance proceeds shall become a part of the insureds estate for all
purposes and shall be administered by the personal representative of the
estate of the insured in accordance with the probate laws of the state in like
manner as other assets of the insureds estate.

(2) Payments as herein directed shall, in every such case, discharge the
insurer from any further liability under the policy, and the insurer shall in
no event be responsible for, or be required to see to, the application of such
payments.

HISTORY:
S. 1, ch. 1864, 1872; RS 2347; s. 1, ch. 4555, 1897; s. 1, ch. 5165, 1903;

GS 3154; RGS 4977; CGL 7065; s. 1, ch. 29861, 1955; s. 1, ch. 59-333; s. 1,
ch. 63-230; s. 1, ch. 70-376; s. 51, ch. 71-355; s. 1202, ch. 95-147.



 Title XV. ,  Ch. 222. ,   222.14. 
Fla. Stat.  222.14

 222.14. Exemption of cash surrender value of life insurance policies
and annuity contracts from legal process.

The cash surrender values of life insurance policies issued upon the lives
of citizens or residents of the state and the proceeds of annuity contracts
issued to citizens or residents of the state, upon whatever form, shall not in
any case be liable to attachment, garnishment or legal process in favor of any
creditor of the person whose life is so insured or of any creditor of the person
who is the beneficiary of such annuity contract, unless the insurance policy or
annuity contract was effected for the benefit of such creditor.

HISTORY:
S. 1, ch. 10154, 1925; CGL 7066; s. 1, ch. 78-76.



 Title XV. ,  Ch. 222. ,   222.15. 
Fla. Stat.  222.15

 222.15. Wages or reemployment assistance or unemployment
compensation payments due deceased employee may be paid spouse
or certain relatives.
(1) It is lawful for any employer, in case of the death of an employee, to

pay to the wife or husband, and in case there is no wife or husband, then to
the child or children, provided the child or children are over the age of 18
years, and in case there is no child or children, then to the father or mother,
any wages or travel expenses that may be due such employee at the time of
his or her death.

(2) It is also lawful for the Department of Economic Opportunity, in
case of death of any unemployed individual, to pay to those persons
referred to in subsection (1) any reemployment assistance or
unemployment compensation payments that may be due to the individual
at the time of his or her death.

HISTORY:
S. 1, ch. 7366, 1917; RGS 4979; CGL 7068; s. 1, ch. 20407, 1941; s. 1, ch.

63-165; ss. 17, 35, ch. 69-106; s. 1, ch. 73-283; s. 10, ch. 79-7; s. 5, ch. 83-
174; s. 1203, ch. 95-147; s. 7, ch. 2003-36; s. 96, ch. 2011-142, eff. July 1,
2011; s. 52, ch. 2012-30, eff. July 1, 2012.

Editors notes.
Section 93, ch. 2012-30, provides: If any provision of this act or its

application to any person or circumstance is held invalid, the invalidity does
not affect other provisions or applications of the act which can be given effect
without the invalid provision or application, and to this end the provisions of
the act are severable.



 Title XV. ,  Ch. 222. ,   222.16. 
Fla. Stat.  222.16

 222.16. Wages or reemployment assistance or unemployment
compensation payments so paid not subject to administration.

Any wages, travel expenses, or reemployment assistance or unemployment
compensation payments so paid under the authority of s. 222.15 shall not be
considered as assets of the estate and subject to administration; provided,
however, that the travel expenses so exempted from administration shall not
exceed the sum of $300.

HISTORY:
S. 2, ch. 7366, 1917; RGS 4980; CGL 7069; s. 2, ch. 20407, 1941; s. 2, ch.

63-165; s. 53, ch. 2012-30, eff. July 1, 2012.

Editors notes.
Section 93, ch. 2012-30, provides: If any provision of this act or its

application to any person or circumstance is held invalid, the invalidity does
not affect other provisions or applications of the act which can be given effect
without the invalid provision or application, and to this end the provisions of
the act are severable.



 Title XV. ,  Ch. 222. ,   222.17. 
Fla. Stat.  222.17

 222.17. Manifesting and evidencing domicile in Florida.
(1) Any person who shall have established a domicile in this state may

manifest and evidence the same by filing in the office of the clerk of the
circuit court for the county in which the said person shall reside, a sworn
statement showing that he or she resides in and maintains a place of abode
in that county which he or she recognizes and intends to maintain as his or
her permanent home.

(2) Any person who shall have established a domicile in the State of
Florida, but who shall maintain another place or places of abode in some
other state or states, may manifest and evidence his or her domicile in this
state by filing in the office of the clerk of the circuit court for the county in
which he or she resides, a sworn statement that his or her place of abode in
Florida constitutes his or her predominant and principal home, and that he
or she intends to continue it permanently as such.

(3) Such sworn statement shall contain, in addition to the foregoing, a
declaration that the person making the same is, at the time of making such
statement, a bona fide resident of the state, and shall set forth therein his or
her place of residence within the state, the city, county and state wherein
he or she formerly resided, and the place or places, if any, where he or she
maintains another or other place or places of abode.

(4) Any person who shall have been or who shall be domiciled in a state
other than the State of Florida, and who has or who may have a place of
abode within the State of Florida, or who has or may do or perform other
acts within the State of Florida, which independently of the actual intention
of such person respecting his or her domicile might be taken to indicate
that such person is or may intend to be or become domiciled in the State of
Florida, and if such person desires to maintain or continue his or her
domicile in such state other than the State of Florida, the person may
manifest and evidence his or her permanent domicile and intention to
permanently maintain and continue his or her domicile in such state other
than the State of Florida, by filing in the office of the clerk of the circuit
court in any county in the State of Florida in which the person may have a



place of abode or in which the person may have done or performed such
acts which independently may indicate that he or she is or may intend to be
or become domiciled in the State of Florida, a sworn statement that the
persons domicile is in such state other than the State of Florida, as the
case may be, naming such state where he or she is domiciled and stating
that he or she intends to permanently continue and maintain his or her
domicile in such other state so named in said sworn statement. Such sworn
statement shall also contain a declaration that the person making the same
is at the time of the making of such statement a bona fide resident of such
state other than the State of Florida, and shall set forth therein his or her
place of abode within the State of Florida, if any. Such sworn statement
may contain such other and further facts with reference to any acts done or
performed by such person which such person desires or intends not to be
construed as evidencing any intention to establish his or her domicile
within the State of Florida.

(5) The sworn statement permitted by this section shall be signed under
oath before an official authorized to take affidavits. Upon the filing of such
declaration with the clerk of the circuit court, it shall be the duty of the
clerk in whose office such declaration is filed to record the same in a book
to be provided for that purpose. For the performance of the duties herein
prescribed, the clerk of the circuit court shall collect a service charge for
each declaration as provided in s. 28.24.

(6) It shall be the duty of the Department of Legal Affairs to prescribe a
form for the declaration herein provided for, and to furnish the same to the
several clerks of the circuit courts of the state.

(7) Nothing herein shall be construed to repeal or abrogate other existing
methods of proving and evidencing domicile except as herein specifically
provided.

HISTORY:
SS. 1, 2, 3, 4, 5, 6, ch. 20412, 1941; s. 1, ch. 26896, 1951; ss. 11, 35, ch.

69-106; s. 15, ch. 70-134; s. 1204, ch. 95-147.



 Title XV. ,  Ch. 222. ,   222.18. 
Fla. Stat.  222.18

 222.18. Exempting disability income benefits from legal processes.
Disability income benefits under any policy or contract of life, health,

accident, or other insurance of whatever form, shall not in any case be liable
to attachment, garnishment, or legal process in the state, in favor of any
creditor or creditors of the recipient of such disability income benefits, unless
such policy or contract of insurance was effected for the benefit of such
creditor or creditors.

HISTORY:
S. 1, ch. 20741, 1941.



 Title XV. ,  Ch. 222. ,   222.20. 
Fla. Stat.  222.20

 222.20. Nonavailability of federal bankruptcy exemptions.
In accordance with the provision of s. 522(b) of the Bankruptcy Code of

1978 (11 U.S.C. s. 522(b)), residents of this state shall not be entitled to the
federal exemptions provided in s. 522(d) of the Bankruptcy Code of 1978 (11
U.S.C. s. 522(d)). Nothing herein shall affect the exemptions given to
residents of this state by the State Constitution and the Florida Statutes.

HISTORY:
S. 1, ch. 79-363.



 Title XV. ,  Ch. 222. ,   222.201. 
Fla. Stat.  222.201

 222.201. Availability of federal bankruptcy exemptions.
(1) Notwithstanding s. 222.20, an individual debtor under the federal

Bankruptcy Reform Act of 1978 may exempt, in addition to any other
exemptions allowed under state law, any property listed in subsection (d)
(10) of s. 522 of that act.

(2) The provisions of this section apply to any bankruptcy action that is
filed on or after October 1, 1987.

HISTORY:
S. 2, ch. 87-375.



 Title XV. ,  Ch. 222. ,   222.21. 
Fla. Stat.  222.21

 222.21. Exemption of pension money and certain tax-exempt funds or
accounts from legal processes.
(1) Money received by any debtor as pensioner of the United States

within 3 months next preceding the issuing of an execution, attachment, or
garnishment process may not be applied to the payment of the debts of the
pensioner when it is made to appear by the affidavit of the debtor or
otherwise that the pension money is necessary for the maintenance of the
debtors support or a family supported wholly or in part by the pension
money. The filing of the affidavit by the debtor, or the making of such
proof by the debtor, is prima facie evidence; and it is the duty of the court
in which the proceeding is pending to release all pension moneys held by
such attachment or garnishment process, immediately, upon the filing of
such affidavit or the making of such proof.
(2)(a) Except as provided in paragraph (d), any money or other assets
payable to an owner, a participant, or a beneficiary from, or any interest of
any owner, participant, or beneficiary in, a fund or account is exempt from
all claims of creditors of the owner, beneficiary, or participant if the fund
or account is:
1. Maintained in accordance with a master plan, volume submitter plan,

prototype plan, or any other plan or governing instrument that has been
preapproved by the Internal Revenue Service as exempt from taxation under
s. 401(a), s. 403(a), s. 403(b), s. 408, s. 408A, s. 409, s. 414, s. 457(b), or s.
501(a) of the Internal Revenue Code of 1986, as amended, unless it has been
subsequently determined that the plan or governing instrument is not exempt
from taxation in a proceeding that has become final and nonappealable;

2. Maintained in accordance with a plan or governing instrument that has
been determined by the Internal Revenue Service to be exempt from taxation
under s. 401(a), s. 403(a), s. 403(b), s. 408, s. 408A, s. 409, s. 414, s. 457(b),
or s. 501(a) of the Internal Revenue Code of 1986, as amended, unless it has
been subsequently determined that the plan or governing instrument is not
exempt from taxation in a proceeding that has become final and
nonappealable; or



3. Not maintained in accordance with a plan or governing instrument
described in subparagraph 1. or subparagraph 2. if the person claiming
exemption under this paragraph proves by a preponderance of the evidence
that the fund or account is maintained in accordance with a plan or governing
instrument that:

a. Is in substantial compliance with the applicable requirements for tax
exemption under s. 401(a), s. 403(a), s. 403(b), s. 408, s. 408A, s. 409, s. 414,
s. 457(b), or s. 501(a) of the Internal Revenue Code of 1986, as amended; or

b. Would have been in substantial compliance with the applicable
requirements for tax exemption under s. 401(a), s. 403(a), s. 403(b), s. 408, s.
408A, s. 409, s. 414, s. 457(b), or s. 501(a) of the Internal Revenue Code of
1986, as amended, but for the negligent or wrongful conduct of a person or
persons other than the person who is claiming the exemption under this
section.

(b) It is not necessary that a fund or account that is described in paragraph
(a) be maintained in accordance with a plan or governing instrument that is
covered by any part of the Employee Retirement Income Security Act for
money or assets payable from or any interest in that fund or account to be
exempt from claims of creditors under that paragraph.

(c) Any money or other assets or any interest in any fund or account that is
exempt from claims of creditors of the owner, beneficiary, or participant
under paragraph (a) does not cease to be exempt after the owners death by
reason of a direct transfer or eligible rollover that is excluded from gross
income under the Internal Revenue Code of 1986, including, but not limited
to, a direct transfer or eligible rollover to an inherited individual retirement
account as defined in s. 408(d)(3) of the Internal Revenue Code of 1986, as
amended. An interest in any fund or account awarded or received in a transfer
incident to divorce described in s. 408(d)(6) of the Internal Revenue Code of
1986, as amended, is exempt upon the interest being awarded or received and
continues to be exempt thereafter. This paragraph is intended to clarify
existing law, is remedial in nature, and shall have retroactive application to
all inherited individual retirement accounts and to each transfer incident to
divorce without regard to the date an account was created or the transfer was
made.

(d) Any fund or account described in paragraph (a) is not exempt from the



claims of an alternate payee under a qualified domestic relations order or
from the claims of a surviving spouse pursuant to an order determining the
amount of elective share and contribution as provided in part II of chapter
732. However, the interest of any alternate payee under a qualified domestic
relations order is exempt from all claims of any creditor, other than the
Department of Revenue, of the alternate payee. As used in this paragraph, the
terms alternate payee and qualified domestic relations order have the
meanings ascribed to them in s. 414(p) of the Internal Revenue Code of 1986.

(e) This subsection applies to any proceeding that is filed on or after the
effective date of this act.

HISTORY:
S. 1, ch. 87-375; s. 1, ch. 98-159; s. 25, ch. 99-8; s. 5, ch. 2005-82; s. 1, ch.

2005-101; s. 1, ch. 2007-74, eff. July 1, 2007; s. 1, ch. 2011-84, eff. May 31,
2011; s. 1, ch. 2022-167, effective June 3, 2022.

Editors notes.
Sections 401(a), 402(c), 403(a), 403(b), 408, 408A, 409, 414, 457(b), and

501(a) of the Internal Revenue Code of 1986, referred to in this section, are
codified as 26 U.S.C.S.  401(a), 402(c), 403(a), 403(b), 408, 408A, 409,
414, 457(b), and 501(a).

The introductory language of ch. 2011-84 provided in part: WHEREAS,
many residents of this state have individual retirement accounts, relying upon
the Legislatures intent that individual retirement accounts be exempt from
claims of creditors, and WHEREAS, the Legislature clearly intended in s.
222.21(2)(c), Florida Statutes, that inherited individual retirement accounts
included in s. 402(c) of the Internal Revenue Code of 1986, as amended, be
exempt from claims of creditors of the owner, beneficiary, or participant of
the inherited individual retirement account, and WHEREAS, in Robertson v.
Deeb, 16 So. 3d 936 (Fla. 2d DCA 2009) the appellate court, contrary to the
Legislatures intent, held that an inherited individual retirement account was
not exempt from the beneficiaries creditors because such an account was not
included in property described in s. 222.21, Florida Statutes, a decision that
was followed in the Bankruptcy Court of the Middle District of Florida, In re:
Ard, 435 B.R. 719 (Bkrtcy. M.D. Fla. 2010).



 Title XV. ,  Ch. 222. ,   222.22. 
Fla. Stat.  222.22

 222.22. Exemption of assets in qualified tuition programs, medical
savings accounts, Coverdell education savings accounts, and
hurricane savings accounts from legal process.
(1) Moneys paid into or out of, the assets of, and the income of any

validly existing qualified tuition program authorized by s. 529 of the
Internal Revenue Code of 1986, as amended, including, but not limited to,
the Florida Prepaid College Trust Fund advance payment contracts under s.
1009.98 and Florida Prepaid College Trust Fund participation agreements
under s. 1009.981, are not liable to attachment, levy, garnishment, or legal
process in the state in favor of any creditor of or claimant against any
program participant, purchaser, owner or contributor, or program
beneficiary.

(2) Moneys paid into or out of, the assets of, and the income of a health
savings account or medical savings account authorized under ss. 220 and
223 of the Internal Revenue Code of 1986, as amended, are not liable to
attachment, levy, garnishment, or legal process in this state in favor of any
creditor of or claimant against any account participant, purchaser, owner or
contributor, or account beneficiary.

(3) Moneys paid into or out of, the assets of, and the income of any
Coverdell education savings account, also known as an educational IRA,
established or existing in accordance with s. 530 of the Internal Revenue
Code of 1986, as amended, are not liable to attachment, levy, garnishment,
or legal process in this state in favor of any creditor of or claimant against
any account participant, purchaser, owner or contributor, or account
beneficiary.
(4)(a) Moneys paid into or out of, the assets of, and the income of any
hurricane savings account established by an insurance policyholder for
residential property in this state equal to twice the deductible sum of such
insurance to cover an insurance deductible or other uninsured portion of
the risks of loss from a hurricane, rising flood waters, or other catastrophic
windstorm event are not liable to attachment, levy, garnishment, or legal
process in this state in favor of any creditor of or claimant against any



account participant, purchaser, owner or contributor, or account
beneficiary.
(b) As used in this subsection, the term hurricane savings account means

an account established by the owner of residential real estate in this state,
which meets the requirements of homestead exemption under s. 4, Art. X of
the State Constitution, who specifies that the purpose of the account is to
cover the amount of insurance deductibles and other uninsured portions of
risks of loss from hurricanes, rising flood waters, or other catastrophic
windstorm events.

(c) This subsection shall take effect only when the federal government
provides tax-exempt or tax-deferred status to a hurricane savings account,
disaster savings account, or other similar account created to cover an
insurance deductible or other uninsured portion of the risks of loss from a
hurricane, rising flood waters, or other catastrophic windstorm event.

(5) Except as provided in s. 1009.986(7), as it relates to any validly
existing qualified ABLE program authorized by s. 529A of the Internal
Revenue Code, including, but not limited to, the Florida ABLE program
participation agreements under s. 1009.986, moneys paid into or out of
such a program, and the income and assets of such a program, are not
liable to attachment, levy, garnishment, or legal process in this state in
favor of any creditor of or claimant against any designated beneficiary or
other program participant.

HISTORY:
S. 2, ch. 88-313; s. 2, ch. 89-296; s. 5, ch. 91-429; s. 2, ch. 98-159; s. 50,

ch. 98-421; s. 2, ch. 99-220; s. 926, ch. 2002-387; s. 2, ch. 2005-101; s. 3, ch.
2015-56, effective May 21, 2015.

Editors notes.
Sections 529, 220, 223, and 530 of the Internal Revenue Code of 1986,

referred to in this section, are codified as 26 U.S.C.S.  529, 220, 223, and
530, respectively.



 Title XV. ,  Ch. 222. ,   222.25. 
Fla. Stat.  222.25

 222.25. Other individual property of natural persons exempt from legal
process.

The following property is exempt from attachment, garnishment, or other
legal process:

(1) A debtors interest, not to exceed $1,000 in value, in a single motor
vehicle as defined in s. 320.01.

(2) A debtors interest in any professionally prescribed health aids for
the debtor or a dependent of the debtor.

(3) A debtors interest in a refund or a credit received or to be received,
or the traceable deposits in a financial institution of a debtors interest in a
refund or credit, pursuant to s. 32 of the Internal Revenue Code of 1986, as
amended. This exemption does not apply to a debt owed for child support
or spousal support.

(4) A debtors interest in personal property, not to exceed $4,000, if the
debtor does not claim or receive the benefits of a homestead exemption
under s. 4, Art. X of the State Constitution. This exemption does not apply
to a debt owed for child support or spousal support.

HISTORY:
S. 3, ch. 93-256; s. 1, ch. 2001-129; s. 1, ch. 2007-185, eff. July 1, 2007; s.

43, ch. 2008-4, eff. July 1, 2008.

Editors notes.
Section 32 of the Internal Revenue Code of 1986, referred to in this

section, is codified as 26 U.S.C.S.  32.



 Title XV. ,  Ch. 222. ,   222.29. 
Fla. Stat.  222.29

 222.29. No exemption for fraudulent transfers.
An exemption from attachment, garnishment, or legal process provided by

this chapter is not effective if it results from a fraudulent transfer or
conveyance as provided in chapter 726.

HISTORY:
S. 4, ch. 93-256.



 Title XV. ,  Ch. 222. ,   222.30. 
Fla. Stat.  222.30

 222.30. Fraudulent asset conversions.
(1) As used in this section, conversion means every mode, direct or

indirect, absolute or conditional, of changing or disposing of an asset, such
that the products or proceeds of the asset become immune or exempt by
law from claims of creditors of the debtor and the products or proceeds of
the asset remain property of the debtor. The definitions of chapter 726
apply to this section unless the application of a definition would be
unreasonable.

(2) Any conversion by a debtor of an asset that results in the proceeds of
the asset becoming exempt by law from the claims of a creditor of the
debtor is a fraudulent asset conversion as to the creditor, whether the
creditors claim to the asset arose before or after the conversion of the
asset, if the debtor made the conversion with the intent to hinder, delay, or
defraud the creditor.

(3) In an action for relief against a fraudulent asset conversion, a creditor
may obtain:
(a) Avoidance of the fraudulent asset conversion to the extent necessary to

satisfy the creditors claim.
(b) An attachment or other provisional remedy against the asset converted

in accordance with applicable law.
(c) Subject to applicable principles of equity and in accordance with

applicable rules of civil procedure:
1. An injunction against further conversion by the debtor of the asset or of

other property.
2. Any other relief the circumstances may require.

(4) If a creditor has obtained a judgment on a claim against the debtor,
the creditor, if the court so orders, may levy execution on the asset
converted or its proceeds.

(5) A cause of action with respect to a fraudulent asset conversion is
extinguished unless an action is brought within 4 years after the fraudulent



asset conversion was made.
(6) If an asset is converted and the converted asset is subsequently

transferred to a third party, the provisions of chapter 726 apply to the
transfer to the third party.

HISTORY:
S. 5, ch. 93-256.



 Title XXIX. 
Fla. Stat. Title XXIX

TITLE XXIX.
PUBLIC HEALTH

________
 Title XXIX. ,  Ch. 393. 

Fla. Stat. Title XXIX, Ch. 393



CHAPTER 393.
DEVELOPMENTAL DISABILITIES

 Title XXIX. ,  Ch. 393. ,   393.063. 
Fla. Stat.  393.063

 393.063. Definitions.
For the purposes of this chapter, the term:

(1) Adult day training means training services that take place in a
nonresidential setting, separate from the home or facility in which the
client resides, and are intended to support the participation of clients in
daily, meaningful, and valued routines of the community. Such training
may be provided in work-like settings that do not meet the definition of
supported employment.

(2) Agency means the Agency for Persons with Disabilities.
(3) Algorithm means the mathematical formula used by the agency to

calculate budget amounts for clients which uses variables that have
statistically validated relationships to clients needs for services provided
by the home and community-based services Medicaid waiver program.

(4) Allocation methodology is the process used to determine a clients
iBudget by summing the amount generated by the algorithm, and, if
applicable, any funding authorized by the agency for the client pursuant to
s. 393.0662(1)(b).

(5) Autism means a pervasive, neurologically based developmental
disability of extended duration which causes severe learning,
communication, and behavior disorders with age of onset during infancy or
childhood. Individuals with autism exhibit impairment in reciprocal social
interaction, impairment in verbal and nonverbal communication and
imaginative ability, and a markedly restricted repertoire of activities and
interests.

(6) Cerebral palsy means a group of disabling symptoms of extended
duration which results from damage to the developing brain that may occur
before, during, or after birth and that results in the loss or impairment of



control over voluntary muscles. For the purposes of this definition,
cerebral palsy does not include those symptoms or impairments resulting
solely from a stroke.

(7) Client means any person determined eligible by the agency for
services under this chapter.

(8) Client advocate means a friend or relative of the client, or of the
clients immediate family, who advocates for the best interests of the client
in any proceedings under this chapter in which the client or his or her
family has the right or duty to participate.

(9) Comprehensive assessment means the process used to determine
eligibility for services under this chapter.

(10) Comprehensive transitional education program means the
program established in s. 393.18.

(11) Developmental disabilities center means a state-owned and state-
operated facility, formerly known as a Sunland Center, providing for the
care, habilitation, and rehabilitation of clients with developmental
disabilities.

(12) Developmental disability means a disorder or syndrome that is
attributable to intellectual disability, cerebral palsy, autism, spina bifida,
Down syndrome, Phelan-McDermid syndrome, or Prader-Willi syndrome;
that manifests before the age of 18; and that constitutes a substantial
handicap that can reasonably be expected to continue indefinitely.

(13) Direct service provider means a person 18 years of age or older
who has direct face-to-face contact with a client while providing services
to the client or has access to a clients living areas or to a clients funds or
personal property.

(14) Domicile means the place where a client legally resides and
which is his or her permanent home. Domicile may be established as
provided in s. 222.17. Domicile may not be established in Florida by a
minor who has no parent domiciled in Florida, or by a minor who has no
legal guardian domiciled in Florida, or by any alien not classified as a
resident alien.

(15) Down syndrome means a disorder caused by the presence of an



extra chromosome 21.
(16) Express and informed consent means consent voluntarily given in

writing with sufficient knowledge and comprehension of the subject matter
to enable the person giving consent to make a knowing decision without
any element of force, fraud, deceit, duress, or other form of constraint or
coercion.

(17) Family care program means the program established in s.
393.068.

(18) Foster care facility means a residential facility licensed under this
chapter which provides a family living environment including supervision
and care necessary to meet the physical, emotional, and social needs of its
residents. The capacity of such a facility may not be more than three
residents.

(19) Group home facility means a residential facility licensed under
this chapter which provides a family living environment including
supervision and care necessary to meet the physical, emotional, and social
needs of its residents. The capacity of such a facility shall be at least 4 but
not more than 15 residents.

(20) Guardian has the same meaning as in s. 744.102.
(21) Guardian advocate means a person appointed by a written order

of the court to represent a person with developmental disabilities under s.
393.12.

(22) Habilitation means the process by which a client is assisted in
acquiring and maintaining those life skills that enable the client to cope
more effectively with the demands of his or her condition and environment
and to raise the level of his or her physical, mental, and social efficiency. It
includes, but is not limited to, programs of formal structured education and
treatment.

(23) High-risk child means, for the purposes of this chapter, a child
from 3 to 5 years of age with one or more of the following characteristics:
(a) A developmental delay in cognition, language, or physical

development.
(b) A child surviving a catastrophic infectious or traumatic illness known



to be associated with developmental delay, when funds are specifically
appropriated.

(c) A child with a parent or guardian with developmental disabilities who
requires assistance in meeting the childs developmental needs.

(d) A child who has a physical or genetic anomaly associated with
developmental disability.

(24) Intellectual disability means significantly subaverage general
intellectual functioning existing concurrently with deficits in adaptive
behavior which manifests before the age of 18 and can reasonably be
expected to continue indefinitely. For the purposes of this definition, the
term:
(a) Adaptive behavior means the effectiveness or degree with which an

individual meets the standards of personal independence and social
responsibility expected of his or her age, cultural group, and community.

(b) Significantly subaverage general intellectual functioning means
performance that is two or more standard deviations from the mean score on
a standardized intelligence test specified in the rules of the agency.

For purposes of the application of the criminal laws and procedural rules of
this state to matters relating to pretrial, trial, sentencing, and any matters
relating to the imposition and execution of the death penalty, the terms
intellectual disability or intellectually disabled are interchangeable with
and have the same meaning as the terms mental retardation or retardation
and mentally retarded as defined in this section before July 1, 2013.

(25) Intermediate care facility for the developmentally disabled means
a residential facility licensed and certified under part VIII of chapter 400.

(26) Medical/dental services means medically necessary services that
are provided or ordered for a client by a person licensed under chapter 458,
chapter 459, or chapter 466. Such services may include, but are not limited
to, prescription drugs, specialized therapies, nursing supervision,
hospitalization, dietary services, prosthetic devices, surgery, specialized
equipment and supplies, adaptive equipment, and other services as required
to prevent or alleviate a medical or dental condition.

(27) Personal care services means individual assistance with or



supervision of essential activities of daily living for self-care, including
ambulation, bathing, dressing, eating, grooming, and toileting, and other
similar services that are incidental to the care furnished and essential to the
health, safety, and welfare of the client if no one else is available to
perform those services.

(28) Phelan-McDermid syndrome means a disorder caused by the loss
of the terminal segment of the long arm of chromosome 22, which occurs
near the end of the chromosome at a location designated q13.3, typically
leading to developmental delay, intellectual disability, dolicocephaly,
hypotonia, or absent or delayed speech.

(29) Prader-Willi syndrome means an inherited condition typified by
neonatal hypotonia with failure to thrive, hyperphagia or an excessive
drive to eat which leads to obesity usually at 18 to 36 months of age, mild
to moderate intellectual disability, hypogonadism, short stature, mild facial
dysmorphism, and a characteristic neurobehavior.

(30) Relative means an individual who is connected by affinity or
consanguinity to the client and who is 18 years of age or older.

(31) Resident means a person who has a developmental disability and
resides at a residential facility, whether or not such person is a client of the
agency.

(32) Residential facility means a facility providing room and board
and personal care for persons who have developmental disabilities.

(33) Residential habilitation means supervision and training with the
acquisition, retention, or improvement in skills related to activities of daily
living, such as personal hygiene skills, homemaking skills, and the social
and adaptive skills necessary to enable the individual to reside in the
community.

(34) Residential habilitation center means a community residential
facility licensed under this chapter which provides habilitation services.
The capacity of such a facility may not be fewer than nine residents. After
October 1, 1989, new residential habilitation centers may not be licensed
and the licensed capacity for any existing residential habilitation center
may not be increased.

(35) Respite service means appropriate, short-term, temporary care



that is provided to a person who has a developmental disability in order to
meet the planned or emergency needs of the person or the family or other
direct service provider.

(36) Restraint means a physical device, method, or drug used to
control dangerous behavior.
(a) A physical restraint is any manual method or physical or mechanical

device, material, or equipment attached or adjacent to an individuals body so
that he or she cannot easily remove the restraint and which restricts freedom
of movement or normal access to ones body.

(b) A drug used as a restraint is a medication used to control the persons
behavior or to restrict his or her freedom of movement and is not a standard
treatment for the persons medical or psychiatric condition. Physically
holding a person during a procedure to forcibly administer psychotropic
medication is a physical restraint.

(c) Restraint does not include physical devices, such as orthopedically
prescribed appliances, surgical dressings and bandages, supportive body
bands, or other physical holding necessary for routine physical examinations
and tests; for purposes of orthopedic, surgical, or other similar medical
treatment; to provide support for the achievement of functional body position
or proper balance; or to protect a person from falling out of bed.

(37) Seclusion means the involuntary isolation of a person in a room
or area from which the person is prevented from leaving. The prevention
may be by physical barrier or by a staff member who is acting in a manner,
or who is physically situated, so as to prevent the person from leaving the
room or area. For the purposes of this chapter, the term does not mean
isolation due to the medical condition or symptoms of the person.

(38) Self-determination means an individuals freedom to exercise the
same rights as all other citizens, authority to exercise control over funds
needed for ones own support, including prioritizing these funds when
necessary, responsibility for the wise use of public funds, and self-
advocacy to speak and advocate for oneself in order to gain independence
and ensure that individuals with a developmental disability are treated
equally.

(39) Significant additional need means an additional need for



medically necessary services which would place the health and safety of
the client, the clients caregiver, or the public in serious jeopardy if it is not
met. The term does not exclude services for an additional need that the
client requires in order to remain in the least restrictive setting, including,
but not limited to, employment services and transportation services. The
agency may provide additional funding only after the determination of a
clients initial allocation amount and after the qualified organization has
documented the availability of nonwaiver resources.

(40) Specialized therapies means those treatments or activities
prescribed by and provided by an appropriately trained, licensed, or
certified professional or staff person and may include, but are not limited
to, physical therapy, speech therapy, respiratory therapy, occupational
therapy, behavior therapy, physical management services, and related
specialized equipment and supplies.

(41) Spina bifida means a medical diagnosis of spina bifida cystica or
myelomeningocele.

(42) Support coordinator means an employee of a qualified
organization as provided in s. 393.0663 designated by the agency to assist
individuals and families in identifying their capacities, needs, and
resources, as well as finding and gaining access to necessary supports and
services; coordinating the delivery of supports and services; advocating on
behalf of the individual and family; maintaining relevant records; and
monitoring and evaluating the delivery of supports and services to
determine the extent to which they meet the needs and expectations
identified by the individual, family, and others who participated in the
development of the support plan.

(43) Supported employment means employment located or provided
in an integrated work setting, with earnings paid on a commensurate wage
basis, and for which continued support is needed for job maintenance.

(44) Supported living means a category of individually determined
services designed and coordinated in such a manner as to provide
assistance to adult clients who require ongoing supports to live as
independently as possible in their own homes, to be integrated into the
community, and to participate in community life to the fullest extent
possible.



(45) Training means a planned approach to assisting a client to attain
or maintain his or her maximum potential and includes services ranging
from sensory stimulation to instruction in skills for independent living and
employment.

(46) Treatment means the prevention, amelioration, or cure of a
clients physical and mental disabilities or illnesses.

HISTORY:
S. 1, ch. 77-335; s. 1, ch. 79-148; s. 153, ch. 79-400; s. 3, ch. 81-23; s. 4,

ch. 85-54; s. 1, ch. 85-147; s. 5, ch. 87-238; s. 5, ch. 88-398; s. 7, ch. 89-308;
ss. 2, 4, ch. 89-339; s. 27, ch. 90-306; s. 1, ch. 90-333; s. 17, ch. 91-158; s. 3,
ch. 94-154; s. 1045, ch. 95-148; s. 53, ch. 95-228; s. 1, ch. 95-293; s. 13, ch.
96-417; s. 23, ch. 98-171; s. 140, ch. 98-403; s. 80, ch. 99-8; s. 203, ch. 99-
13; s. 3, ch. 2000-338; s. 35, ch. 2002-400; s. 7, ch. 2004-260; s. 71, ch.
2004-267; s. 15, ch. 2006-197, eff. July 1, 2006; s. 10, ch. 2006-227, eff. July
1, 2006; s. 2, ch. 2008-244, eff. July 1, 2008; s. 2, ch. 2011-135, eff. July 1,
2011; s. 9, ch. 2013-162, eff. July 1, 2013; s. 1, ch. 2016-140, effective July
1, 2016; s. 6, ch. 2016-3, effective July 1, 2016; s. 38, ch. 2016-62, effective
July 1, 2016; ss. 11, 12, ch. 2016-65, eff. July 1, 2016; s. 58, ch. 2019-3,
effective July 3, 2019; s. 1, ch. 2020-71, effective July 1, 2021.

Editors notes.
Section 36, ch. 2011-135 provides: If any provision of this act or its

application to any person or circumstance is held invalid, the invalidity does
not affect other provisions or applications of the act which can be given effect
without the invalid provision or application, and to this end the provisions of
this act are severable.

Section 39, ch. 2016-62, provides: The amendment made by this act to s.
393.063, Florida Statutes, expires July 1, 2017, and the text of that subsection
shall revert to that in existence on June 30, 2016, except that any amendments
to such text enacted other than by this act shall be preserved and continue to
operate to the extent that such amendments are not dependent upon the
portions of text which expire pursuant to this section.



 Title XXIX. ,  Ch. 393. ,   393.12. 
Fla. Stat.  393.12

 393.12. Capacity; appointment of guardian advocate.
(1) Capacity.

(a) A person with a developmental disability may not be presumed
incapacitated solely by reason of his or her acceptance in nonresidential
services or admission to residential care and may not be denied the full
exercise of all legal rights guaranteed to citizens of this state and of the
United States.

(b) The determination of incapacity of a person with a developmental
disability and the appointment of a guardian must be conducted in a separate
proceeding according to the procedures and requirements of chapter 744 and
the Florida Probate Rules.

(2) Appointment of a guardian advocate.
(a) A circuit court may appoint a guardian advocate, without an

adjudication of incapacity, for a person with developmental disabilities, if the
person lacks the decisionmaking ability to do some, but not all, of the
decisionmaking tasks necessary to care for his or her person or property or if
the person has voluntarily petitioned for the appointment of a guardian
advocate. Except as otherwise specified, the proceeding shall be governed by
the Florida Rules of Probate Procedure.

(b) A person who is being considered for appointment or is appointed as a
guardian advocate need not be represented by an attorney unless required by
the court or if the guardian advocate is delegated any rights regarding
property other than the right to be the representative payee for government
benefits. This paragraph applies only to proceedings relating to the
appointment of a guardian advocate and the courts supervision of a guardian
advocate and is not an exercise of the Legislatures authority pursuant to s.
2(a), Art. V of the State Constitution.

(c) If a petition is filed pursuant to this section requesting appointment of a
guardian advocate for a minor who is the subject of any proceeding under
chapter 39, the court division with jurisdiction over guardianship matters has
jurisdiction over the proceedings pursuant to this section when the minor



reaches the age of 17 years and 6 months or anytime thereafter. The minor
shall be provided all the due process rights conferred upon an alleged
developmentally disabled adult pursuant to this chapter. The order of
appointment of a guardian advocate under this section shall issue upon the
minors 18th birthday or as soon thereafter as possible. Any proceeding
pursuant to this paragraph shall be conducted separately from any other
proceeding.

(3) Petition. A petition to appoint a guardian advocate for a person with
a developmental disability may be executed by an adult person who is a
resident of this state. The petition must be verified and must:
(a) State the name, age, and present address of the petitioner and his or her

relationship to the person with a developmental disability;
(b) State the name, age, county of residence, and present address of the

person with a developmental disability;
(c) Allege that the petitioner believes that the person needs a guardian

advocate and specify the factual information on which such belief is based;
(d) Specify the exact areas in which the person lacks the decisionmaking

ability to make informed decisions about his or her care and treatment
services or to meet the essential requirements for his or her physical health or
safety;

(e) Specify the legal disabilities to which the person is subject; and
(f) State the name of the proposed guardian advocate, the relationship of

that person to the person with a developmental disability; the relationship that
the proposed guardian advocate had or has with a provider of health care
services, residential services, or other services to the person with a
developmental disability; and the reason why this person should be
appointed. If a willing and qualified guardian advocate cannot be located, the
petition shall so state.

(4) Notice.
(a) Notice of the filing of the petition must be given to the person with a

developmental disability, verbally and in writing in the language of the
person and in English. Notice must also be given to the next of kin of the
person with a developmental disability as defined in chapter 744, a health



care surrogate designated pursuant to an advance directive under chapter 765,
an agent under a durable power of attorney, and such other persons as the
court may direct. A copy of the petition to appoint a guardian advocate must
be served with the notice.

(b) The notice must state that a hearing will be held to inquire into the
capacity of the person with a developmental disability to exercise the rights
enumerated in the petition. The notice must also state the date of the hearing
on the petition.

(c) The notice shall state that the person with a developmental disability
has the right to be represented by counsel of his or her own choice and the
court shall initially appoint counsel.

(5) Counsel. Within 3 days after a petition has been filed, the court shall
appoint an attorney to represent a person with a developmental disability
who is the subject of a petition to appoint a guardian advocate. The person
with a developmental disability may substitute his or her own attorney for
the attorney appointed by the court.
(a) The court shall initially appoint a private attorney who shall be selected

from the attorney registry compiled pursuant to s. 27.40. Such attorney must
have completed a minimum of 8 hours of education in guardianship. The
court may waive this requirement for an attorney who has served as a court-
appointed attorney in guardian advocate proceedings or as an attorney of
record for guardian advocates for at least 3 years. This education requirement
does not apply to a court-appointed attorney who is employed by an office of
criminal conflict and civil regional counsel.

(b) An attorney representing a person with a developmental disability may
not also serve as the guardian advocate of the person, as counsel for the
guardian advocate, or as counsel for the person petitioning for the
appointment of a guardian advocate.

(6) Hearing.
(a) Upon the filing of the petition to appoint a guardian advocate, the court

shall set a date for holding a hearing on the petition. The hearing must be
held as soon as practicable after the petition is filed, but reasonable delay for
the purpose of investigation, discovery, or procuring counsel or witnesses
may be granted.



(b) The hearing must be held at the time and place specified in the notice
of hearing and must be conducted in a manner consistent with due process.

(c) The person with a developmental disability has the right to be present at
the hearing and shall be present unless good cause to exclude the individual
can be shown. The person has the right to remain silent, to present evidence,
to call and cross-examine witnesses, and to have the hearing open or closed,
as the person may choose.

(d) At the hearing, the court shall receive and consider all reports relevant
to the persons disability, including, but not limited to, the persons current
individual family or individual support plan, the individual education plan,
and other professional reports documenting the condition and needs of the
person.

(e) The Florida Evidence Code, chapter 90, applies at the hearing. The
burden of proof must be by clear and convincing evidence.

(7) Advance directives for health care and durable power of
attorney. In each proceeding in which a guardian advocate is appointed
under this section, the court shall determine whether the person with a
developmental disability has executed any valid advance directive under
chapter 765 or a durable power of attorney under chapter 709.
(a) If the person with a developmental disability has executed an advance

directive or durable power of attorney, the court must consider and find
whether the documents will sufficiently address the needs of the person with
a developmental disability for whom the guardian advocate is sought. A
guardian advocate may not be appointed if the court finds that the advance
directive or durable power of attorney provides an alternative to the
appointment of a guardian advocate which will sufficiently address the needs
of the person with a developmental disability.

(b) If an interested person seeks to contest an advance directive or durable
power of attorney executed by a person with a developmental disability, the
interested person shall file a verified statement. The verified statement shall
include the factual basis for the belief that the advance directive or durable
power of attorney is invalid or does not sufficiently address the needs of the
person for whom a guardian advocate is sought or that the person with
authority under the advance directive or durable power of attorney is abusing



his or her power.
(c) If an advance directive exists, the court shall specify in its order and

letters of guardian advocacy what authority, if any, the guardian advocate
shall exercise over the persons health care surrogate. Pursuant to the grounds
listed in s. 765.105, the court, upon its own motion, may, with notice to the
health care surrogate and any other appropriate parties, modify or revoke the
authority of the health care surrogate to make health care decisions for the
person with a developmental disability. For purposes of this section, the term
health care decision has the same meaning as in s. 765.101.

(d) If any durable power of attorney exists, the court shall specify in its
order and letters of guardian advocacy what powers of the agent, if any, are
suspended and granted to the guardian advocate. The court, however, may
not suspend any powers of the agent unless the court determines the durable
power of attorney is invalid or there is an abuse by the agent of the powers
granted.

(8) Court order. If the court finds the person with a developmental
disability requires the appointment of a guardian advocate, the court shall
enter a written order appointing the guardian advocate and containing the
findings of facts and conclusions of law on which the court made its
decision, including:
(a) The nature and scope of the persons lack of decisionmaking ability;
(b) The exact areas in which the individual lacks decisionmaking ability to

make informed decisions about care and treatment services or to meet the
essential requirements for his or her physical health and safety;

(c) The specific legal disabilities to which the person with a developmental
disability is subject;

(d) The name of the person selected as guardian advocate and the reasons
for the courts selection; and

(e) The powers, duties, and responsibilities of the guardian advocate,
including bonding of the guardian advocate, as provided in s. 744.351.

(9) Legal rights. A person with a developmental disability for whom a
guardian advocate has been appointed retains all legal rights except those
that have been specifically granted to the guardian advocate.



(10) Powers and duties of guardian advocate. A guardian advocate for
a person with a developmental disability shall be a person or corporation
qualified to act as guardian, with the same powers, duties, and
responsibilities required of a guardian under chapter 744 or those defined
by court order under this section. However, a guardian advocate may not
be required to file an annual accounting under s. 744.3678 if the court
determines that the person with a developmental disability receives income
only from Social Security benefits and the guardian advocate is the
persons representative payee for the benefits.

(11) Court costs. In all proceedings under this section, court costs may
not be charged against the agency.

(12) Suggestion of restoration of rights. Any interested person,
including the person with a developmental disability, may file a suggestion
of restoration of rights with the court in which the guardian advocacy is
pending. The suggestion must state that the person with a developmental
disability is currently capable of exercising some or all of the rights that
were delegated to the guardian advocate and provide evidentiary support
for the filing of the suggestion. Evidentiary support includes, but is not
limited to, a signed statement from a medical, psychological, or psychiatric
practitioner by whom the person with a developmental disability was
evaluated and which supports the suggestion for the restoration. If the
petitioner is unable to provide evidentiary support due to the lack of access
to such information or reports, the petitioner may state a good faith basis
for the suggestion for the restoration of rights without attaching evidentiary
support. The court shall immediately set a hearing if no evidentiary support
is attached to inquire of the petitioner and guardian advocate as to the
reason and enter such orders as are appropriate to secure the required
documents. The person with a disability and the persons attorney shall be
provided notice of the hearing.
(a) Within 3 days after the filing of the suggestion, counsel shall be

appointed for the person with a developmental disability as set forth in
subsection (5).

(b) The clerk of the court shall immediately send notice of the filing of the
suggestion to the person with a developmental disability, the guardian
advocate, the attorney for the person with a developmental disability, the



attorney for the guardian advocate, if any, and any other interested person
designated by the court. Formal notice shall be served on the guardian
advocate. Informal notice may be served on other persons. Notice need not be
served on the person who filed the suggestion.

(c) Any objections to the suggestion must be filed within 20 days after
service of the notice. If an objection is timely filed, or if the evidentiary
support suggests that restoration of rights is not appropriate, the court shall
set the matter for hearing. The hearing shall be conducted as set forth in s.
744.1095. The court, at the hearing, shall consider all reports and testimony
relevant to the persons decisionmaking abilities at the hearing, including, but
not limited to, the persons current individual family plan or individual
support plan, the individual education plan, and other professional reports
that document the condition and needs of the person.

(d) Notice of the hearing and copies of the objections shall be served upon
the person with a developmental disability, the attorney for the person with a
developmental disability, the guardian advocate, the attorney for the guardian
advocate, the next of kin of the person with a developmental disability, and
any other interested person as directed by the court.

(e) If no objections are filed and the court is satisfied with the evidentiary
support for restoration, the court shall enter an order of restoration of rights
which were delegated to a guardian advocate and which the person with a
developmental disability may now exercise.

(f) At the conclusion of a hearing, the court shall enter an order denying
the suggestion or restoring all or some of the rights that were delegated to the
guardian advocate. If only some rights are restored to the person with a
developmental disability, the court shall enter amended letters of guardian
advocacy.

(g) If only some rights are restored to the person with a developmental
disability, the order must state which rights are restored and amended letters
of guardian advocacy shall be issued by the court. The guardian advocate
shall amend the current plan as required under chapter 744 if personal rights
are restored to the person with a developmental disability. The guardian
advocate shall file a final accounting as required under chapter 744 if all
property rights are restored to the person with a developmental disability. The
guardian advocate must file the amended plan or final accounting within 60



days after the order restoring rights and amended letters of guardian advocacy
are issued. A copy of the reports shall be served upon the person with a
developmental disability and the attorney for the person with a
developmental disability.

HISTORY:
S. 1, ch. 29853, 1955; s. 1, ch. 61-426; s. 26, ch. 63-559; s. 1, ch. 70-343;

s. 5, ch. 73-308; s. 25, ch. 73-334; s. 4, ch. 77-335; s. 2, ch. 80-171; s. 10, ch.
88-398; s. 109, ch. 89-96; s. 15, ch. 94-154; s. 96, ch. 95-143; s. 1049, ch. 95-
148; s. 8, ch. 2004-260; s. 108, ch. 2004-267; s. 1, ch. 2008-124, eff. July 1,
2008; s. 4, ch. 2015-112, effective July 1, 2015; s. 9, ch. 2022-195, effective
July 1, 2022.

Editors Notes.
Section 1, ch. 2015-112, provides: This act may be cited as The Regis

Little Act to Protect Children with Special Needs. 



 Title XXX. 
Fla. Stat. Title XXX

TITLE XXX.
SOCIAL WELFARE.

________
 Title XXX. ,  Ch. 409. 

Fla. Stat. Title XXX, Ch. 409



CHAPTER 409.
SOCIAL AND ECONOMIC ASSISTANCE.

 Title XXX. ,  Ch. 409. ,  Pt. III. 
Fla. Stat. Title XXX, Ch. 409, Pt. III



PART III.
Medicaid.

 Title XXX. ,  Ch. 409. ,  Pt. III. ,   409.910. 
Fla. Stat.  409.910

 409.910. Responsibility for payments on behalf of Medicaid-eligible
persons when other parties are liable.
(1) It is the intent of the Legislature that Medicaid be the payor of last

resort for medically necessary goods and services furnished to Medicaid
recipients. All other sources of payment for medical care are primary to
medical assistance provided by Medicaid. If benefits of a liable third party
are discovered or become available after medical assistance has been
provided by Medicaid, it is the intent of the Legislature that Medicaid be
repaid in full and prior to any other person, program, or entity. Medicaid is
to be repaid in full from, and to the extent of, any third-party benefits,
regardless of whether a recipient is made whole or other creditors paid.
Principles of common law and equity as to assignment, lien, and
subrogation are abrogated to the extent necessary to ensure full recovery
by Medicaid from third-party resources. It is intended that if the resources
of a liable third party become available at any time, the public treasury
should not bear the burden of medical assistance to the extent of such
resources.

(2) This section may be cited as the Medicaid Third-Party Liability
Act.

(3) Third-party benefits for medical services shall be primary to medical
assistance provided by Medicaid.

(4) After the agency has provided medical assistance under the Medicaid
program, it shall seek reimbursement from third-party benefits to the limit
of legal liability and for the full amount of third-party benefits, but not in
excess of the amount of medical assistance paid by Medicaid, as to:
(a) Claims for which the agency has a waiver pursuant to federal law; or
(b) Situations in which the agency learns of the existence of a liable third

party or in which third-party benefits are discovered or become available



after medical assistance has been provided by Medicaid.
(5) An applicant, recipient, or legal representative shall inform the

agency of any rights the applicant or recipient has to third-party benefits
and shall inform the agency of the name and address of any person that is
or may be liable to provide third-party benefits. When the agency provides,
pays for, or becomes liable for medical services provided by a hospital, the
recipient receiving such medical services or his or her legal representative
shall also provide the information as to third-party benefits, as defined in
this section, to the hospital, which shall provide notice thereof to the
agency in a manner specified by the agency.

(6) When the agency provides, pays for, or becomes liable for medical
care under the Medicaid program, it has the following rights, as to which
the agency may assert independent principles of law, which shall
nevertheless be construed together to provide the greatest recovery from
third-party benefits:
(a) The agency is automatically subrogated to any rights that an applicant,

recipient, or legal representative has to any third-party benefit for the full
amount of medical assistance provided by Medicaid. Recovery pursuant to
the subrogation rights created hereby shall not be reduced, prorated, or
applied to only a portion of a judgment, award, or settlement, but is to
provide full recovery by the agency from any and all third-party benefits.
Equities of a recipient, his or her legal representative, a recipients creditors,
or health care providers shall not defeat, reduce, or prorate recovery by the
agency as to its subrogation rights granted under this paragraph.

(b) By applying for or accepting medical assistance, an applicant, recipient,
or legal representative automatically assigns to the agency any right, title, and
interest such person has to any third-party benefit, excluding any Medicare
benefit to the extent required to be excluded by federal law.

1. The assignment granted under this paragraph is absolute, and vests legal
and equitable title to any such right in the agency, but not in excess of the
amount of medical assistance provided by the agency.

2. The agency is a bona fide assignee for value in the assigned right, title,
or interest, and takes vested legal and equitable title free and clear of latent
equities in a third person. Equities of a recipient, the recipients legal



representative, his or her creditors, or health care providers shall not defeat or
reduce recovery by the agency as to the assignment granted under this
paragraph.

3. By accepting medical assistance, the recipient grants to the agency the
limited power of attorney to act in his or her name, place, and stead to
perform specific acts with regard to third-party benefits, the recipients assent
being deemed to have been given, including:

a. Endorsing any draft, check, money order, or other negotiable instrument
representing third-party benefits that are received on behalf of the recipient as
a third-party benefit.

b. Compromising claims to the extent of the rights assigned, provided that
the recipient is not otherwise represented by an attorney as to the claim.

(c) The agency is entitled to, and has, an automatic lien for the full amount
of medical assistance provided by Medicaid to or on behalf of the recipient
for medical care furnished as a result of any covered injury or illness for
which a third party is or may be liable, upon the collateral, as defined in s.
409.901.

1. The lien attaches automatically when a recipient first receives treatment
for which the agency may be obligated to provide medical assistance under
the Medicaid program. The lien is perfected automatically at the time of
attachment.

2. The agency is authorized to file a verified claim of lien. The claim of
lien shall be signed by an authorized employee of the agency, and shall be
verified as to the employees knowledge and belief. The claim of lien may be
filed and recorded with the clerk of the circuit court in the recipients last
known county of residence or in any county deemed appropriate by the
agency. The claim of lien, to the extent known by the agency, shall contain:

a. The name and last known address of the person to whom medical care
was furnished.

b. The date of injury.
c. The period for which medical assistance was provided.
d. The amount of medical assistance provided or paid, or for which

Medicaid is otherwise liable.



e. The names and addresses of all persons claimed by the recipient to be
liable for the covered injuries or illness.

3. The filing of the claim of lien pursuant to this section shall be notice
thereof to all persons.

4. If the claim of lien is filed within 3 years after the later of the date when
the last item of medical care relative to a specific covered injury or illness
was paid, or the date of discovery by the agency of the liability of any third
party, or the date of discovery of a cause of action against a third party
brought by a recipient or his or her legal representative, record notice shall
relate back to the time of attachment of the lien.

5. If the claim of lien is filed after 3 years after the later of the events
specified in subparagraph 4., notice shall be effective as of the date of filing.

6. Only one claim of lien need be filed to provide notice as set forth in this
paragraph and shall provide sufficient notice as to any additional or after-paid
amount of medical assistance provided by Medicaid for any specific covered
injury or illness. The agency may, in its discretion, file additional, amended,
or substitute claims of lien at any time after the initial filing, until the agency
has been repaid the full amount of medical assistance provided by Medicaid
or otherwise has released the liable parties and recipient.

7. No release or satisfaction of any cause of action, suit, claim,
counterclaim, demand, judgment, settlement, or settlement agreement shall be
valid or effectual as against a lien created under this paragraph, unless the
agency joins in the release or satisfaction or executes a release of the lien. An
acceptance of a release or satisfaction of any cause of action, suit, claim,
counterclaim, demand, or judgment and any settlement of any of the
foregoing in the absence of a release or satisfaction of a lien created under
this paragraph shall prima facie constitute an impairment of the lien, and the
agency is entitled to recover damages on account of such impairment. In an
action on account of impairment of a lien, the agency may recover from the
person accepting the release or satisfaction or making the settlement the full
amount of medical assistance provided by Medicaid. Nothing in this section
shall be construed as creating a lien or other obligation on the part of an
insurer which in good faith has paid a claim pursuant to its contract without
knowledge or actual notice that the agency has provided medical assistance
for the recipient related to a particular covered injury or illness. However,



notice or knowledge that an insured is, or has been a Medicaid recipient
within 1 year from the date of service for which a claim is being paid creates
a duty to inquire on the part of the insurer as to any injury or illness for which
the insurer intends or is otherwise required to pay benefits.

8. The lack of a properly filed claim of lien shall not affect the agencys
assignment or subrogation rights provided in this subsection, nor shall it
affect the existence of the lien, but only the effective date of notice as
provided in subparagraph 5.

9. The lien created by this paragraph is a first lien and superior to the liens
and charges of any provider, and shall exist for a period of 7 years, if
recorded, after the date of recording; and shall exist for a period of 7 years
after the date of attachment, if not recorded. If recorded, the lien may be
extended for one additional period of 7 years by rerecording the claim of lien
within the 90-day period preceding the expiration of the lien.

10. The clerk of the circuit court for each county in the state shall endorse
on a claim of lien filed under this paragraph the date and hour of filing and
shall record the claim of lien in the official records of the county as for other
records received for filing. The clerk shall receive as his or her fee for filing
and recording any claim of lien or release of lien under this paragraph the
total sum of $2. Any fee required to be paid by the agency shall not be
required to be paid in advance of filing and recording, but may be billed to
the agency after filing and recording of the claim of lien or release of lien.

11. After satisfaction of any lien recorded under this paragraph, the agency
shall, within 60 days after satisfaction, either file with the appropriate clerk of
the circuit court or mail to any appropriate party, or counsel representing such
party, if represented, a satisfaction of lien in a form acceptable for filing in
Florida.

(7) The agency shall recover the full amount of all medical assistance
provided by Medicaid on behalf of the recipient to the full extent of third-
party benefits.
(a) Recovery of such benefits shall be collected directly from:
1. Any third party;
2. The recipient or legal representative, if he or she has received third-party

benefits;



3. The provider of a recipients medical services if third-party benefits
have been recovered by the provider; notwithstanding any provision of this
section, to the contrary, however, no provider shall be required to refund or
pay to the agency any amount in excess of the actual third-party benefits
received by the provider from a third-party payor for medical services
provided to the recipient; or

4. Any person who has received the third-party benefits.
(b) Upon receipt of any recovery or other collection pursuant to this

section, the agency shall distribute the amount collected as follows:
1. To itself, an amount equal to the state Medicaid expenditures for the

recipient plus any incentive payment made in accordance with paragraph (14)
(a).

2. To the Federal Government, the federal share of the state Medicaid
expenditures minus any incentive payment made in accordance with
paragraph (14)(a) and federal law, and minus any other amount permitted by
federal law to be deducted.

3. To the recipient, after deducting any known amounts owed to the agency
for any related medical assistance or to health care providers, any remaining
amount. This amount shall be treated as income or resources in determining
eligibility for Medicaid.

The provisions of this subsection do not apply to any proceeds received by
the state, or any agency thereof, pursuant to a final order, judgment, or
settlement agreement, in any matter in which the state asserts claims
brought on its own behalf, and not as a subrogee of a recipient, or under
other theories of liability. The provisions of this subsection do not apply to
any proceeds received by the state, or an agency thereof, pursuant to a final
order, judgment, or settlement agreement, in any matter in which the state
asserted both claims as a subrogee and additional claims, except as to those
sums specifically identified in the final order, judgment, or settlement
agreement as reimbursements to the recipient as expenditures for the
named recipient on the subrogation claim.

(8) The agency shall require an applicant or recipient, or the legal
representative thereof, to cooperate in the recovery by the agency of third-
party benefits of a recipient and in establishing paternity and support of a



recipient child born out of wedlock. As a minimal standard of cooperation,
the recipient or person able to legally assign a recipients rights shall:
(a) Appear at an office designated by the agency to provide relevant

information or evidence.
(b) Appear as a witness at a court or other proceeding.
(c) Provide information, or attest to lack of information, under penalty of

perjury.
(d) Pay to the agency any third-party benefit received.
(e) Take any additional steps to assist in establishing paternity or securing

third-party benefits, or both.
(f) Paragraphs (a)-(e) notwithstanding, the agency shall have the discretion

to waive, in writing, the requirement of cooperation for good cause shown
and as required by federal law.

(9) The department shall deny or terminate eligibility for any applicant
or recipient who refuses to cooperate as required in subsection (8), unless
cooperation has been waived in writing by the department as provided in
paragraph (8)(f). However, any denial or termination of eligibility shall not
reduce medical assistance otherwise payable by the department to a
provider for medical care provided to a recipient prior to denial or
termination of eligibility.

(10) An applicant or recipient shall be deemed to have provided to the
agency the authority to obtain and release medical information and other
records with respect to such medical care, for the sole purpose of obtaining
reimbursement for medical assistance provided by Medicaid.

(11) The agency may, as a matter of right, in order to enforce its rights
under this section, institute, intervene in, or join any legal or administrative
proceeding in its own name in one or more of the following capacities:
individually, as subrogee of the recipient, as assignee of the recipient, or as
lienholder of the collateral.
(a) If either the recipient, or his or her legal representative, or the agency

brings an action against a third party, the recipient, or the recipients legal
representative, or the agency, or their attorneys, shall, within 30 days after
filing the action, provide to the other written notice, by personal delivery or



registered mail, of the action, the name of the court in which the case is
brought, the case number of such action, and a copy of the pleadings. If an
action is brought by either the agency, or the recipient or the recipients legal
representative, the other may, at any time before trial on the merits, become a
party to, or shall consolidate his or her action with the other if brought
independently. Unless waived by the other, the recipient, or his or her legal
representative, or the agency shall provide notice to the other of the intent to
dismiss at least 21 days prior to voluntary dismissal of an action against a
third party. Notice to the agency shall be sent to an address set forth by rule.
Notice to the recipient or his or her legal representative, if represented by an
attorney, shall be sent to the attorney, and, if not represented, then to the last
known address of the recipient or his or her legal representative.

(b) An action by the agency to recover damages in tort under this
subsection, which action is derivative of the rights of the recipient or his or
her legal representative, shall not constitute a waiver of sovereign immunity
pursuant to s. 768.14.

(c) In the event of judgment, award, or settlement in a claim or action
against a third party, the court shall order the segregation of an amount
sufficient to repay the agencys expenditures for medical assistance, plus any
other amounts permitted under this section, and shall order such amounts
paid directly to the agency.

(d) No judgment, award, or settlement in any action by a recipient or his or
her legal representative to recover damages for injuries or other third-party
benefits, when the agency has an interest, shall be satisfied without first
giving the agency notice and a reasonable opportunity to file and satisfy its
lien, and satisfy its assignment and subrogation rights or proceed with any
action as permitted in this section.

(e) Except as otherwise provided in this section, notwithstanding any other
provision of law, the entire amount of any settlement of the recipients action
or claim involving third-party benefits, with or without suit, is subject to the
agencys claims for reimbursement of the amount of medical assistance
provided and any lien pursuant thereto.

(f) Notwithstanding any provision in this section to the contrary, in the
event of an action in tort against a third party in which the recipient or his or
her legal representative is a party which results in a judgment, award, or



settlement from a third party, the amount recovered shall be distributed as
follows:

1. After attorneys fees and taxable costs as defined by the Florida Rules of
Civil Procedure, one-half of the remaining recovery shall be paid to the
agency up to the total amount of medical assistance provided by Medicaid.

2. The remaining amount of the recovery shall be paid to the recipient.
3. For purposes of calculating the agencys recovery of medical assistance

benefits paid, the fee for services of an attorney retained by the recipient or
his or her legal representative shall be calculated at 25 percent of the
judgment, award, or settlement.

4. Notwithstanding any provision of this section to the contrary, the agency
shall be entitled to all medical coverage benefits up to the total amount of
medical assistance provided by Medicaid. For purposes of this paragraph,
medical coverage means any benefits under health insurance, a health
maintenance organization, a preferred provider arrangement, or a prepaid
health clinic, and the portion of benefits designated for medical payments
under coverage for workers compensation, personal injury protection, and
casualty.

(g) In the event that the recipient, his or her legal representative, or the
recipients estate brings an action against a third party, notice of institution of
legal proceedings, notice of settlement, and all other notices required by this
section or by rule shall be given to the agency, in Tallahassee, in a manner set
forth by rule. All such notices shall be given by the attorney retained to assert
the recipients or legal representatives claim, or, if no attorney is retained, by
the recipient, the recipients legal representative, or his or her estate.

(h) Except as otherwise provided in this section, actions to enforce the
rights of the agency under this section shall be commenced within 6 years
after the date a cause of action accrues, with the period running from the later
of the date of discovery by the agency of a case filed by a recipient or his or
her legal representative, or of discovery of any judgment, award, or
settlement contemplated in this section, or of discovery of facts giving rise to
a cause of action under this section. Nothing in this paragraph affects or
prevents a proceeding to enforce a lien during the existence of the lien as set
forth in subparagraph (6)(c)9.



(i) Upon the death of a recipient, and within the time prescribed by
ss. 733.702 and 733.710, the agency, in addition to any other
available remedy, may file a claim against the estate of the recipient
for the total amount of medical assistance provided by Medicaid for
the benefit of the recipient. Claims so filed shall take priority as class
3 claims as provided by s. 733.707(1)(c). The filing of a claim
pursuant to this paragraph shall neither reduce nor diminish the
general claims of the agency under s. 414.28, except that the agency
may not receive double recovery for the same expenditure. Claims
under this paragraph shall be superior to those under s. 414.28. The
death of the recipient shall neither extinguish nor diminish any right
of the agency to recover third-party benefits from a third party or
provider. Nothing in this paragraph affects or prevents a proceeding to
enforce a lien created pursuant to this section or a proceeding to set
aside a fraudulent conveyance as defined in subsection (16).

(12) No action taken by the agency shall operate to deny the recipients
recovery of that portion of benefits not assigned or subrogated to the
agency, or not secured by the agencys lien. The agencys rights of
recovery created by this section, however, shall not be limited to some
portion of recovery from a judgment, award, or settlement. Only the
following benefits are not subject to the rights of the agency: benefits not
related in any way to a covered injury or illness; proceeds of life insurance
coverage on the recipient; proceeds of insurance coverage, such as
coverage for property damage, which by its terms and provisions cannot be
construed to cover personal injury, death, or a covered injury or illness;
proceeds of disability coverage for lost income; and recovery in excess of
the amount of medical benefits provided by Medicaid after repayment in
full to the agency.

(13) No action of the recipient shall prejudice the rights of the agency
under this section. No settlement, agreement, consent decree, trust
agreement, annuity contract, pledge, security arrangement, or any other
device, hereafter collectively referred to in this subsection as a settlement
agreement, entered into or consented to by the recipient or his or her legal
representative shall impair the agencys rights. However, in a structured
settlement, no settlement agreement by the parties shall be effective or
binding against the agency for benefits accrued without the express written



consent of the agency or an appropriate order of a court having personal
jurisdiction over the agency.

(14) The agency is authorized to enter into agreements to enforce or
collect medical support and other third-party benefits.
(a) If a cooperative agreement is entered into with any agency, program, or

subdivision of the state, or any agency, program, or legal entity of or operated
by a subdivision of the state, or with any other state, the agency is authorized
to make an incentive payment of up to 15 percent of the amount actually
collected and reimbursed to the agency, to the extent of medical assistance
paid by Medicaid. Such incentive payment is to be deducted from the federal
share of that amount, to the extent authorized by federal law. The agency may
pay such person an additional percentage of the amount actually collected
and reimbursed to the agency as a result of the efforts of the person, but no
more than a maximum percentage established by the agency. In no case shall
the percentage exceed the lesser of a percentage determined to be
commercially reasonable or 15 percent, in addition to the 15-percent
incentive payment, of the amount actually collected and reimbursed to the
agency as a result of the efforts of the person under contract.

(b) If an agreement to enforce or collect third-party benefits is entered into
by the agency with any person other than those described in paragraph (a),
including any attorney retained by the agency who is not an employee or
agent of any person named in paragraph (a), then the agency may pay such
person a percentage of the amount actually collected and reimbursed to the
agency as a result of the efforts of the person, to the extent of medical
assistance paid by Medicaid. In no case shall the percentage exceed a
maximum established by the agency, which shall not exceed the lesser of a
percentage determined to be commercially reasonable or 30 percent of the
amount actually collected and reimbursed to the agency as a result of the
efforts of the person under contract.

(c) An agreement pursuant to this subsection may permit reasonable
litigation costs or expenses to be paid from the agencys recovery to a person
under contract with the agency.

(d) Contingency fees and costs incurred in recovery pursuant to an
agreement under this subsection may, for purposes of determining state and
federal share, be deemed to be administrative expenses of the state. To the



extent permitted by federal law, such administrative expenses shall be shared
with, or fully paid by, the Federal Government.

(15) Insurance and other third-party benefits may not contain any term
or provision which purports to limit or exclude payment or provisions of
benefits for an individual if the individual is eligible for, or a recipient of,
medical assistance from Medicaid, and any such term or provision shall be
void as against public policy.

(16) Any transfer or encumbrance of any right, title, or interest to which
the agency has a right pursuant to this section, with the intent, likelihood,
or practical effect of defeating, hindering, or reducing reimbursement to
the agency for medical assistance provided by Medicaid, shall be deemed
to be a fraudulent conveyance, and such transfer or encumbrance shall be
void and of no effect against the claim of the agency, unless the transfer
was for adequate consideration and the proceeds of the transfer are
reimbursed in full to the agency, but not in excess of the amount of
medical assistance provided by Medicaid.
(17)(a) A recipient or his or her legal representative or any person
representing, or acting as agent for, a recipient or the recipients legal
representative, who has notice, excluding notice charged solely by reason
of the recording of the lien pursuant to paragraph (6)(c), or who has actual
knowledge of the agencys rights to third-party benefits under this section,
who receives any third-party benefit or proceeds for a covered illness or
injury, must, within 60 days after receipt of settlement proceeds, pay the
agency the full amount of the third-party benefits, but not more than the
total medical assistance provided by Medicaid, or place the full amount of
the third-party benefits in an interest-bearing trust account for the benefit
of the agency pending an administrative determination of the agencys
right to the benefits under this subsection. Proof that such person had
notice or knowledge that the recipient had received medical assistance
from Medicaid, and that third-party benefits or proceeds were in any way
related to a covered illness or injury for which Medicaid had provided
medical assistance, and that such person knowingly obtained possession or
control of, or used, third-party benefits or proceeds and failed to pay the
agency the full amount required by this section or to hold the full amount
of third-party benefits or proceeds in an interest-bearing trust account
pending an administrative determination, unless adequately explained,



gives rise to an inference that such person knowingly failed to credit the
state or its agent for payments received from social security, insurance, or
other sources, pursuant to s. 414.39(4)(b), and acted with the intent set
forth in s. 812.014(1).
(b) If federal law limits the agency to reimbursement from the recovered

medical expense damages, a recipient, or his or her legal representative, may
contest the amount designated as recovered medical expense damages
payable to the agency pursuant to the formula specified in paragraph (11)(f)
by filing a petition under chapter 120 within 21 days after the date of
payment of funds to the agency or after the date of placing the full amount of
the third-party benefits in the trust account for the benefit of the agency
pursuant to paragraph (a). The petition shall be filed with the Division of
Administrative Hearings. For purposes of chapter 120, the payment of funds
to the agency or the placement of the full amount of the third-party benefits in
the trust account for the benefit of the agency constitutes final agency action
and notice thereof. Final order authority for the proceedings specified in this
subsection rests with the Division of Administrative Hearings. This
procedure is the exclusive method for challenging the amount of third-party
benefits payable to the agency. In order to successfully challenge the amount
designated as recovered medical expenses, the recipient must prove, by clear
and convincing evidence, that the portion of the total recovery which should
be allocated as past and future medical expenses is less than the amount
calculated by the agency pursuant to the formula set forth in paragraph (11)
(f). Alternatively, the recipient must prove by clear and convincing evidence
that Medicaid provided a lesser amount of medical assistance than that
asserted by the agency.

(c) The agencys provider processing system reports are admissible as
prima facie evidence in substantiating the agencys claim.

(d) Venue for all administrative proceedings pursuant to this subsection
lies in Leon County, at the discretion of the agency. Venue for all appellate
proceedings arising from the administrative proceeding outlined in this
subsection lies at the First District Court of Appeal in Leon County, at the
discretion of the agency.

(e) Each party shall bear its own attorney fees and costs for any
administrative proceeding conducted pursuant to paragraphs (b)-(e).



(f) In cases of suspected criminal violations or fraudulent activity, the
agency may take any civil action permitted at law or equity to recover the
greatest possible amount, including, without limitation, treble damages under
ss. 772.11 and 812.035(7).

(g) The agency may investigate and request appropriate officers or
agencies of the state to investigate suspected criminal violations or fraudulent
activity related to third-party benefits, including, without limitation, ss.
414.39 and 812.014. Such requests may be directed, without limitation, to the
Medicaid Fraud Control Unit of the Office of the Attorney General or to any
state attorney. Pursuant to s. 409.913, the Attorney General has primary
responsibility to investigate and control Medicaid fraud.

(h) In carrying out duties and responsibilities related to Medicaid fraud
control, the agency may subpoena witnesses or materials within or outside
the state and, through any duly designated employee, administer oaths and
affirmations and collect evidence for possible use in either civil or criminal
judicial proceedings.

(i) All information obtained and documents prepared pursuant to an
investigation of a Medicaid recipient, the recipients legal
representative, or any other person relating to an allegation of
recipient fraud or theft is confidential and exempt from s. 119.07(1):

1. Until such time as the agency takes final agency action;
2. Until such time as the Department of Legal Affairs refers the case for

criminal prosecution;
3. Until such time as an indictment or criminal information is filed by a

state attorney in a criminal case; or
4. At all times if otherwise protected by law.

(18) In recovering any payments in accordance with this section, the
agency is authorized to make appropriate settlements.

(19) Notwithstanding any provision in this section to the contrary, the
agency shall not be required to seek reimbursement from a liable third
party on claims for which the agency determines that the amount it
reasonably expects to recover will be less than the cost of recovery, or that
recovery efforts will otherwise not be cost-effective.



(20)(a) Entities providing health insurance as defined in s. 624.603, health
maintenance organizations and prepaid health clinics as defined in chapter
641, and, on behalf of their clients, third-party administrators, pharmacy
benefits managers, and any other third parties, as defined in s. 409.901(27),
which are legally responsible for payment of a claim for a health care item
or service as a condition of doing business in the state or providing
coverage to residents of this state, shall provide such records and
information as are necessary to accomplish the purpose of this section,
unless such requirement results in an unreasonable burden.
(b) An entity must respond to a request for payment with payment on the

claim, a written request for additional information with which to process the
claim, or a written reason for denial of the claim within 90 working days after
receipt of written proof of loss or claim for payment for a health care item or
service provided to a Medicaid recipient who is covered by the entity. Failure
to pay or deny a claim within 140 days after receipt of the claim creates an
uncontestable obligation to pay the claim.

(21) Entities providing health insurance as defined in s. 624.603, and
health maintenance organizations as defined in chapter 641, requiring tape
or electronic billing formats from the agency shall accept Medicaid billings
that are prepared using the current Medicare standard billing format. If the
insurance entity or health maintenance organization is unable to use the
agency format, the entity shall accept paper claims from the agency in lieu
of tape or electronic billing, provided that these claims are prepared using
current Medicare standard billing formats.

(22) The agency is authorized to adopt rules to implement the provisions
of this section and federal requirements.

HISTORY:
S. 4, ch. 90-232; s. 33, ch. 90-295; s. 38, ch. 91-282; s. 4, ch. 92-79; s. 4,

ch. 94-251; s. 98, ch. 96-175; s. 3, ch. 96-331; s. 259, ch. 96-406; s. 1023, ch.
97-103; s. 32, ch. 98-191; s. 1, ch. 98-411; s. 184, ch. 99-8; s. 1, ch. 99-231;
s. 1, ch. 99-323; s. 8, ch. 99-356; s. 9, ch. 99-393; s. 67, ch. 99-397; s. 58, ch.
2000-153; s. 449, ch. 2003-261; s. 3, ch. 2005-140; s. 13, ch. 2008-246, eff.
July 1, 2008; s. 13, ch. 2010-187, eff. June 3, 2010; s. 6, ch. 2013-48, eff.
July 1, 2013; s. 2, ch. 2013-150, eff. July 1, 2013; s. 19, ch. 2017-129,



effective July 1, 2017.



 Title XXX. ,  Ch. 409. ,  Pt. III. ,   409.9101. 
Fla. Stat.  409.9101

 409.9101. Recovery for payments made on behalf of Medicaid-eligible
persons.
(1) This section may be cited as the Medicaid Estate Recovery Act.
(2) It is the intent of the Legislature by this section to supplement

Medicaid funds that are used to provide medical services to eligible
persons. Medicaid estate recovery shall be accomplished by the agency
filing a statement of claim against the estate of a deceased Medicaid
recipient as provided in part VII of chapter 733. Recovery shall be made
pursuant to federal authority in s. 13612 of the Omnibus Budget
Reconciliation Act of 1993, which amends s. 1917(b)(1) of the Social
Security Act, 42 U.S.C. s. 1396p(b)(1).

(3) The acceptance of public medical assistance, as defined by Title XIX
(Medicaid) of the Social Security Act, including mandatory and optional
supplemental payments under the Social Security Act, shall create a debt to
the agency in the total amount paid to or for the benefit of the recipient for
medical assistance after the recipient reached 55 years of age. Payment of
benefits to a person under the age of 55 years does not create a debt. Upon
filing of a statement of claim in the probate proceeding, the agency shall be
an interested person as defined in s. 731.201 to the same extent as other
estate claimants.

(4) The agency may amend the claim as a matter of right up to 1 year
after the last date medical services were rendered to the decedent.

(5) The agencys provider processing system reports shall be admissible
as prima facie evidence in substantiating the agencys claim.

(6) The debt created under this section shall not be enforced if the
recipient is survived by:
(a) A spouse;
(b) A child or children under 21 years of age; or
(c) A child or children who are blind or permanently and totally disabled

pursuant to the eligibility requirements of Title XIX of the Social Security



Act.
(7) No debt under this section shall be enforced against any property that

is determined to be exempt from the claims of creditors under the
constitution or laws of this state.

(8) The agency shall not recover from an estate if doing so would cause
undue hardship for the qualified heirs, as defined in s. 731.201. The
personal representative of an estate and any heir may request that the
agency waive recovery of any or all of the debt when recovery would
create a hardship. A hardship does not exist solely because recovery will
prevent any heirs from receiving an anticipated inheritance. The following
criteria shall be considered by the agency in reviewing a hardship request:
(a) The heir:
1. Currently resides in the residence of the decedent;
2. Resided there at the time of the death of the decedent;
3. Has made the residence his or her primary residence for the 12 months

immediately preceding the death of the decedent; and
4. Owns no other residence;
(b) The heir would be deprived of food, clothing, shelter, or medical care

necessary for the maintenance of life or health;
(c) The heir can document that he or she provided full-time care to the

recipient which delayed the recipients entry into a nursing home. The heir
must be either the decedents sibling or the son or daughter of the decedent
and must have resided with the recipient for at least 1 year prior to the
recipients death; or

(d) The cost involved in the sale of the property would be equal to or
greater than the value of the property.

(9) Instances arise in Medicaid estate-recovery cases where the assets
include a settlement of a claim against a liable third party. The agencys
claim under s. 409.910 must be satisfied prior to including the settlement
proceeds as estate assets. The remaining settlement proceeds shall be
included in the estate and be available to satisfy the Medicaid estate-
recovery claim. The Medicaid estate-recovery share shall be one-half of



the settlement proceeds included in the estate. Nothing in this subsection is
intended to limit the agencys rights against other assets in the estate not
related to the settlement. However, in no circumstances shall the agencys
recovery exceed the total amount of Medicaid medical assistance provided
to the recipient.

(10) In instances where there are no liquid assets to satisfy the Medicaid
estate-recovery claim, if there is nonexempt personal property or real
property which is not protected homestead and the costs of sale will not
exceed the proceeds, the property shall be sold to satisfy the Medicaid
estate-recovery claim. Real property shall not be transferred to the agency
in any instance.

HISTORY:
S. 68, ch. 99-397; s. 2, ch. 2001-226; s. 59, ch. 2013-18, eff. July 2, 2013.



 Title XXXIII. 
Fla. Stat. Title XXXIII

TITLE XXXIII.
REGULATION OF TRADE, COMMERCE, INVESTMENTS,

AND SOLICITATIONS.

________
 Title XXXIII. ,  Ch. 518. 

Fla. Stat. Title XXXIII, Ch. 518



CHAPTER 518.
INVESTMENT OF FIDUCIARY FUNDS.

 Title XXXIII. ,  Ch. 518. ,   518.01. 
Fla. Stat.  518.01

 518.01. Investments of funds received from United States Department
of Veterans Affairs.

Subject to the conditions herein contained, and except as otherwise
authorized by law, guardians holding funds received from, or currently in
receipt of funds from, the United States Department of Veterans Affairs, to
the extent of those funds alone, may invest such funds only in the following:

(1) United States government obligations.  In bonds or other
obligations, either bearing interest or sold on a discount basis, of the
United States, or the United States Treasury, or those for the payment of
the principal and interest of which the faith and credit of the United States
is pledged, including such bonds or obligations of the District of Columbia.

(2) Bonds and obligations of states and territories.  In bonds or
other interest-bearing obligations of any state of the United States, or the
Territory of Puerto Rico; provided such state or territory has not, within 10
years previous to the date of making such investment, defaulted for more
than 90 days in the payment of any part of the principal or interest of any
of its bonded indebtedness.

(3) Bonds and other obligations of political subdivisions within the
state of Florida.  In bonds or other interest-bearing obligations of any
incorporated county, city, town, school district, or road and bridge district
located within the state and which has according to the federal census next
preceding the date of making the investment, a population of not less than
2,000 inhabitants and for which the full faith and credit of such political
subdivision has been pledged; provided, that such political subdivision or
its successor through merger, consolidation, or otherwise, has not within 5
years previous to the making of such investment, defaulted for more than 6
months in the payment of any part of the principal or interest of its bonded
indebtedness.



(4) Bonds and obligations of political subdivisions located outside
the state of Florida.  In bonds or other interest-bearing obligations of
any incorporated county, city, or town located outside of the state, but
within another state of the United States, which county, city, or town has,
according to the federal census next preceding the date of making the
investment a population of not less than 40,000 inhabitants and the
indebtedness of which does not exceed 7 percent of the last preceding
valuation of property for the purposes of taxation; provided, that the full
faith and credit of such political subdivision shall have been pledged for
the payment of the principal and interest of such bonds or obligations, and
provided further, that such political subdivision or its successor, through
merger, consolidation, or otherwise, has not within 15 years previous to the
making of such investment, defaulted for more than 90 days in the
payment of any part of the principal or interest of its bonded indebtedness.

(5) Bonds or obligations of federal land banks and farm credit
institutions.  In the bonds or other interest-bearing obligations of any
federal land bank organized under any Act of Congress enacted prior to
June 14, 1937, provided such bank is not in default in the payment of
principal or interest on any of its obligations at the time of making the
investment; and on any notes, bonds, debentures, or other similar
obligations, consolidated or otherwise, issued by farm credit institutions
pursuant to the Farm Credit Act of 1971, Pub. L. No. 92-181.

(6) Bonds of railroad companies.
(a) Bonds bearing a fixed rate of interest secured by first mortgage, general

mortgage, refunding mortgage, or consolidated mortgage which is a lien on
real estate, rights or interest therein, leaseholds, right-of-way, trackage, or
other fixed assets; provided, that such bonds have been issued or assumed by
a qualified railroad company or guaranteed as to principal and interest by
indorsement by a qualified railroad company or guaranteed as to principal
and interest by indorsement, which guaranty has been assumed by a qualified
railroad company.

(b) In bonds secured by first mortgage upon terminal, depot, or tunnel
property, including buildings and appurtenances used in the service or
transportation by one or more qualified railroad companies; provided that
such bonds have been issued or assumed by a qualified railroad company or



guaranteed as to principal and interest by indorsement by a qualified railroad
company, or guaranteed as to principal and interest by indorsement, which
guaranty has been assumed by a qualified railroad company.

(c) As used in this subsection, the words qualified railroad company
means a railroad corporation other than a street railroad corporation which, at
the date of the investment by the fiduciary, meets the following requirements:

1. It shall be a railroad corporation incorporated under the laws of the
United States or of any state or commonwealth thereof or of the District of
Columbia.

2. It shall own and operate within the United States not less than 500 miles
of standard gauge railroad lines, exclusive of sidings.

3. Its railroad operating revenues derived from the operation of all railroad
lines operated by it, including leased lines and lines owned or leased by a
subsidiary corporation, all of the voting stock of which, except directors
qualifying shares, is owned by it, for its fiscal year next preceding the date of
the investment, shall have been not less than $10 million.

4. At no time during its fiscal year in which the investment is made, and its
5 fiscal years immediately prior thereto, shall it have been in default in the
payment of any part of the principal or interest owing by it upon any part of
its funded indebtedness.

5. In at least 4 of its 5 fiscal years immediately preceding the date of
investment, its net income available for fixed charges shall have been at least
equal to its fixed charges, and in its fiscal year immediately preceding the
date of investment, its net income available for fixed charges shall have been
not less than 1  times its fixed charges.

(d) As used in this subsection, the words income available for fixed
charges mean the amount obtained by deducting from gross income all items
deductible in ascertaining the net income other than contingent income
interest and those constituting fixed charges as used in the accounting reports
of common carriers as prescribed by the accounting regulations of the
Interstate Commerce Commission.

(e) As used in this subsection, the words fixed charges mean rent for
leased roads, miscellaneous rents, funded debt interest, and amortization of
discount on funded debt.



(7) Bonds of gas, water, or electric companies.  In bonds issued by,
or guaranteed as to principal and interest by, or assumed by, any gas,
water, or electric company, subject to the following conditions:
(a) Gas, water, or electric companies by which such bonds are issued,

guaranteed, or assumed, shall be incorporated under the laws of the United
States or any state or commonwealth thereof or of the District of Columbia.

(b) The company shall be an operating company transacting the business of
supplying water, electrical energy, artificial gas, or natural gas for light, heat,
power, and other purposes, and provided that at least 75 percent of its gross
operating revenue shall be derived from such business and not more than 15
percent of its gross operating revenues shall be derived from any other one
kind of business.

(c) The company shall be subject to regulation by a public service
commission, a public utility commission, or any other similar regulatory
body duly established by the laws of the United States or any state or
commonwealth or of the District of Columbia in which such company
operates.

(d) The company shall have all the franchises necessary to operate in the
territory in which at least 75 percent of its gross revenues are obtained, which
franchises shall either be indeterminate permits of, or agreements with, or
subject to the jurisdiction of, a public service commission or other duly
constituted regulatory body, or shall extend at least 5 years beyond the
maturity of the bonds.

(e) The company shall have been in existence for a period of not less than
8 fiscal years, and at no time within the period of 8 fiscal years immediately
preceding the date of such investment shall such company have failed to pay
punctually and regularly the matured principal and interest of all its
indebtedness, direct, assumed, or guaranteed, but the period of life of the
company, together with the period of life of any predecessor company, or
company from which a major portion of its property was acquired by
consolidation, merger, or purchase, shall be considered together in
determining such required period.

(f) For a period of 5 fiscal years immediately preceding the date of the
investment, net earnings shall have averaged per year not less than 2 times



the average annual interest charges on its entire funded debt, applicable to
that period and for the last fiscal year preceding the date of investment, such
net earnings shall have been not less than 2 times such interest charges for
that year.

(g) The bonds of any such company must be part of an issue of not less
than $1 million and must be mortgage bonds secured by a first or refunding
mortgage upon property owned and operated by the company issuing or
assuming them or must be underlying mortgage bonds secured by property
owned and operated by the companies issuing or assuming them. The
aggregate principal amount of bonds secured by such first or refunding
mortgage, plus the principal amount of all the underlying outstanding bonds,
shall not exceed 60 percent of the value of the physical property owned,
which shall be book value less such reserves for depreciation or retirement, as
the company may have established, and subject to the lien of such mortgage
or mortgages securing the total mortgage debt. If such mortgage is a
refunding mortgage, it must provide for the retirement on or before the date
of maturity of all bonds secured by prior liens on the property.

(h) As used in this subsection, the words gross operating revenues and
expenses mean, respectively, the total amount earned from the operation of,
and the total expenses of maintaining and operating, all property owned and
operated by, or leased and operated by, such companies, as determined by the
system of accounts prescribed by the Public Service Commission or other
similar regulatory body having jurisdiction.

(i) As used in this subsection, the words net earnings mean the
balance obtained by deducting from its gross operating revenues, its
operating and maintenance expenses, taxes, other than federal and
state income taxes, rentals, and provisions for depreciation, renewals
and retirements of the physical assets of the company, and by adding
to such balance its income from securities and miscellaneous sources,
but not, however, exceeding 15 percent of such balance.

(8) Bonds of telephone companies.  In bonds issued by, or
guaranteed as to principal and interest by, or assumed by, any telephone
company, subject to the following conditions:
(a) The telephone company by which such bonds are issued shall be

incorporated under the laws of the United States or of any state or



commonwealth thereof or of the District of Columbia and shall be engaged in
the business of supplying telephone service in the United States and shall be
subject to regulations by the Federal Communications Commission, a public
service commission, a public utility commission, or any similar regulatory
body duly established by the laws of the United States or of any state or
commonwealth or of the District of Columbia in which such company
operates.

(b) The company by which such bonds are issued, guaranteed, or assumed
shall have been in existence for a period of not less than 8 fiscal years, and at
no time within the period of 8 fiscal years immediately preceding the date of
such investment shall such company have failed to pay punctually and
regularly the matured principal and interest of all its indebtedness, direct,
assumed, or guaranteed, but the period of life of the company, together with
the period of life of any predecessor company, or company from which a
major portion of its property was acquired by consolidation, merger, or
purchase, shall be considered together in determining such required period.
The company shall file with the Federal Communications Commission, or a
public service commission or similar regulatory body having jurisdiction over
it, and make public in each year a statement and a report giving the income
account covering the previous fiscal year, and a balance sheet showing in
reasonable detail the assets and liabilities at the end of the year.

(c) For a period of 5 fiscal years immediately preceding the investment, the
net earnings of such telephone company shall have averaged per year not less
than twice the average annual interest charges on its outstanding obligations
applicable to that period, and for the last fiscal year preceding such
investment, such net earnings shall have been not less than twice such interest
charges for that year.

(d) The bonds must be part of an issue of not less than $5 million and must
be mortgage bonds secured by a first or refunding mortgage upon property
owned and operated by the company issuing or assuming them, or must be
underlying mortgage bonds similarly secured. As of the close of the fiscal
year preceding the date of the investment by the fiduciary, the aggregate
principal amount of bonds secured by such first or refunding mortgage, plus
the principal amount of all the underlying outstanding bonds, shall not exceed
60 percent of the value of the real estate and tangible personal property
owned absolutely, which value shall be book value less such reserves for



depreciation or retirement as the company may have established, and subject
to the lien of such mortgage, or mortgages, securing the total mortgage debt.
If such mortgage is a refunding mortgage, it must provide for the retirement,
on or before the date of their maturity, of all bonds secured by prior liens on
the property.

(e) As used in this subsection, the words gross operating revenues and
expenses mean, respectively, the total amount earned from the operation of,
and the total expenses of maintaining and operating all property owned and
operated by, or leased and operated by, such company as determined by the
system of accounts prescribed by the Federal Communications Commission,
or any other similar federal or state regulatory body having jurisdiction in the
matter.

(f) As used in this subsection, the words net earnings mean the balance
obtained by deducting from the telephone companys gross operating
revenues its operating and maintenance expenses, provision for depreciation
of the physical assets of the company, taxes, other than federal and state
income taxes, rentals, and miscellaneous charges, and by adding to such
balance its income from securities and miscellaneous sources but not,
however, to exceed 15 percent of such balance.

(9) First mortgages.  In mortgages signed by one or more individuals
or corporations, subject to the following conditions:
(a) If the taking of the mortgages as an investment for any particular trust,

estate, or guardianship will not result in more than 40 percent of the then
value of the principal of such trust, estate, or guardianship being invested in
mortgages.

(b) Within 30 days preceding the taking of a mortgage as an investment,
the property encumbered or to be encumbered thereby shall be appraised by
two or more reputable persons especially familiar with real estate values. The
fair market value of the property as disclosed by the appraisal of such persons
shall be set forth in a writing dated and signed by them and in such writing
they shall certify that their valuation of the property was made after an
inspection of the same, including all buildings and other improvements.

(c) The mortgage shall encumber improved real estate located in the state
and in or within 5 miles of the corporate limits of a city or town having a



population of 2,000 or more, according to the federal census next preceding
the date of making any such investment.

(d) The mortgage shall be or become, through the recordation of
documents simultaneously filed for record, a first lien upon the property
described therein prior to all other liens, except taxes previously levied or
assessed but not due and payable at the time the mortgage is taken as an
investment.

(e) The mortgage shall secure no indebtedness other than that owing to the
executor, administrator, trustee, or guardian taking the same as an
investment.

(f) The amount of the indebtedness secured by the mortgage shall not
exceed 60 percent of the fair market value, as determined in accordance with
the provisions of paragraph (b), of the property encumbered or to be
encumbered by said mortgage.

(g) If the amount of the indebtedness secured by the mortgage is in excess
of 50 percent of the fair market value, as determined in accordance with the
provisions of paragraph (b), of the property encumbered or to be encumbered
by said mortgage, then the mortgage shall require principal payments, at
annual or more frequent intervals, sufficient to reduce by or before the
expiration of 3 years from the date the mortgage is taken as an investment,
the unpaid principal balance secured thereby to an amount not in excess of 50
percent of the fair market value of said property, as determined in accordance
with the provisions of paragraph (b).

(h) The mortgage shall contain a covenant of the mortgagor to keep
insured at all times the improvements on the real estate encumbered by said
mortgage, with loss payable to the mortgagee, against loss and damage by
fire, in an amount not less than the unpaid principal secured by said
mortgage.

(i) Provided, however, that the foregoing limitations and
requirements shall not apply to notes or bonds secured by mortgage or
trust deed insured by the Federal Housing Administrator, and that
notes or bonds secured by mortgage or trust deed insured by the
Federal Housing Administrator are declared to be eligible for
investment under the provisions of this chapter.



(10) Life insurance.  Annuity or endowment contracts with any life
insurance company which is qualified to do business in the state under the
laws thereof.

(11) Savings and loan associations.  In savings share or investment
share accounts of any federal savings and loan association chartered under
the laws of the United States, and doing business in this state, and in the
shares of any Florida building and loan association which is a member of
the Federal Home Loan Bank System.

(12) Savings accounts, certificates of deposit; state and national
banks.  In savings accounts and certificates of deposit in any bank
chartered under the laws of the United States and doing business in this
state, and in savings accounts and certificates of deposit in any bank
chartered under the laws of this state.

(13) Savings share accounts, credit unions.  In savings share
accounts of any credit union chartered under the laws of the United States
and doing business in this state, and savings share accounts of any credit
union chartered under the laws of this state, provided the credit union is
insured under the federal share insurance program or an approved state
share insurance program.
In determining the qualification of investments under the requirements of
this section, published statements of corporations or statements of reliable
companies engaged in the business of furnishing statistical information on
bonds may be used.

HISTORY:
S. 1, ch. 17949, 1937; CGL 1940 Supp. 7100(9); s. 1, ch. 28154, 1953; s.

1, ch. 63-111; s. 1, ch. 73-41; s. 2, ch. 74-92; s. 24, ch. 93-268.

Editors notes.
The Interstate Commerce Commission, referred to in paragraph (6)(d), was

abolished by s. 101, Pub. L. No. 104-88.



 Title XXXIII. ,  Ch. 518. ,   518.06. 
Fla. Stat.  518.06

 518.06. Investment of fiduciary funds in loans insured by Federal
Housing Administrator.

Banks, savings banks, trust companies, building and loan associations,
insurance companies, and guardians holding funds received from or currently
in receipt of funds from the United States Department of Veterans Affairs to
the extent of those funds alone, may:

(1) Make such loans and advances of credit, and purchases of
obligations representing loans and advances of credit, as are insured by the
Federal Housing Administrator, and obtain such insurance;

(2) Make such loans secured by real property or leasehold as the Federal
Housing Administrator insures or makes a commitment to insure, and
obtain such insurance.

HISTORY:
S. 1, ch. 17130, 1935; CGL 1936 Supp. 7100(1); s. 1, ch. 17980, 1937; s.

2, ch. 28154, 1953; s. 25, ch. 93-268.



 Title XXXIII. ,  Ch. 518. ,   518.07. 
Fla. Stat.  518.07

 518.07. Investment of fiduciary funds in bonds, etc., issued by Federal
Housing Administrator.
(1) Banks, savings banks, trust companies, building and loan

associations, insurance companies, guardians holding funds received from
or currently in receipt of funds from the United States Department of
Veterans Affairs to the extent of those funds alone, the state and its
political subdivisions, all institutions and agencies thereof, with the
approval of the officials or boards having supervision or management of
same, may invest their funds and moneys in their custody or possession,
eligible for investment, in notes or bonds secured by mortgage or trust
deed insured by the Federal Housing Administrator, in debentures issued
by the Federal Housing Administrator, and in securities issued by national
mortgage associations.

(2) Such notes, bonds, debentures, and securities made eligible for
investment may be used wherever, by statute of this state, collateral is
required as security for the deposit of public or other funds; or deposits are
required to be made with any public official or departments, or an
investment of capital or surplus, or a reserve or other fund, is required to
be maintained consisting of designated securities.

HISTORY:
S. 2, ch. 17130, 1935; CGL 1936 Supp. 7100(2); s. 2, ch. 17980, 1937; s.

3, ch. 28154, 1953; s. 26, ch. 93-268.



 Title XXXIII. ,  Ch. 518. ,   518.08. 
Fla. Stat.  518.08

 518.08. Applicability of laws requiring security, etc.
No law of this state requiring security upon which loans or investments

may be made, prescribing the nature, amount, or form of such security,
prescribing or limiting interest rates upon loans or investments, limiting
investments of capital or deposits, or prescribing or limiting the period for
which loans or investments may be made, shall be deemed to apply to loans
or investments made pursuant to ss. 518.06 and 518.07.

HISTORY:
S. 3, ch. 17130, 1935; CGL 1936 Supp. 7100(3).



 Title XXXIII. ,  Ch. 518. ,   518.09. 
Fla. Stat.  518.09

 518.09. Housing bonds legal investments and security.
The state and all public officers, municipal corporations, political

subdivisions, and public bodies, all banks, bankers, trust companies, savings
banks and institutions, building and loan associations, savings and loan
associations, investment companies, all insurance companies, insurance
associations, and other persons carrying on an insurance business, and
guardians holding funds received from or currently in receipt of funds from
the United States Department of Veterans Affairs to the extent of those funds
alone may legally invest any sinking funds, moneys, or other funds belonging
to them or within their control in any bonds or other obligations issued by a
housing authority pursuant to the Housing Authorities Law of this state
(chapter 421), or issued by any public housing authority or agency in the
United States, when such bonds or other obligations are secured by a pledge
of annual contributions to be paid by the United States Government or any
agency thereof, and such bonds and other obligations shall be authorized
security for all public deposits; it being the purpose of this section to
authorize any person, associations, political subdivisions, bodies, and
officers, public or private, to use any funds owned or controlled by them,
including, but not limited to, sinking, insurance, investment, retirement,
compensation, pension, and trust funds, and funds held on deposit, for the
purchase of any bonds or other obligations; provided, however, that nothing
contained in this section shall be construed as relieving any person from any
duty of exercising reasonable care in selecting securities.

HISTORY:
SS. 1, 2, 3, ch. 19512, 1939; CGL 1940 Supp. 7100(3-nn); s. 4, ch. 28154,

1953; s. 27, ch. 93-268.



 Title XXXIII. ,  Ch. 518. ,   518.10. 
Fla. Stat.  518.10

 518.10. Fiduciary defined as used in ss. 518.11-518.14.
For the purpose of ss. 518.11-518.14, a fiduciary is defined as an

executor, administrator, trustee, guardian (except any guardian holding funds
received from or currently in receipt of funds from the United States
Department of Veterans Affairs, to the extent of those funds alone), or other
person, whether individual or corporate, who by reason of a written
agreement, will, court order, or other instrument has the responsibility for the
acquisition, investment, reinvestment, exchange, retention, sale, or
management of money or property of another.

HISTORY:
S. 5, ch. 28154, 1953; s. 28, ch. 93-268.



 Title XXXIII. ,  Ch. 518. ,   518.11. 
Fla. Stat.  518.11

 518.11. Investments by fiduciaries; prudent investor rule.
(1) A fiduciary has a duty to invest and manage investment assets as

follows:
(a) The fiduciary has a duty to invest and manage investment assets as a

prudent investor would considering the purposes, terms, distribution
requirements, and other circumstances of the trust. This standard requires the
exercise of reasonable care and caution and is to be applied to investments
not in isolation, but in the context of the investment portfolio as a whole and
as a part of an overall investment strategy that should incorporate risk and
return objectives reasonably suitable to the trust, guardianship, or probate
estate. If the fiduciary has special skills, or is named fiduciary on the basis of
representations of special skills or expertise, the fiduciary is under a duty to
use those skills.

(b) No specific investment or course of action is, taken alone, prudent or
imprudent. The fiduciary may invest in every kind of property and type of
investment, subject to this section. The fiduciarys investment decisions and
actions are to be judged in terms of the fiduciarys reasonable business
judgment regarding the anticipated effect on the investment portfolio as a
whole under the facts and circumstances prevailing at the time of the decision
or action. The prudent investor rule is a test of conduct and not of resulting
performance.

(c) The fiduciary has a duty to diversify the investments unless, under the
circumstances, the fiduciary believes reasonably it is in the interests of the
beneficiaries and furthers the purposes of the trust, guardianship, or estate not
to diversify.

(d) The fiduciary has a duty, within a reasonable time after acceptance of
the trust, estate, or guardianship, to review the investment portfolio and to
make and implement decisions concerning the retention and disposition of
original preexisting investments in order to conform to the provisions of this
section. The fiduciarys decision to retain or dispose of an asset may be
influenced properly by the assets special relationship or value to the
purposes of the trust, estate, or guardianship, or to some or all of the



beneficiaries, consistent with the trustees duty of impartiality, or to the ward.
(e) The fiduciary has a duty to pursue an investment strategy that considers

both the reasonable production of income and safety of capital, consistent
with the fiduciarys duty of impartiality and the purposes of the trust, estate,
or guardianship. Whether investments are underproductive or overproductive
of income shall be judged by the portfolio as a whole and not as to any
particular asset.

(f) The circumstances that the fiduciary may consider in making
investment decisions include, without limitation, the general economic
conditions, the possible effect of inflation, the expected tax consequences of
investment decisions or strategies, the role each investment or course of
action plays within the overall portfolio, the expected total return, including
both income yield and appreciation of capital, and the duty to incur only
reasonable and appropriate costs. The fiduciary may, but need not, consider
related trusts, estates, and guardianships, and the income available from other
sources to, and the assets of, beneficiaries when making investment
decisions.

(2) The provisions of this section may be expanded, restricted,
eliminated, or otherwise altered by express provisions of the governing
instrument, whether the instrument was executed before or after the
effective date of this section. An express provision need not refer
specifically to this statute. The fiduciary is not liable to any person for the
fiduciarys reasonable reliance on those express provisions.

(3) Nothing in this section abrogates or restricts the power of an
appropriate court in proper cases:
(a) To direct or permit the trustee to deviate from the terms of the

governing instrument; or
(b) To direct or permit the fiduciary to take, or to restrain the fiduciary

from taking, any action regarding the making or retention of investments.
(4) The following terms or comparable language in the investment

powers and related provisions of a governing instrument shall be construed
as authorizing any investment or strategy permitted under this section:
investments permissible by law for investment of trust funds, legal
investments, authorized investments, using the judgment and care



under the circumstances then prevailing that persons of prudence,
discretion, and intelligence exercise in the management of their own
affairs, not in regard to speculation but in regard to the permanent
disposition of their funds, considering the probable income as well as the
probable safety of their capital, prudent trustee rule, prudent person
rule, and prudent investor rule.

(5) This section applies to all existing and future fiduciary relationships
subject to this section, but only as to acts or omissions occurring after
October 1, 1993.

HISTORY:
S. 6, ch. 28154, 1953; s. 2, ch. 93-257; s. 26, ch. 97-98; s. 686, ch. 97-103.



 Title XXXIII. ,  Ch. 518. ,   518.112. 
Fla. Stat.  518.112

 518.112. Delegation of investment functions.
(1) A fiduciary may delegate any part or all of the investment functions,

with regard to acts constituting investment functions that a prudent
investor of comparable skills might delegate under the circumstances, to an
investment agent as provided in subsection (3), if the fiduciary exercises
reasonable care, judgment, and caution in selecting the investment agent,
in establishing the scope and specific terms of any delegation, and in
reviewing periodically the agents actions in order to monitor overall
performance and compliance with the scope and specific terms of the
delegation.
(2)(a) The requirements of subsection (1) notwithstanding, a fiduciary that
administers an insurance contract on the life or lives of one or more
persons may delegate without any continuing obligation to review the
agents actions, certain investment functions with respect to any such
contract as provided in subsection (3), to any one or more of the following
persons as investment agents:
1. The trusts settlor if the trust is one described in s. 733.707(3);
2. Beneficiaries of the trust or estate, regardless of the beneficiarys

interest therein, whether vested or contingent;
3. The spouse, ancestor, or descendant of any person described in

subparagraph 1. or subparagraph 2.;
4. Any person or entity nominated by a majority of the beneficiaries

entitled to receive notice under paragraph (3)(b); or
5. An investment agent if the fiduciary exercises reasonable care,

judgment, and caution in selecting the investment agent and in establishing
the scope and specific terms of any delegation.

(b) The delegable investment functions under this subsection include:
1. A determination of whether the insurance contract was procured or

effected in compliance with s. 627.404;
2. A determination of whether any insurance contract is or remains a



proper investment;
3. The investigation of the financial strength of the life insurance company;
4. A determination of whether or not to exercise any policy option

available under any insurance contracts;
5. A determination of whether or not to diversify such contracts relative to

one another or to other assets, if any, administered by the fiduciary; or
6. An inquiry about changes in the health or financial condition of the

insured or insureds relative to any such contract.
(c) Until the contract matures and the policy proceeds are received, a

fiduciary that administers insurance contracts under this subsection is not
obligated to diversify nor allocate other assets, if any, relative to such
insurance contracts.

(3) A fiduciary may delegate investment functions to an investment
agent under subsection (1) or subsection (2), if:
(a) In the case of a guardianship, the fiduciary has obtained court approval.
(b) In the case of a trust or estate, the fiduciary has given written notice, of

its intention to begin delegating investment functions under this section, to all
beneficiaries, or their legal representative, eligible to receive distributions
from the trust or estate within 30 days of the delegation unless such notice is
waived by the eligible beneficiaries entitled to receive such notice. This
notice shall thereafter, until or unless the beneficiaries eligible to receive
income from the trust or distributions from the estate at the time are notified
to the contrary, authorize the trustee or legal representative to delegate
investment functions pursuant to this subsection. This discretion to revoke the
delegation does not imply under subsection (2) any continuing obligation to
review the agents actions.

1. Notice to beneficiaries eligible to receive distributions from the trust
from the estate, or their legal representatives shall be sufficient notice to all
persons who may join the eligible class of beneficiaries in the future.

2. Additionally, as used herein, legal representative includes one described
in s. 731.303, without any requirement of a court order, an attorney-in-fact
under a durable power of attorney sufficient to grant such authority, a legally
appointed guardian, or equivalent under applicable law, any living, natural



guardian of a minor child, or a guardian ad litem.
3. Written notice shall be given as provided in part III of chapter 731 as to

an estate, and as provided in s. 736.0109 and part III of chapter 736 as to a
trust.

(4) If all requirements of subsection (3) are satisfied, the fiduciary shall
not be responsible otherwise for the investment decisions nor actions or
omissions of the investment agent to which the investment functions are
delegated.

(5) The investment agent shall, by virtue of acceptance of its
appointment, be subject to the jurisdiction of the courts of this state.

(6) In performing a delegated function, the investment agent shall be
subject to the same standards as the fiduciary.

HISTORY:
S. 3, ch. 93-257; s. 8, ch. 97-240; s. 2, ch. 2010-172, eff. July 1, 2010.



 Title XXXIII. ,  Ch. 518. ,   518.115. 
Fla. Stat.  518.115

 518.115. Power of fiduciary or custodian to deposit securities in a
central depository.

(1)(a) Notwithstanding any other provision of law, any fiduciary, as
defined in s. 518.10, holding securities, as defined in s. 678.102(1), in its
fiduciary capacity, and any bank or trust company holding securities as a
custodian, managing agent, or custodian for a fiduciary, is authorized to
deposit or arrange for the deposit of such securities in a clearing
corporation, as defined in s. 678.102(3). When such securities are so
deposited, certificates representing securities of the same class of the same
issuer may be merged and held in bulk in the name of the nominee of such
clearing corporation with any other such securities deposited in such
clearing corporation by any person, regardless of the ownership of such
securities, and certificates of small denomination may be merged into one
or more certificates of larger denomination.
(b) A bank or a trust company so depositing securities with a clearing

corporation shall be subject to such rules and regulations with respect to the
making and maintenance of such deposit as, in the case of state-chartered
institutions, the Financial Services Commission and, in the case of national
banking associations, the Comptroller of the Currency may from time to time
issue.

(c) Notwithstanding any other provisions of law, ownership of, and other
interests in, the securities credited to such account may be transferred by
entries on the books of said clearing corporation without physical delivery of
any securities. The records of such fiduciary and the records of such bank or
trust company acting as custodian, managing agent, or custodian for a
fiduciary shall at all times show the name of the party for whose account the
securities are so deposited. A bank or trust company acting as custodian for a
fiduciary shall, on demand by the fiduciary, certify in writing to the fiduciary
the securities so deposited by such bank or trust company in such clearing
corporation for the account of such fiduciary. A fiduciary shall, on demand
by any party to a judicial proceeding for the settlement of such fiduciarys
account or on demand by the attorney for such party, certify in writing to
such party the securities deposited by such fiduciary in such clearing



corporation for its account as such fiduciary.
(2) This section shall apply to any fiduciary holding securities in its

fiduciary capacity, and to any bank or trust company holding securities as a
custodian, managing agent, or custodian for a fiduciary, acting on June 18,
1974, or who thereafter may act regardless of the date of the agreement,
instrument, or court order by which it is appointed and regardless of
whether or not such fiduciary, custodian, managing agent, or custodian for
a fiduciary owns capital stock of such clearing corporation.

HISTORY:
S. 1, ch. 74-224; s. 613, ch. 2003-261.

Editors notes.
Section 678.102, referred to in two places in paragraph (1)(a), was

repealed by s. 25, ch. 98-11.



 Title XXXIII. ,  Ch. 518. ,   518.116. 
Fla. Stat.  518.116

 518.116. Power of certain fiduciaries and custodians to deposit United
States Government and agency securities with a Federal Reserve
bank.

(1)(a) Notwithstanding any other provision of law, any fiduciary, as
defined in s. 518.10, which is a bank or trust company holding securities in
its fiduciary capacity, and any bank or trust company holding securities as
a custodian, managing agent, or custodian for a fiduciary, is authorized to
deposit or arrange for the deposit with the Federal Reserve Bank in its
district of any securities, the principal and interest of which the United
States Government or any department, agency, or instrumentality thereof
has agreed to pay or has guaranteed payment, to be credited to one or more
accounts on the books of said Federal Reserve Bank in the name of such
bank or trust company to be designated fiduciary or safekeeping accounts,
to which account other similar securities may be credited.
(b) A bank or trust company so depositing securities with a Federal

Reserve Bank shall be subject to such rules and regulations with respect to
the making and maintenance of such deposits as, in the case of state-chartered
institutions, the Financial Services Commission and, in the case of national
banking associations, the Comptroller of the Currency may from time to time
issue. The records of such bank or trust company shall at all times show the
ownership of the securities held in such account.

(c) Notwithstanding any other provision of law, ownership of, and other
interests in, the securities credited to such account may be transferred by
entries on the books of said Federal Reserve Bank without physical delivery
of any securities. The records of such fiduciary and the records of such bank
or trust company acting as custodian, managing agent, or custodian for a
fiduciary shall at all times show the name of the party for whose account the
securities are so deposited. A bank or a trust company acting as custodian for
a fiduciary shall, on demand by the fiduciary, certify in writing to the
fiduciary the securities so deposited by such bank or trust company with such
Federal Reserve Bank for the account of such fiduciary. A fiduciary shall, on
demand by any party to a judicial proceeding for the settlement of such
fiduciarys account or on demand by the attorney for such party, certify in



writing to such party the securities deposited by such fiduciary with such
Federal Reserve bank for its account as such fiduciary.

(2) This section shall apply to any fiduciary and to any bank or trust
company holding securities as custodian, managing agent, or custodian for
a fiduciary, acting on June 18, 1974, or who thereafter may act regardless
of the date of the instrument or court order by which it is appointed.

HISTORY:
S. 2, ch. 74-224; s. 1, ch. 77-174; s. 614, ch. 2003-261.



 Title XXXIII. ,  Ch. 518. ,   518.117. 
Fla. Stat.  518.117

 518.117. Permissible investments of fiduciary funds.
A fiduciary that is authorized by lawful authority to engage in trust

business as defined in s. 658.12 may invest fiduciary funds in accordance
with s. 660.417 so long as the investment otherwise complies with this
chapter.

HISTORY:
S. 15, ch. 2006-217, eff. July 1, 2007; s. 3, ch. 2022-178, effective July 1,

2022.



 Title XXXIII. ,  Ch. 518. ,   518.12. 
Fla. Stat.  518.12

 518.12. Instrument creating or defining powers, duties of fiduciary not
affected.

Nothing contained in ss. 518.10-518.14 shall be construed as conferring a
power of sale upon any fiduciary not possessing such power or as authorizing
any departure from, or variation of, the express terms or limitations set forth
in any will, agreement, court order, or other instrument creating or defining
the fiduciarys duties and powers, but the terms legal investment or
authorized investment or words of similar import, as used in any such
instrument, shall be taken to mean any investment which is permitted by the
terms of s. 518.11.

HISTORY:
S. 7, ch. 28154, 1953; s. 1, ch. 57-120.



 Title XXXIII. ,  Ch. 518. ,   518.13. 
Fla. Stat.  518.13

 518.13. Authority of court to permit deviation from terms of
instrument creating trust not affected.

Nothing contained in ss. 518.10-518.14 shall be construed as restricting the
power of a court of proper jurisdiction to permit a fiduciary to deviate from
the terms of any will, agreement, or other instrument relating to the
acquisition, investment, reinvestment, exchange, retention, sale, or
management of fiduciary property.

HISTORY:
S. 8, ch. 28154, 1953.



 Title XXXIII. ,  Ch. 518. ,   518.14. 
Fla. Stat.  518.14

 518.14. Scope of ss. 518.10-518.13.
The provisions of ss. 518.10-518.13 shall govern fiduciaries acting under

wills, agreements, court orders, and other instruments now existing or
hereafter made.

HISTORY:
S. 9, ch. 28154, 1953.



 Title XXXIII. ,  Ch. 518. ,   518.15. 
Fla. Stat.  518.15

 518.15. Bonds or motor vehicle tax anticipation certificates, legal
investments and security.

Notwithstanding any restrictions on investments contained in any law of
this state, the state and all public officers, municipal corporations, political
subdivisions, and public bodies, all banks, bankers, trust companies, savings
banks, building and loan associations, savings and loan associations,
investment companies, and all persons carrying on an insurance business, and
all executors, administrators, guardians, trustees, and other fiduciaries may
legally invest any sinking funds, moneys or other funds belonging to them or
within their control in bonds or motor vehicle anticipation certificates issued
under authority of s. 18, Art. XII of the State Constitution of 1885 as adopted
by s. 9(d) of Art. XII, 1968 revised constitution, and the additional provisions
of s. 9(d), and such bonds or certificates shall be authorized security for all
public deposits, including, but not restricted to, deposits as authorized in s.
17.57, it being the purpose of this act to authorize any person, firm or
corporation, association, political subdivision, body, and officer, public or
private, to use any funds owned or controlled by them, including, but not
limited to, sinking, insurance, investment, retirement, compensation, pension,
and trust funds, and funds held on deposit, for the purchase of any such bonds
or anticipation certificates, up to the amount as authorized by law to be
invested in any type of security, including United States Government Bonds.

HISTORY:
S. 1, ch. 27990, 1953; s. 31, ch. 69-216; s. 615, ch. 2003-261.



 Title XXXIII. ,  Ch. 518. ,   518.151. 
Fla. Stat.  518.151

 518.151. Higher education bonds or certificates, legal investments and
security.

Notwithstanding any restrictions on investments contained in any law of
this state, the state and all public officers, municipal corporations, political
subdivisions, and public bodies, all banks, bankers, trust companies, savings
banks, building and loan associations, savings and loan associations,
investment companies, and all persons carrying on an insurance business, and
all executors, administrators, guardians, trustees, and other fiduciaries may
legally invest any sinking funds, moneys or other funds belonging to them or
within their control in higher education bonds or certificates issued under
authority of s. 19, Art. XII of the State Constitution of 1885 or of s. 9(a), Art.
XII of the constitution as revised in 1968, as amended, and such bonds or
certificates shall be authorized security for all public deposits, including, but
not restricted to, deposits as authorized in s. 17.57, it being the purpose of
this act to authorize any person, firm or corporation, association, political
subdivision, body, and officer, public or private, to use any funds owned or
controlled by them, including, but not limited to, sinking, insurance,
investment, retirement, compensation, pension, and trust funds, and funds
held on deposit, for the purchase of any such bonds or certificates, up to the
amount as authorized by law to be invested in any type of security, including
United States Government Bonds.

HISTORY:
S. 1, ch. 65-443; s. 140, ch. 71-355; s. 616, ch. 2003-261.



 Title XXXIII. ,  Ch. 518. ,   518.152. 
Fla. Stat.  518.152

 518.152. Puerto Rican bonds or obligations, legal investments and
securities.

Notwithstanding any restrictions on investments contained in any law of
this state, all public officers and public bodies of the state, counties,
municipal corporations, and other political subdivisions; all banks, bankers,
trust companies, savings banks, building and loan associations, savings and
loan associations, investment companies, and other persons carrying on a
banking business; all insurance companies, insurance associations and other
persons carrying on an insurance business; all persons holding in trust any
pension, health and welfare, and vacation funds; all administrators, executors,
guardians, trustees, and other fiduciaries of any public, quasi-public, or
private fund or estate; and all other persons authorized to invest in bonds or
other obligations may legally invest any sinking funds, moneys, or other
funds belonging to them or within their control in bonds or other obligations
issued by the Commonwealth of Puerto Rico, its agencies, authorities,
instrumentalities, municipalities, or political subdivisions, provided such
agency, authority, instrumentality, municipality, or political subdivision has
not, within 5 years prior to the making of such investment, defaulted for more
than 90 days in the payment of any part of the principal or interest of its
bonded indebtedness. Such bonds or obligations shall be authorized security
for all public deposits, including, but not restricted to, deposits as authorized
in s. 17.57, it being the purpose of this section to authorize any person, firm,
corporation, association, political subdivision, body, and officer, public or
private, to use any funds owned or controlled by them, including, but not
limited to, sinking, insurance, investment, retirement, compensation, pension
and trust funds, and funds held on deposit, for the purchase of any such bonds
or obligations up to the amount as authorized by law to be invested in any
type of security, including United States Government Bonds. However,
nothing contained in this section shall be construed as relieving any person
from any duty of exercising reasonable care in selecting securities.

HISTORY:
S. 1, ch. 72-136; s. 617, ch. 2003-261.



 Title XXXIII. ,  Ch. 518. ,   518.16. 
Fla. Stat.  518.16

 518.16. Chapter cumulative.
This chapter shall be cumulative to any other law providing for

investments and security for public deposits.

HISTORY:
S. 2, ch. 27990, 1953; s. 11, ch. 28154, 1953.



 Title XXXVIII. 
Fla. Stat. Title XXXVIII

TITLE XXXVIII.
BANKS AND BANKING.

________
 Title XXXVIII. ,  Ch. 655. 

Fla. Stat. Title XXXVIII, Ch. 655



CHAPTER 655.
FINANCIAL INSTITUTIONS GENERALLY.

 Title XXXVIII. ,  Ch. 655. ,   655.769. 
Fla. Stat.  655.769

 655.769. Definitions of terms used in ss. 655.77-655.91.
As used in ss. 655.77-655.91, the term:

(1) Check includes a share draft of a credit union.
(2) Deposit includes a share of a credit union.
(3) Depositor includes a member of a credit union.
(4) Institution means any state or national bank, state or federal

association, or state or federal credit union.

HISTORY:
S. 45, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.77. 
Fla. Stat.  655.77

 655.77. Deposits by minors.
Deposits made by a minor, or made in the minors name by other than a

court-appointed guardian, may be withdrawn by the minor in the absence of
an agreement to the contrary made between the institution and the depositor
at the time the account is opened. In case of any such agreement, such
moneys, until the minors disabilities are removed, may be withdrawn by the
person or persons designated in such agreement.

HISTORY:
S. 46, ch. 92-303; s. 526, ch. 97-102.



 Title XXXVIII. ,  Ch. 655. ,   655.78. 
Fla. Stat.  655.78

 655.78. Deposit accounts in two or more names.
(1) Unless otherwise expressly provided in a contract, agreement, or

signature card executed in connection with the opening or maintenance of
an account, including a certificate of deposit, a deposit account in the
names of two or more persons may be paid to, or on the order of, either or
any of such persons or to, or on the order of, the guardian of the property
of any such person who is incompetent, whether the other or others are
competent. The check or other order for payment to any such person or
guardian is a valid and sufficient release and discharge of the obligation of
the institution for funds transferred thereby.

(2) In the case of a credit union, a member may designate any person or
persons to hold deposits with the member in joint tenancy with the right of
survivorship; but a joint tenant, unless he or she is a member in his or her
own right, may not be permitted to vote, obtain a loan, or hold office or be
required to pay an entrance or membership fee.

HISTORY:
S. 47, ch. 92-303; s. 527, ch. 97-102.



 Title XXXVIII. ,  Ch. 655. ,   655.79. 
Fla. Stat.  655.79

 655.79. Deposits and accounts in two or more names; presumption as
to vesting on death.
(1) Unless otherwise expressly provided in a contract, agreement, or

signature card executed in connection with the opening or maintenance of
an account, including a certificate of deposit, a deposit account in the
names of two or more persons shall be presumed to have been intended by
such persons to provide that, upon the death of any one of them, all rights,
title, interest, and claim in, to, and in respect of such deposit account, less
all proper setoffs and charges in favor of the institution, vest in the
surviving person or persons. Any deposit or account made in the name of
two persons who are husband and wife shall be considered a tenancy by
the entirety unless otherwise specified in writing.

(2) The presumption created in this section may be overcome only by
proof of fraud or undue influence or clear and convincing proof of a
contrary intent. In the absence of such proof, all rights, title, interest, and
claims in, to, and in respect of such deposits and account and the additions
thereto, and the obligation of the institution created thereby, less all proper
setoffs and charges in favor of the institution against any one or more of
such persons, upon the death of any such person, vest in the surviving
person or persons, notwithstanding the absence of proof of any donative
intent or delivery, possession, dominion, control, or acceptance on the part
of any person and notwithstanding that the provisions hereof may
constitute or cause a vesting or disposition of property or rights or interests
therein, testamentary in nature, which, except for the provisions of this
section, would or might otherwise be void or voidable.

(3) This section does not abridge, impair, or affect the validity,
effectiveness, or operation of any of the provisions of ss. 655.78 and
674.405 or the rights of institutions to make payments as therein provided.

HISTORY:
S. 48, ch. 92-303; s. 8, ch. 2008-75, eff. Oct. 1, 2008.



 Title XXXVIII. ,  Ch. 655. ,   655.80. 
Fla. Stat.  655.80

 655.80. Convenience accounts.
(1) A convenience account is a deposit account, other than a certificate

of deposit, in the name of one individual (principal), in which one or more
other individuals have been designated as agents with the right to make
deposits to and to withdraw funds from or draw checks on such account.
The designation of agents, the substitution or removal of agents, or any
other change in the contractual terms or provisions governing a
convenience account may be made only by the principal. Except as
otherwise provided in this section, the agency relationship created under
this account is not affected by the subsequent death or incompetence of the
principal.

(2) All rights, interests, and claims in, to, and in respect of, such deposits
and convenience account and the additions thereto shall be those of the
principal only.

(3) Any balance standing to the credit of a convenience account shall be
paid to the guardian of the property of the principal, to any person
designated in a court order entered pursuant to s. 735.206, to any person
designated by letter or other writing as authorized by s. 735.301, or to the
personal representative of the deceased principals estate, upon
presentation of effective written notice and, if applicable, proof of judicial
appointment of such guardian or personal representative by a court of
competent jurisdiction. No such court order or letter, written notice, or
proof of judicial appointment is effective until it is served upon and
received by an officer of the institution during regular banking hours and
in such time and in such manner as to afford the institution a reasonable
opportunity to act on it prior to the happening of any of the events
described in s. 674.303. No other notice, knowledge, or other information
shown to have been available to an institution affects its right to the
protection provided by this section.

(4) Payment by an institution pursuant to this section is a valid and
sufficient release and discharge to the institution from all claims for
payments so paid.



(5) Without qualifying any other right to setoff or lien, and subject to
any contractual provision, if the principal is indebted to the institution, the
institution has a right to setoff against the account.

HISTORY:
S. 49, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.82. 
Fla. Stat.  655.82

 655.82. Pay-on-death accounts.
(1) As used in this section:

(a) Account means a contract of deposit between a depositor and an
institution, including, but not limited to, a checking account, savings account,
certificate of deposit, and share account.

(b) Beneficiary means a person named as one to whom sums on deposit
in an account are payable on request after death of all parties or for whom a
party is named as trustee.

(c) Devisee means any person designated in a will to receive a
testamentary disposition of real or personal property.

(d) Heirs means those persons, including a surviving spouse, who are
entitled, under the laws of this state regarding intestate succession, to the
property of a decedent.

(e) Multiple-party account means an account payable on request to one
or more of two or more parties, whether or not a right of survivorship is
mentioned.

(f) Party means a person who, by the terms of an account, has a present
right, subject to request, to payment from the account other than as a
beneficiary.

(g) Payment means disbursement of sums on deposit, and includes
withdrawal, payment to a party or third person pursuant to check or other
request, and a pledge of sums on deposit by a party, or a setoff, reduction, or
other disposition of all or part of an account pursuant to a pledge.

(h) Pay-on-death designation means the designation of:
1. A beneficiary in an account payable on request to one party during the

partys lifetime and on the partys death to one or more beneficiaries, or to
one or more parties during their lifetimes and on death of all of them to one
or more beneficiaries; or

2. A beneficiary in an account in the name of one or more parties as trustee



for one or more beneficiaries if the relationship is established by the terms of
the account and there is no subject of the trust other than the sums on deposit
in the account, whether or not payment to the beneficiary is mentioned.

(i) Personal representative means an executor, administrator,
curator, successor personal representative, special administrator, or
any other person who performs substantially the same function under
the law governing their status.

(j) Receive, as it relates to notice to an institution, means receipt in the
office or branch office of the institution in which the account is established,
but if the terms of the account require notice at a particular place, in the place
required.

(k) Request means a request for payment complying with all terms of the
account, including special requirements concerning necessary signatures and
regulations of the institution; but, for purposes of this section, if terms of the
account condition payment on advance notice, a request for payment is
treated as immediately effective and a notice of intent to withdraw is treated
as a request for payment.

(l) Successor means any person, other than a creditor, who is entitled to
property of a decedent under the decedents will or otherwise.

(m) Sums on deposit means the balance payable on an account,
including interest and dividends earned, whether or not included in the
current balance, and any deposit of life insurance proceeds added to the
account by reason of death of a party.

(n) Terms of the account means the deposit agreement and other terms
and conditions, including the form, of the contract of deposit.

(2) A beneficiary in an account having a pay-on-death designation has
no right to sums on deposit during the lifetime of any party.

(3) In an account with a pay-on-death designation:
(a) On the death of one of two or more parties, sums on deposit in the

account belong to the surviving party or parties.
(b) On the death of the sole party or the last survivor of two or more

parties, sums on deposit belong to the surviving beneficiary or beneficiaries.
If two or more beneficiaries survive, sums on deposit belong to them in equal



and undivided shares, and, unless otherwise provided in a depository
agreement written between December 31, 1994, and July 1, 2001, there is no
right of survivorship in the event of death of a beneficiary thereafter. If no
beneficiary survives, sums on deposit belong to the estate of the last
surviving party.

(4) A pay-on-death designation in a multiple-party account without right
of survivorship is ineffective. For purposes of this section, designation of
an account as a tenancy in common establishes that the account is without
right of survivorship.

(5) The ownership right of a surviving party or beneficiary, or of the
decedents estate, in sums on deposit is subject to requests for payment
made by a party before the partys death, whether paid by the institution
before or after death, or unpaid. The surviving party or beneficiary, or the
decedents estate, is liable to the payee of an unpaid request for payment.
The liability is limited to a proportionate share of the amount transferred
under this section, to the extent necessary to discharge the request for
payment.

(6) An institution, on request, may pay sums on deposit in an account
with a pay-on-death designation to:
(a) One or more of the parties, whether or not another party is disabled,

incapacitated, or deceased when the payment is requested and whether or not
a party survives another party;

(b) The beneficiary or beneficiaries, if proof of death is presented to the
institution showing that the beneficiary or beneficiaries survived all persons
named as parties; or

(c) The personal representative, if any, or, if there is none, the heirs or
devisees of a deceased party, if proof of death is presented to the institution
showing that the deceased party was the survivor of all other persons named
on the account either as a party or beneficiary.

(7) Payment made pursuant to this section discharges the institution
from all claims for amounts so paid, whether or not the payment is
consistent with the beneficial ownership of the account as between parties,
beneficiaries, or their successors. Payment may be made whether or not a
party or beneficiary is disabled, incapacitated, or deceased when payment



is requested, received, or made.
(8) A beneficiary in an account at a credit union having a pay-on-death

designation, unless the beneficiary is a member in her or his own right,
may not be permitted to vote, obtain an extension of credit, or hold office
or be required to pay an entrance or membership fee.

(9) The following is an example of the form of a contract of deposit that
may be used to select a pay-on-death account for use by one or more
parties:

SINGLE-PARTY ACCOUNT OR MULTIPLE-PARTY
ACCOUNT WITH PAY-ON-DEATH DESIGNATION

PARTIES (Name each party): __________________________
OWNERSHIP (Select one and initial):
_________ SINGLE-PARTY ACCOUNT
_________ MULTIPLE-PARTY ACCOUNT
RIGHTS AT DEATH (Select one and initial):
_________ SINGLE-PARTY ACCOUNT
At death of the party, ownership passes as part of the partys estate.
_________ SINGLE-PARTY ACCOUNT WITH A PAY-ON-DEATH

DESIGNATION
(Name one or more beneficiaries):
At death of the party, ownership passes to the designated pay-on-death

beneficiaries and is not part of the partys estate.
_________ MULTIPLE-PARTY ACCOUNT WITH RIGHT OF

SURVIVORSHIP
At death of a party, ownership passes to the surviving party or parties.
_________ MULTIPLE-PARTY ACCOUNT WITH RIGHT OF

SURVIVORSHIP AND A PAY-ON-DEATH DESIGNATION
(Name one or more beneficiaries):



__________________________
At death of the last surviving party, ownership passes to the designated

pay-on-death beneficiaries and is not part of the last surviving partys estate.

HISTORY:
S. 1, ch. 94-216; s. 529, ch. 97-102; s. 21, ch. 2001-243.



 Title XXXVIII. ,  Ch. 655. ,   655.825. 
Fla. Stat.  655.825

 655.825. Deposits in trust; applicability of s. 655.82 in place of former s.
655.81.
(1) Because deposits in trust are also accounts with a pay-on-death

designation as described in s. 655.82, it is the intent of the Legislature that
the provisions of s. 655.82 shall apply to and govern deposits in trust.
References to former s. 655.81 in any depository agreement shall be
interpreted after the effective date of this act as references to s. 655.82.

(2) This section shall take effect July 1, 2001, and shall apply to deposits
made to a depository account created after December 31, 1994.

HISTORY:
S. 3, ch. 2001-243; s. 101, ch. 2019-3, effective July 3, 2019.



 Title XXXVIII. ,  Ch. 655. ,   655.83. 
Fla. Stat.  655.83

 655.83. Adverse claim to a deposit or fiduciary account.
Notice to any institution of an adverse claim to a deposit or fiduciary

account standing on its books to the credit of any person does not obligate the
institution to recognize the adverse claimant unless the adverse claimant also
either:

(1) Procures a restraining order, injunction, or other appropriate process
having specific application to the institution issued by a court of competent
jurisdiction in a cause therein instituted by such claimant wherein the
person to whose credit the deposit or fiduciary account stands is made a
party and served with process; or

(2) Obtains in favor of the institution, in a form, amount, and with
sureties acceptable to it, a bond indemnifying the institution from any and
all liability (including liabilities for penalties), loss, damage, costs, and
expenses should it act to give effect to the adverse claim, including the
decision not to honor the check or other order of the person to whose credit
the deposit or fiduciary account stands on the books of the institution.
Upon receipt of such bond, the institution shall hold the account pending
agreement between the claimant and the person to whose credit the deposit
or fiduciary account stands on the books of the institution or pending
receipt of a restraining order, injunction, or other process pursuant to
subsection (1).

HISTORY:
S. 51, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.84. 
Fla. Stat.  655.84

 655.84. Limitations; statements as correct.
(1) Unless written objection thereto has been theretofore delivered by

the depositor to the institution, a statement of account rendered by any
institution in this state to a depositor, with a description of the amount and
type (such as deposit, withdrawal, debit, credit, or any similar designation)
of entries to such account, which description may be on accompanying
documents or on the statement itself, shall, after the expiration of 2 years
from the date rendered, be conclusively presumed to be correct; and the
depositor is thereafter barred from questioning same.

(2) In the absence of a written contract between an institution and a
depositor providing otherwise, the statement of account is deemed to have
been rendered to the depositor within the meaning of this section when
prepared and lodged by the institution at its statement window or other
customary place for delivery to the depositor. Any such statement of
account which is not demanded by the depositor within 3 years may be
destroyed by the institution without accountability or liability therefor to
anyone.

(3) This section does not relieve a depositor from any duty or obligation
imposed by law or by contract heretofore or hereafter made to examine
such statement of account and to report any disputed debits, credits, errors,
or irregularities within a shorter period of time than mentioned in this
section, or from the legal consequences of the depositors failure to
perform any such duty or obligation.

HISTORY:
S. 52, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.85. 
Fla. Stat.  655.85

 655.85. Settlement of checks.
If a check is forwarded or presented to a financial institution for payment,

except when presented by the payee in person, the paying institution or
remitting institution shall settle the amount of the check at par, at its option,
in money or in exchange drawn on its reserve agent or agents in the City of
New York or in any reserve city within the Sixth Federal Reserve District.
The term at par applies only to the settlement of checks between collecting
and paying or remitting institutions and does not apply to, or prohibit an
institution from, deducting from the face amount of the check drawn on it a
fee for paying the check if the check is presented to the institution by the
payee in person. This section does not apply to the settlement of a check sent
to such institution as a special collection item.

HISTORY:
S. 53, ch. 92-303; s. 12, ch. 2014-91, effective July 1, 2014.

Editors Notes
Section 13, ch. 2014-91, provides: The Legislature intends that the

amendment to s. 655.85, Florida Statutes, made by this act, clarify the
relevant portions of the financial institutions codes as defined in s. 655.005,
Florida Statutes, relating to fees imposed by a financial institution for the
payment of checks presented in person without requiring further
amendment.



 Title XXXVIII. ,  Ch. 655. ,   655.851. 
Fla. Stat.  655.851

 655.851. Unclaimed credit balances.
Credit balances held by a financial institution, credit union, or participant

as defined in 12 U.S.C. s. 4001(19) which result from the performance of or
participation in check-clearing functions, whether pursuant to a contractual
relationship between financial institutions, credit unions, or participants;
through a clearinghouse as defined by s. 674.104; or through a clearinghouse
association as defined by 12 U.S.C. s. 4001(8), are not subject to s. 717.117.
This section is intended to clarify existing law and to be remedial in nature
and applies to credit balances held before, on, or after July 1, 2007.

HISTORY:
S. 1, ch. 2007-142, eff. July 1, 2007.



 Title XXXVIII. ,  Ch. 655. ,   655.86. 
Fla. Stat.  655.86

 655.86. Issuance of postdated checks.
It is the duty of the person drawing a postdated check to notify, in writing,

the separate office or branch of the institution upon which such check is
drawn, giving a complete description thereof, including the name of the
payee, the date, the number, and the amount thereof; otherwise, the institution
is not liable for paying such check.

HISTORY:
S. 54, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.89. 
Fla. Stat.  655.89

 655.89. Legal holidays; business days; business and transactions.
(1) In this section, the term:

(a) Business day means that part of any day on which an institution is
open to the public for carrying on substantially all its banking functions, trust
functions, or transactions. A financial institution is deemed to be closed on
any day, or any part of a day, when it is not open to the public for carrying on
substantially all its banking functions, trust functions, and transactions.

(b) Legal holiday means a statutory holiday or a permissive holiday. A
statutory holiday is any day which, by the laws of this state or the United
States, is designated or recognized as a legal or public holiday. A permissive
holiday is any one day, other than a statutory holiday, in each week on
which an institution is customarily closed.

(c) Transaction means any one or more of the functions and elements of
the business of an institution and includes, but is not limited to, the receipt or
giving of any notice; the receipt or acceptance of deposits; the transmission,
acceptance, payment, dishonor, and giving notice of dishonor of items; and
its obligations and duties with respect to all thereof; and the word transact
means to take action or nonaction the result of which is a transaction.

(2) Any institution may, but unless otherwise required by law is not
required to, be closed or be open only for limited transactions and
functions or purposes on any legal holiday. When an institution is closed as
provided or permitted by law, it is not under any obligation or duty to
conduct any of its business or effectuate any transaction. An institution is
open only for limited transactions and functions or purposes when one or
more, but fewer than all, of its branches, separate or other offices,
departments, sections, or other functional elements of its business, which
customarily are open to the public for carrying on the banking or trust
business and transactions, are not open to the public for such purposes.
When, as provided or permitted by law, an institution is open only for
limited transactions and functions or purposes, it is not under any
obligation or duty to conduct or transact, at or from such of its branches,
separate or other offices, departments, sections, or other functional



elements of its business which are not open to the public for such purposes,
any of the business or transactions customarily conducted or transacted
therefrom or thereat.

(3) When any statutory holiday occurs on a Sunday or on a day when an
institution customarily is closed, such institution may, but unless otherwise
required by law is not required to, elect to be closed or to be open only for
limited transactions and functions or purposes on the next preceding or the
next following day which, except for the provisions of this section, would
not be a legal holiday, and such day so elected is, with respect to such
institution, a legal holiday as to all transactions and for all purposes and
laws.

(4) Any legal holiday on which an institution is closed or is open only
for limited transactions and functions or purposes may, if the institution
elects, be deemed and treated with respect to all transactions and for all
purposes and laws, including, but not limited to, the Uniform Commercial
Code, as not a business day; and any notice, item, or deposit of money
received on any such day may be treated as being received at the opening
of the next business day, and any transaction or other business which
would or should have occurred or been transacted on any such legal
holiday may be treated as postponed by law to the next business day.

(5) An institution may establish the regular and customary hours of each
day during which each of its branches, separate or other offices,
departments, sections, or functional elements of its business will be
operated for the transaction of the business customarily conducted or
transacted at or from each such branch, office, department, section, or
functional element of business, and the regular and customary hours during
which each thereof will be open to the public for the conduct of such
business and transactions, and it is not necessary that the same hours be
established for all thereof or that the hours so established for any thereof be
the same on every day.

(6) With prior written approval of the office, an institution may
designate another day or other days on which the institution may be closed
and which day or days will not be considered business days.

(7) An institution may, but unless otherwise required by law is not under
or subject to any obligation or duty to, effectuate any transaction or



transact any business on any legal holiday; at any time before the
beginning, or after the close, of its business day; or outside the regular and
customary hours established as provided in subsection (5) or subsection (6)
of any separate or other office or branch or any department, section, or
functional element of business. If the institution elects to do so, it has all
the rights provided by law with respect to such transaction or business,
and, at its election, any such transactions or business shall be treated as
having occurred or as having been transacted on that day or on its next
following business day, except that any transaction or business occurring
before the beginning of its regular business day shall be treated as
occurring at the beginning of that business day.

(8) No liability or loss of rights of any kind on the part of any institution
accrues or results by reason of any institution being closed or open only for
limited functions or purposes, or by reason of any branch, separate or other
office, department, section, or functional element of business being
operated or open for the transaction of business only during the regular and
customary hours established by the institution, as provided in this section.

HISTORY:
S. 55, ch. 92-303; s. 1732, ch. 2003-261.



 Title XXXVIII. ,  Ch. 655. ,   655.90. 
Fla. Stat.  655.90

 655.90. Closing during emergencies and other special days.
(1) Definitions.  As used in this section, the term:

(a) Commissioner means the director of the Office of Financial
Regulation and any other person lawfully exercising such powers.

(b) Emergency means any condition or occurrence, actual or threatened,
which may interfere physically with the conduct of normal business
operations of an institution or of one or more or all of the departments,
sections, functions, offices, or facilities of an institution, or which poses an
imminent or existing threat to the safety or security of persons or property, or
both. Without limiting the generality of the foregoing, an emergency may
exist, arise, or be imminent as the result of any one or more, actual or
threatened, of the following: fires; floods; earthquakes; tornadoes; hurricanes;
wind, rain, or other storms; labor disputes and strikes; power failures;
transportation failures; interruption of communication facilities; shortages of
fuel, food, transportation, or labor; robberies or burglaries or attempted
robberies or burglaries; actual or threatened enemy attacks; epidemics or
other catastrophes; explosions; and riots, civil commotions, and other acts of
lawlessness or violence, actual or threatened.

(c) Office means any place at which an institution transacts its business
or conducts operations relating to its business. However, this section does not
authorize an institution to conduct its banking business at any place or places
not otherwise authorized or permitted by law.

(d) Officers means the person or persons designated by the board of
directors, board of trustees, or other governing body of an institution to act
for the institution in carrying out the provisions of this section or, in the
absence of any such designation or in the absence of the officers so
designated, the president or any other officer currently in charge of the
institution or of the office or offices in question.

(e) The authorizations herein provided for an institution to close in case
of an emergency means and includes the authority not to open on any
business or banking day and, if having opened, to close and suspend business.



(2) Powers of commissioner.  Whenever the commissioner is of the
opinion that an emergency exists, or is impending, in this state or in any
part of this state, he or she may, by proclamation, authorize state and
nationally or federally chartered institutions, if not inconsistent with, and if
it does not infringe upon, paramount federal law, located in the affected
area or areas to close or to close any or all the departments, sections,
functions, offices, or facilities thereof. In addition, if the commissioner is
of the opinion that an emergency exists, or is impending, which affects, or
may affect, a particular institution or institutions, or one or more particular
departments, sections, functions, offices, or facilities thereof, but not
institutions located in the area generally, he or she may authorize the
particular institution or institutions to close or to close one or more of the
departments, sections, functions, offices, or facilities thereof. The
institution or institutions affected by any such proclamation or
authorization may close in accordance therewith. Such institutions and
such of the departments, sections, functions, offices, or facilities thereof so
closed may remain closed until the commissioner proclaims that the
emergency has ended, or until such earlier time as the officers of the
institution determine that the institution or any of its departments, sections,
functions, offices, or facilities, theretofore closed because of the
emergency, should reopen, and, in either event, for such further time
thereafter as may reasonably be required to reopen.

(3) Powers of officers.
(a) Whenever the officers of an institution are of the opinion that an

emergency exists, or is impending, which affects, or may affect, the
institution or one or more or all of its departments, sections, functions,
offices, or facilities, they shall have the authority, in the reasonable exercise
of their discretion, to close the institution or any one or more or all of the
departments, sections, functions, offices, or facilities thereof on any business
day or days during the continuation of such emergency, even if the
commissioner has not issued and does not issue a proclamation of
emergency. The office or offices so closed may remain closed until such time
as the officers determine that the emergency has ended and for such further
time thereafter as may reasonably be required to reopen. However, in no case
may such institution or any department, section, function, office, or facility
thereof remain closed pursuant to this paragraph for more than 48



consecutive hours, excluding other legal holidays, without requesting the
approval of the commissioner.

(b) The officers of an institution may close the institution or any one or
more or all of the institutions departments, sections, functions, offices, or
facilities on any day or days designated, by proclamation of the President of
the United States or the Governor of this state, as a day or days of mourning,
rejoicing, or other special observance.

(4) Notice to be given.
(a) An institution chartered under the laws of this state closing, or closing

any of its departments, sections, functions, offices, or facilities, pursuant to
the authority granted under subsection (3) shall give notice of its action to the
commissioner as promptly as conditions reasonably permit and by any means
reasonably available.

(b) A national or federal institution closing, or closing any of its
departments, sections, functions, offices, or facilities, pursuant to the
authority granted by this section shall give notice of its action to the
appropriate federal regulatory agency as promptly as conditions reasonably
permit and by any means reasonably available.

(5) Effect of closing and partial closing.
(a) Any day on which an institution, or any one or more of its departments,

sections, functions, offices, or facilities, is closed during all or any part of its
normal banking hours pursuant to the authorization granted in this section is,
with respect to such institution or, if not all its departments, sections,
functions, offices, or facilities are closed, then with respect to any of its
departments, sections, functions, offices, or facilities which are closed, a legal
holiday for all purposes with respect to any business of any kind or character
of the institution, or of any of its departments, sections, functions, offices, or
facilities, so closed, including, but without limiting the generality of the
foregoing, matters relating to the time payable, the presenting for payment or
acceptance, and the protesting and giving notice of protest and notice of
dishonor of bills of exchange, checks, promissory notes, and other items
drawn on or payable at such institution and relating to any other banking
business of any kind or character. No liability or loss of rights of any kind on
the part of any institution or director, officer, or employee thereof accrues or



results by virtue of any closing authorized by this section.
(b) On any day which by the provisions of this section is deemed or

declared to be a legal holiday with respect to any institution or institutions or
office or offices thereof, the officers thereof may, in the exercise of their
discretion, cause such institution or any office thereof to open its doors or
facilities for the transaction or conduct of a limited business by the operation
of one or more, but less than all, of its departments, sections, offices,
functions, or facilities. On any day when, pursuant to the provisions of this
section, less than all the departments, sections, functions, offices, or facilities
are open, at the election of such institution the limited business transacted or
conducted on such day is deemed for all purposes as transacted or conducted
on the next following business day which is not deemed or declared as a legal
holiday pursuant to the provisions of this section or of any other provision of
law.

(6) Provisions cumulative.  The provisions of this section shall be
construed and applied as being in addition to, and not in substitution for or
limitation of, any other law of this state or of the United States authorizing
the closing of an institution or excusing the delay by an institution in the
performance of its duties and obligations because of emergencies or
conditions beyond the institutions control or otherwise.

HISTORY:
S. 56, ch. 92-303; s. 530, ch. 97-102; s. 31, ch. 99-155; s. 1733, ch. 2003-

261.



 Title XXXVIII. ,  Ch. 655. ,   655.91. 
Fla. Stat.  655.91

 655.91. Records of institutions and copies thereof; retention and
destruction.
(1) In this section, records of an institution means and includes all

books of account and other books of every kind, journals, ledgers,
statements, instruments, documents, files, messages, writings of every
kind, and other internal or other data and other information of every
description, made or received by an institution in the regular course of its
business or otherwise, regardless of the mode in which it is recorded.

(2) Institutions need not preserve or retain any of their records or copies
thereof for a period longer than is expressly required by an applicable
statute or rule or regulation of this state or the United States which
identifies, either specifically or by type or category, the relevant records or
copies thereof or, if there is no such statute or rule or regulation which
specifies a retention period applicable to the records or copies thereof, for a
period longer than 5 years. An institution may destroy any of its records or
copies thereof after the expiration of the retention period determined as
provided in this subsection.

(3) No liability shall accrue against any institution because of the
destruction of any of its records or copies thereof as permitted by
subsection (2), and in any judicial or other action or proceeding in which
any such records or copies thereof may be called in question or be
demanded of the institution or any officer or employee thereof, a showing
that such records or copies thereof have been destroyed in accordance with
the provisions of subsection (2) is a sufficient excuse for the failure to
produce them.

(4) Any institution may at any time make, or cause to be made, a copy or
copies of any or all of its records, and any such copy duly certified,
authenticated, or identified by a responsible officer or agent of the
institution under whose supervision the records or copies are kept shall, in
all cases and in all courts and places, be admitted and received as evidence
with a like force and effect as the original record, whether or not the
original is in existence.



(5) The original of any record of an institution includes the data or other
information comprising a record stored or transmitted in or by means of
any electronic, computerized, mechanized, or other information storage or
retrieval or transmission system or device which can upon request
generate, regenerate, or transmit the precise data or other information
comprising the record; and an original also includes the visible data or
other information so generated, regenerated, or transmitted if it is legible or
can be made legible by enlargement or other process.

(6) Copies of records of an institution, heretofore or hereafter made,
include duplicates or counterparts of an original produced from the same
impression or process as the original by carbon or other chemical or
substance or process; negative and positive film and prints of an original or
copy and reproductions and facsimiles of an original or copy, whether or
not the same size, produced by photographic, microphotographic,
photostatic, xerographic, electronic, computerized, or mechanized process,
or by any other process, and enlargements and reductions thereof; and the
data or other information comprising a record stored or transmitted as
provided in subsection (5), and the visible data or other information
generated or regenerated or transmitted by such information storage or
retrieval or transmission system or device, if it is legible or can be made
legible by enlargement or other process.

HISTORY:
S. 57, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.921. 
Fla. Stat.  655.921

 655.921. Transaction of business by out-of-state financial institutions;
exempt transactions.
(1) The financial institutions codes do not prohibit a financial institution

or business trust that has its principal place of business outside this state
and that does not operate branches in this state from:
(a) Contracting in this state with any person to acquire from such person a

part, or the entire, interest in a loan that such person makes, together with a
like interest in any security instrument covering real or personal property in
the state given to such person to secure or evidence such loan.

(b) Entering into mortgage servicing contracts with persons authorized to
transact business in this state and enforcing in this state the obligations
acquired by it in the transaction of business outside this state or in the
transaction of any business authorized by this section.

(c) Acquiring, holding, leasing, mortgaging, contracting with respect to, or
otherwise protecting, managing, or conveying property in this state which is
assigned, transferred, mortgaged, or conveyed to it as security for, or in
whole or in part in satisfaction of, a loan or loans made by it or obligations
acquired by it in the transaction of any business authorized by this section.

(d) Making loans or committing to make loans to any person located in this
state and soliciting compensating deposit balances in connection therewith.

(e) Filing suit in any court in this state to collect any debt or foreclose on
any security interest in collateral securing a debt.

(2) A financial institution or business trust may not be deemed to be
transacting business in this state, or be required to qualify to do so, solely
by reason of the performance of any of the acts or business authorized in
this section.

HISTORY:
S. 58, ch. 92-303; s. 10, ch. 2004-340; s. 93, ch. 2004-390; s. 14, ch. 2014-

91, effective July 1, 2014.



 Title XXXVIII. ,  Ch. 655. ,   655.922. 
Fla. Stat.  655.922

 655.922. Banking business by unauthorized persons; use of name.
(1) Only a financial institution authorized to do business in this state

pursuant to the financial institutions codes of any state or federal law may
engage in the business of soliciting or receiving funds for deposit, issuing
certificates of deposit, or paying checks in this state; and only such
financial institution may establish or maintain a place of business in this
state for any of the functions, transactions, or purposes identified in this
subsection. A person who violates this subsection commits a felony of the
third degree, punishable as provided in s. 775.082, s. 775.083, or s.
775.084. This subsection does not prohibit the issuance or sale by a
financial institution of travelers checks, money orders, or other
instruments for the transmission or payment of money, by or through
employees or agents of the financial institution off the financial
institutions premises.

(2) Only a financial institution authorized to do business in this state as
provided under subsection (1) may:
(a) Transact or solicit business under any name or title that contains the

words bank, banc, banco, banque, banker, banking, trust
company, savings and loan association, savings bank, or credit union,
or words of similar import, in any context or in any manner;

(b) Use any name, word, trademark, service mark, trade name, Internet
address, logo, sign, symbol, or device in any context or in any manner; or

(c) Circulate or use any letterhead, billhead, circular, paper, electronic
media, Internet website or posting, or writing of any kind or otherwise
advertise or represent in any manner,

which indicates or reasonably implies that the business being solicited,
conducted, or advertised is the kind or character of business transacted or
conducted by a financial institution or which is likely to lead any person to
believe that such business is that of a financial institution; however, the
words bank, banc, banco, banque, banker, banking, trust
company, savings and loan association, savings bank, or credit union,
or the plural of any thereof, may be used by, and in the corporate or other



name or title of, any company that is or becomes a holding company of a
financial institution pursuant to state or federal law; any subsidiary of such
holding company which includes as a part of its name or title all or any part,
or abbreviations, of the name or title of the holding company of which it is a
subsidiary; any trade organization or association, whether or not
incorporated, functioning for the purpose of promoting the interests of
financial institutions or holding companies, the active members of which are
financial institutions or holding companies; and any international
development bank chartered pursuant to part II of chapter 663.

(3) A person may not use the name, trademark, service mark, trade
name, Internet address, or logo of a financial institution or an affiliate or
subsidiary thereof, or use a name similar to that of a financial institution or
an affiliate or subsidiary thereof, to market or solicit business from a
customer or prospective customer of such institution if:
(a) The solicitation is done without the written consent of the financial

institution or its affiliate or subsidiary; and
(b) A reasonable person would believe that the materials originated from,

are endorsed by, or are connected with the financial institution or its affiliates
or subsidiaries.

(4) A financial institution, affiliate, subsidiary, or service corporation
may not do business, solicit, or advertise in this state using a name,
trademark, service mark, trade name, Internet address, or logo that may
mislead consumers or cause confusion as to the identification of the proper
legal business entity or the nature of the financial institutions business.

(5) Any court, in a proceeding brought by the office, by a financial
institution the principal place of business of which is in this state, or by any
other person residing or whose principal place of business is in this state
and whose interests are substantially affected thereby, may enjoin any
person from violating any provision of this section. Except for a financial
institution duly chartered by the office, the office may also seek an order
from the circuit court for the annulment or dissolution of a corporation or
any other business entity found violating any provision of this section. For
the purposes of this subsection, the interests of a trade organization or
association are deemed to be substantially affected if the interests of its
members are so affected. The office may also issue and serve upon any



person who violates any provision of this section an emergency cease and
desist order or a complaint seeking a cease and desist order in accordance
with s. 655.033. The office is not required to make any finding or
determination that a violation of this section is likely to result in
insolvency, substantial dissipation of assets or earnings, or substantial
prejudice to any person in association with the issuance of an emergency
cease and desist order.

(6) This section does not prohibit the lawful establishment or operation
of a financial institution, affiliate, subsidiary, or service corporation or
prohibit any advertisement or other activity in this state by any person if
such prohibition would contravene any applicable federal law that
preempts the law of this state.

HISTORY:
S. 59, ch. 92-303; s. 12, ch. 96-168; s. 1734, ch. 2003-261; s. 11, ch. 2004-

340; s. 94, ch. 2004-390; s. 101, ch. 2013-18, eff. July 2, 2013; s. 15, ch.
2014-91, effective July 1, 2014.



 Title XXXVIII. ,  Ch. 655. ,   655.93. 
Fla. Stat.  655.93

 655.93. Definitions for ss. 655.93-655.94.
As used in ss. 655.93-655.94, the term:

(1) Lessee means a person who contracts with a lessor for the use of a
safe-deposit box.

(2) Lessor means a financial institution that rents safe-deposit
facilities.

(3) Safe-deposit box means a safe-deposit box, vault, or other safe-
deposit receptacle maintained by a lessor, and the rules relating thereto
apply to property or documents kept in safekeeping in the financial
institutions vault.

HISTORY:
S. 60, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.931. 
Fla. Stat.  655.931

 655.931. Authority to engage in safe-deposit business.
A financial institution may maintain and lease safe-deposit boxes and may

accept property or documents for safekeeping if, except in the case of
property or documents accepted through night depositories, it issues a receipt
therefor.

HISTORY:
S. 61, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.932. 
Fla. Stat.  655.932

 655.932. Lease to minor.
A lessor may lease a safe-deposit box to, and in connection therewith deal

with, a minor with the same effect as if leasing to and dealing with a person
of full legal capacity.

HISTORY:
S. 62, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.933. 
Fla. Stat.  655.933

 655.933. Access by fiduciaries.
If a safe-deposit box is made available by a lessor to one or more persons

acting as fiduciaries, the lessor may, except as otherwise expressly provided
in the lease or the writings pursuant to which such fiduciaries are acting,
allow access thereto as follows:

(1) By any one or more of the persons acting as personal representatives.
(2) By any one or more of the persons otherwise acting as fiduciaries if

authorized in writing, which writing is signed by all other persons so
acting.

(3) By any agent authorized in writing, which writing is signed by all
persons acting as fiduciaries.

HISTORY:
S. 63, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.934. 
Fla. Stat.  655.934

 655.934. Effect of lessees death or incapacity.
If a lessor without knowledge of the death or an order determining the

incapacity of the lessee deals with the lessees agent in accordance with a
written power of attorney or a durable power of attorney signed by such
lessee, the transaction binds the lessees estate and the lessee.

HISTORY:
S. 64, ch. 92-303; s. 1, ch. 2010-132, eff. Oct. 1, 2010.



 Title XXXVIII. ,  Ch. 655. ,   655.935. 
Fla. Stat.  655.935

 655.935. Search procedure on death of lessee.
If satisfactory proof of the death of the lessee is presented, a lessor shall

permit the person named in a court order for that purpose, or if no order has
been served upon the lessor, the spouse, a parent, an adult descendant, or a
person named as a personal representative in a copy of a purported will
produced by such person, to open and examine the contents of a safe-deposit
box leased or coleased by a decedent, or any documents delivered by a
decedent for safekeeping, in the presence of an officer of the lessor.

(1) If requested by such person, the lessor shall remove and deliver only:
(a) Any writing purporting to be a will of the decedent, to the court having

probate jurisdiction in the county in which the financial institution is located.
(b) Any writing purporting to be a deed to a burial plot or to give burial

instructions, to the person making the request for a search.
(c) Any document purporting to be an insurance policy on the life of the

decedent, to the beneficiary named therein.
(2) The officer of the lessor shall make a complete copy of any

document removed and delivered pursuant to this section and place that
copy, together with a memorandum of delivery identifying the name of the
officer, the person to whom the document was delivered, the purported
relationship of the person to whom the document was delivered, and the
date of delivery, in the safe-deposit box leased or coleased by the decedent.

(3) The lessor may charge reasonable fees to cover costs incurred
pursuant to this section.

(4) Access granted pursuant to this section is not considered the initial
opening of the safe-deposit box pursuant to s. 733.6065.

HISTORY:
S. 65, ch. 92-303; s. 1, ch. 2006-134, eff. July 1, 2006; s. 67, ch. 2006-213,

eff. October 1, 2006; s. 2, ch. 2010-132, eff. Oct. 1, 2010.



 Title XXXVIII. ,  Ch. 655. ,   655.936. 
Fla. Stat.  655.936

 655.936. Delivery of safe-deposit box contents or property held in
safekeeping to personal representative.
(1) Subject to the provisions of subsection (3), the lessor shall

immediately deliver to a personal representative appointed by a court in
this state, upon presentation of a certified copy of his or her letters of
authority, all property deposited with it by the decedent for safekeeping,
and shall grant the personal representative access to any safe-deposit box
in the decedents name and permit him or her to remove from such box any
part or all of the contents thereof.

(2) If a personal representative of a deceased lessee has been appointed
by a court of any other state, a lessor may, at its discretion, after 3 months
from the issuance to such personal representative of his or her letters of
authority, deliver to such personal representative all properties deposited
with it for safekeeping and the contents of any safe-deposit box in the
name of the decedent if at such time the lessor has not received written
notice of the appointment of a personal representative in this state, and
such delivery is a valid discharge of the lessor for all property or contents
so delivered. A personal representative appointed by a court of any other
state shall furnish the lessor with an affidavit setting forth facts showing
the domicile of the deceased lessee to be other than this state and stating
that there are no unpaid creditors of the deceased lessee in this state,
together with a certified copy of his or her letters of authority. A lessor
making delivery pursuant to this subsection shall maintain in its files a
receipt executed by such personal representative which itemizes in detail
all property so delivered.

(3) Notwithstanding the provisions of subsection (1), after the death of a
lessee of a safe-deposit box, the lessor shall permit the initial opening of
the safe-deposit box and the removal of the contents of the safe-deposit
box in accordance with s. 733.6065.

(4) A lessor is not liable for damages or penalty by reason of any
delivery made pursuant to this section.

HISTORY:



S. 66, ch. 92-303; s. 531, ch. 97-102; s. 12, ch. 97-240; s. 3, ch. 2001-226;
s. 2, ch. 2006-134, eff. July 1, 2006; s. 68, ch. 2006-213, eff. October 1,
2006.



 Title XXXVIII. ,  Ch. 655. ,   655.937. 
Fla. Stat.  655.937

 655.937. Access to safe-deposit boxes leased in two or more names.
(1) Unless specifically provided in the lease or rental agreement to the

contrary, if a safe-deposit box is rented or leased in the names of two or
more lessees, access to the safe-deposit box will be granted to:
(a) Either or any of such lessees, regardless of whether or not the other

lessee or lessees or any of them are living or competent.
(b) Subject to s. 655.933, those persons named in s. 655.933.
(c) Subject to s. 655.935, those persons named in s. 655.935.
(d) Subject to s. 733.6065, the personal representative of the estate of

either or any of such lessees who is deceased, or the guardian of the property
of either or any of such lessees who is incapacitated.

(2) In all cases described in subsection (1), the signature on the safe-
deposit entry or access record, or the receipt or acquittance, in the case of
property or documents otherwise held for safekeeping, is a valid and
sufficient release and discharge to the lessor for granting access to such
safe-deposit box or for the delivery of such property or documents
otherwise held for safekeeping.

(3) A lessor may not be held liable for damages or penalty by reason of
any access granted or delivery made pursuant to this section.

(4) The right of access by a colessee is separate from the rights and
responsibilities of other persons who may be granted access to a safe-
deposit box after the death or incapacity of another colessee, and such right
of access is not subject to the provisions of s. 655.935, s. 733.6065, or
other requirements imposed upon personal representatives, guardians, or
other fiduciaries.

(5) After the death of a colessee, the surviving colessee or any other
person who is granted access to the safe-deposit box pursuant to this
section may make a written inventory of the box, which must be conducted
by the person making the request in the presence of one other person as
specified in this subsection. Each person present shall verify the contents



of the box by signing a copy of the inventory under penalty of perjury.
(a) If the person making the written inventory is a surviving colessee, the

other person may be any other person granted access pursuant to this section,
an employee of the institution where the box is located, or an attorney
licensed in this state.

(b) If the person making the written inventory is not a surviving colessee,
the other person may be a surviving colessee, an employee of the institution
where the box is located, or an attorney licensed in this state.

HISTORY:
S. 67, ch. 92-303; s. 3, ch. 2006-134, eff. July 1, 2006; s. 69, ch. 2006-213,

eff. October 1, 2006.



 Title XXXVIII. ,  Ch. 655. ,   655.938. 
Fla. Stat.  655.938

 655.938. Adverse claims to contents of safe-deposit box.
(1) An adverse claim to the contents of a safe-deposit box, or to property

held in safekeeping, is not sufficient to require the lessor to deny access to
its lessee unless:
(a) The lessor is directed to do so by a court order issued in an action in

which the lessee is served with process and named as a party by a name
which identifies the lessee with the name in which the safe-deposit box is
leased or the property held; or

(b) The safe-deposit box is leased or the property is held in the name of a
lessee with the addition of words indicating that the contents or property are
held in a fiduciary capacity, and the adverse claim is supported by a written
statement of facts disclosing that it is made by, or on behalf of, a beneficiary
and that there is reason to know that the fiduciary will misappropriate the
trust property.

(2) A claim is also an adverse claim if one of several lessees claims,
contrary to the terms of the lease, an exclusive right of access, or if one or
more persons claim a right of access as agents or officers of a lessee to the
exclusion of others as agents or officers, or if it is claimed that a lessee is
the same person as one using another name.

HISTORY:
S. 68, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.939. 
Fla. Stat.  655.939

 655.939. Limiting right of access for failure to comply with security
procedures.

If any individual who has a right of access to a safe-deposit box is
unwilling or unable for any reason or cause to comply with any of the
lessors normal requirements or procedures in connection with such access
relating to security, safety, or protection, the lessor has the right to limit or
deny access to the safe-deposit box by such individual unless all lessees of
such safe-deposit box take such action as is necessary to ensure reasonable
compliance with such security, safety, or protection requirements or
procedures.

HISTORY:
S. 69, ch. 92-303.



 Title XXXVIII. ,  Ch. 655. ,   655.94. 
Fla. Stat.  655.94

 655.94. Special remedies for nonpayment of rent.
(1) If the rental due on a safe-deposit box has not been paid for 3

months, the lessor may send a notice by certified mail to the last known
address of the lessee stating that the safe-deposit box will be opened and its
contents stored at the expense of the lessee unless payment of the rental is
made within 30 days. If the rental is not paid within 30 days from the
mailing of the notice, the box may be opened in the presence of an officer
of the lessor and of a notary public. The contents shall be sealed in a
package by a notary public who shall write on the outside the name of the
lessee and the date of the opening. The notary public shall execute a
certificate reciting the name of the lessee, the date of the opening of the
box, and a list of its contents. The certificate shall be included in the
package, and a copy of the certificate shall be sent by certified mail to the
last known address of the lessee. The package shall then be placed in the
general vaults of the lessor at a rental not exceeding the rental previously
charged for the box. The lessor has a lien on the package and its contents
to the extent of any rental due and owing plus the actual, reasonable costs
of removing the contents from the safe-deposit box.

(2) If the contents of the safe-deposit box have not been claimed within
1 year after the mailing of the certificate, the lessor may send a further
notice to the last known address of the lessee stating that, unless the
accumulated charges are paid within 30 days, the contents of the box will
be sold at public auction at a specified time and place or, in the case of
securities listed on a stock exchange, will be sold upon the exchange on or
after a specified date and unsalable items will be destroyed. The time,
place, and manner of sale shall also be posted conspicuously on the
premises of the lessor and advertised once in a newspaper of general
circulation in the community. If the articles are not claimed, they may then
be sold in accordance with the notice. The balance of the proceeds, after
deducting accumulated charges, including the expenses of advertising and
conducting the sale, shall be deposited to the credit of the lessee in any
account maintained by the lessee, or, if none, shall be deemed a deposit
account with the financial institution operating the safe-deposit facility,



and shall be identified on the books of the financial institution as arising
from the sale of contents of a safe-deposit box.

(3) Any documents or writings of a private nature, and having little or
no apparent value, need not be offered for sale, but shall be retained, unless
claimed by the owner, for the period specified for unclaimed contents, after
which they may be destroyed.

HISTORY:
S. 70, ch. 92-303; s. 12, ch. 2004-340; s. 95, ch. 2004-390.



 Title XL. 
Fla. Stat. Title XL

TITLE XL.
REAL AND PERSONAL PROPERTY.

________
 Title XL. ,  Ch. 689. 

Fla. Stat. Title XL, Ch. 689



CHAPTER 689.
CONVEYANCES OF LAND AND DECLARATIONS OF

TRUST.
 Title XL. ,  Ch. 689. ,   689.01. 

Fla. Stat.  689.01

 689.01. How real estate conveyed. 
(1) No estate or interest of freehold, or for a term of more than 1 year, or

any uncertain interest of, in, or out of any messuages, lands, tenements, or
hereditaments shall be created, made, granted, transferred, or released in
any manner other than by instrument in writing, signed in the presence of
two subscribing witnesses by the party creating, making, granting,
conveying, transferring, or releasing such estate, interest, or term of more
than 1 year, or by the partys lawfully authorized agent, unless by will and
testament, or other testamentary appointment, duly made according to law;
and no estate or interest, either of freehold, or of term of more than 1 year,
or any uncertain interest of, in, to, or out of any messuages, lands,
tenements, or hereditaments, shall be assigned or surrendered unless it be
by instrument signed in the presence of two subscribing witnesses by the
party so assigning or surrendering, or by the partys lawfully authorized
agent, or by the act and operation of law; provided, however, that no
subscribing witnesses shall be required for a lease of real property or any
such instrument pertaining to a lease of real property. No seal shall be
necessary to give validity to any instrument executed in conformity with
this section. Corporations may execute any and all conveyances in
accordance with the provisions of this section or ss. 692.01 and 692.02.

(2) For purposes of this chapter:
(a) Any requirement that an instrument be signed in the presence of two

subscribing witnesses may be satisfied by witnesses being present and
electronically signing by means of audio-video communication technology,
as defined in s. 117.201.

(b) The act of witnessing an electronic signature is satisfied if a witness is
in the physical presence of the principal or present through audio-video



communication technology at the time the principal affixes his or her
electronic signature and the witness hears the principal make a statement
acknowledging that the principal has signed the electronic record.

(c) The terms used in this subsection have the same meanings as the terms
defined in s. 117.201.

(3) All acts of witnessing made or taken in the manner described in
subsection (2) are validated and, upon recording, may not be denied to
have provided constructive notice based on any alleged failure to have
strictly complied with this section or the laws governing notarization of
instruments, including online notarization. This subsection does not
preclude a challenge to the validity or enforceability of an instrument or
electronic record based upon fraud, forgery, impersonation, duress,
incapacity, undue influence, minority, illegality, unconscionability, or any
other basis not related to the act of witnessing.

HISTORY:
S. 1, Nov. 15, 1828; RS 1950; GS 2448; RGS 3787; CGL 5660; s. 4, ch.

20954, 1941; s. 751, ch. 97-102; s. 2, ch. 2008-35, eff. July 1, 2008; s. 21, ch.
2019-71, effective January 1, 2020; s. 1, ch. 2020-102, effective July 1, 2020.



 Title XL. ,  Ch. 689. ,   689.02. 
Fla. Stat.  689.02

 689.02. Form of warranty deed prescribed.
(1) Warranty deeds of conveyance to land may be in the following form,

viz.:
This indenture, made this _____ day of _____ A.D. _____, between

_____, of the County of _____ in the State of _____, party of the first part,
and _____, of the County of, in the State of _____, party of the second part,
witnesseth: That the said party of the first part, for and in consideration of the
sum of _____ dollars, to her or him in hand paid by the said party of the
second part, the receipt whereof is hereby acknowledged, has granted,
bargained and sold to the said party of the second part, her or his heirs and
assigns forever, the following described land, to wit:

And the said party of the first part does hereby fully warrant the title to
said land, and will defend the same against the lawful claims of all persons
whomsoever.

(2) The form for warranty deeds of conveyance to land shall include a
blank space for the property appraisers parcel identification number
describing the property conveyed, which number, if available, shall be
entered on the deed before it is presented for recording. The failure to
include such blank space or the parcel identification number, or the
inclusion of an incorrect parcel identification number, does not affect the
validity of the conveyance or the recordability of the deed. Such parcel
identification number is not a part of the legal description of the property
otherwise set forth in the deed and may not be used as a substitute for the
legal description of the property being conveyed.

HISTORY:
S. 1, ch. 4038, 1891; GS 2449; RGS 3788; CGL 5661; s. 1, ch. 87-66; s.

17, ch. 88-176; s. 60, ch. 89-356; s. 752, ch. 97-102; s. 1, ch. 2013-241, eff.
Oct. 1, 2013.



 Title XL. ,  Ch. 689. ,   689.03. 
Fla. Stat.  689.03

 689.03. Effect of such deed.
A conveyance executed substantially in the foregoing form shall be held to

be a warranty deed with full common-law covenants, and shall just as
effectually bind the grantor, and the grantors heirs, as if said covenants were
specifically set out therein. And this form of conveyance when signed by a
married woman shall be held to convey whatever interest in the property
conveyed which she may possess.

HISTORY:
S. 2, ch. 4038, 1891; GS 2450; RGS 3789; CGL 5662; s. 5, ch. 20954,

1941; s. 753, ch. 97-102.



 Title XL. ,  Ch. 689. ,   689.04. 
Fla. Stat.  689.04

 689.04. How executed.
Such deeds shall be executed and acknowledged as is now or may

hereafter be provided by the law regulating conveyances of realty by deed.

HISTORY:
S. 3, ch. 4038, 1891; GS 2451; RGS 3790; CGL 5663.



 Title XL. ,  Ch. 689. ,   689.041. 
Fla. Stat.  689.041

 689.041. Curative procedure for scriveners errors in deeds.
(1) As used in this section, the term:

(a) Erroneous deed means any deed, other than a quitclaim deed, which
contains a scriveners error.

(b) Intended real property means the real property vested in the grantor
and intended to be conveyed by the grantor in the erroneous deed.

(c) Scriveners error means a single error or omission in the legal
description of the intended real property in no more than one of the following
categories:

1. An error or omission in no more than one of the lot or block
identifications of a recorded platted lot; however, the transposition of the lot
and block identifications is considered one error for the purposes of this
subparagraph;

2. An error or omission in no more than one of the unit, building, or phase
identifications of a condominium or cooperative unit; or

3. An error or omission in no more than one directional designation or
numerical fraction of a tract of land that is described as a fractional portion of
a section, township, or range; however, an error or omission in the directional
description and numerical fraction of the same call is considered one error for
the purposes of this subparagraph.

The term scriveners error does not include any error in a document that
contains multiple errors.

(2) A deed that contains a scriveners error conveys title to the intended
real property as if there had been no scriveners error and, likewise, each
subsequent erroneous deed containing the identical scriveners error
conveys title to the intended real property as if there had been no such
error if all of the following apply:
(a) Record title to the intended real property was held by the grantor of the

first erroneous deed at the time the first erroneous deed was executed.



(b) Within the 5 years before the record date of the erroneous deed, the
grantor of any erroneous deed did not hold title to any other real property in
the same subdivision, condominium, or cooperative development or in the
same section, township, and range, described in the erroneous deed.

(c) The intended real property is not described exclusively by a metes and
bounds legal description.

(d) A curative notice is recorded in the official records of the county in
which the intended real property is located which evidences the intended real
property to be conveyed by the grantor.

(3) A curative notice must be in substantially the following form:
Curative Notice, Per Sec. 689.041, F.S.
Scriveners Error in Legal Description
The undersigned does hereby swear and affirm:
1. The deed which transferred title from (Insert Name) to (Insert Name) on
(Date) and recorded on (Record Date) in O.R. Book ____, Page ____,
and/or Instrument No. ____, of the official records of (Name of County),
Florida, (hereinafter referred to as first erroneous deed) contained the
following erroneous legal description:
(Insert Erroneous Legal Description)
2. The deed transferring title from (Insert Name) to (Insert Name) and
recorded on (Record Date) in O.R. Book ____, Page ____, and/or
Instrument No. ____, of the official records of (Name of County), Florida,
contains the same erroneous legal description described in the first
erroneous deed.
(Insert and repeat paragraph 2. as necessary to include each subsequent
erroneous deed in the chain of title containing the same erroneous legal
description)
3. I have examined the official records of the county in which the intended
real property is located and have determined that the deed dated (Date),
and recorded on (Record Date) in O.R. Book ____, Page ____, and/or
Instrument No. ____, official records of (Name of County), Florida,
establishes that record title to the intended real property was held by the



grantor of the first erroneous deed at the time the first erroneous deed was
executed.
4. I have examined or have had someone else examine the official records
of (Name of County), Florida, and certify that:
a. Record title to the intended real property was held by the grantor of the
first erroneous deed, (Insert Name), at the time that deed was executed.
b. The grantor of the first erroneous deed and the grantors of any
subsequent erroneous deeds listed above did not hold record title to any
property other than the intended real property in either the same
subdivision, condominium, or cooperative or the same section, township,
and range, if described in this manner, at any time within the 5 years
before the date that the erroneous deed was executed.
c. The intended real property is not described by a metes and bounds legal
description.
5. This notice is made to establish that the real property described as (insert
legal description of the intended real property) (hereinafter referred to as
the intended real property) was the real property that was intended to be
conveyed in the first erroneous deed and all subsequent erroneous deeds.
(Signature)
(Printed Name)
Sworn to (or affirmed) and subscribed before me this ____ day of____,
(year), by (name of person making statement).
(Signature of Notary Public - State of Florida)
(Print, Type, or Stamp Commissioned Name of Notary Public)
Personally Known ____ OR Produced Identification ____
Type of Identification Produced ____

(4) The clerk of the circuit court where the intended real property is
located shall accept and record curative notices in the form described in
subsection (3) as evidence of the intent of the grantor in the erroneous deed
to convey the intended real property to the grantee in the erroneous deed.

(5) A curative notice recorded pursuant to this section operates as a



correction of the first erroneous deed and all subsequent erroneous deeds
containing the same scriveners error described in the curative notice and
releases any cloud or encumbrance that any of the erroneous deeds may
have created as to any property other than the intended real property. The
correction relates back to the record date of the first erroneous deed.

(6) The remedies under this section are not exclusive and do not
abrogate any right or remedy under the laws of this state other than this
section.

History.
S. 1, ch. 2020-33, effective July 1, 2020.



 Title XL. ,  Ch. 689. ,   689.045. 
Fla. Stat.  689.045

 689.045. Conveyances to or by partnership.
(1) Any estate in real property may be acquired in the name of a limited

partnership. Title so acquired must be conveyed or encumbered in the
partnership name. Unless otherwise provided in the certificate of limited
partnership, a conveyance or encumbrance of real property held in the
partnership name, and any other instrument affecting title to real property
in which the partnership has an interest, must be executed in the
partnership name by one of the general partners.

(2) Every conveyance to a limited partnership in its name recorded
before January 1, 1972, as required by law while the limited partnership
was in existence is validated and is deemed to convey the title to the real
property described in the conveyance to the partnership named as grantee.

(3) When title to real property is held in the name of a limited
partnership or a general partnership, one of the general partners may
execute and record, in the public records of the county in which such
partnerships real property is located, an affidavit stating the names of the
general partners then existing and the authority of any general partner to
execute a conveyance, encumbrance, or other instrument affecting such
partnerships real property. The affidavit shall be conclusive as to the facts
therein stated as to purchasers without notice.

HISTORY:
S. 2, ch. 71-9; s. 71, ch. 86-263; s. 23, ch. 95-242.

Editors notes.
Former s. 620.081.



 Title XL. ,  Ch. 689. ,   689.05. 
Fla. Stat.  689.05

 689.05. How declarations of trust proved.
All declarations and creations of trust and confidence of or in any

messuages, lands, tenements or hereditaments shall be manifested and proved
by some writing, signed by the party authorized by law to declare or create
such trust or confidence, or by the partys last will and testament, or else they
shall be utterly void and of none effect; provided, always, that where any
conveyance shall be made of any lands, messuages or tenements by which a
trust or confidence shall or may arise or result by the implication or
construction of law, or be transferred or extinguished by the act and operation
of law, then, and in every such case, such trust or confidence shall be of the
like force and effect as the same would have been if this section had not been
made, anything herein contained to the contrary in anywise notwithstanding.

HISTORY:
S. 2, Nov. 15, 1828; RS 1951; GS 2452; RGS 3791; CGL 5664; s. 754, ch.

97-102.



 Title XL. ,  Ch. 689. ,   689.06. 
Fla. Stat.  689.06

 689.06. How trust estate conveyed.
All grants, conveyances, or assignments of trust or confidence of or in any

lands, tenements, or hereditaments, or of any estate or interest therein, shall
be by deed signed and delivered, in the presence of two subscribing
witnesses, by the party granting, conveying, or assigning, or by the partys
attorney or agent thereunto lawfully authorized, or by last will and testament
duly made and executed, or else the same shall be void and of no effect.

HISTORY:
S. 3, Nov. 15, 1828; RS 1952; GS 2453; RGS 3792; CGL 5665; s. 1, ch.

80-219; s. 755, ch. 97-102.



 Title XL. ,  Ch. 689. ,   689.07. 
Fla. Stat.  689.07

 689.07. Trustee or as trustee added to name of grantee, transferee,
assignee, or mortgagee transfers interest or creates lien as if
additional word or words not used.
(1) Every deed or conveyance of real estate heretofore or hereafter made

or executed in which the words trustee or as trustee are added to the
name of the grantee, and in which no beneficiaries are named, the nature
and purposes of the trust, if any, are not set forth, and the trust is not
identified by title or date, shall grant and is hereby declared to have granted
a fee simple estate with full power and authority in and to the grantee in
such deed to sell, convey, and grant and encumber both the legal and
beneficial interest in the real estate conveyed, unless a contrary intention
shall appear in the deed or conveyance; provided, that there shall not
appear of record among the public records of the county in which the real
property is situate at the time of recording of such deed or conveyance, a
declaration of trust by the grantee so described declaring the purposes of
such trust, if any, declaring that the real estate is held other than for the
benefit of the grantee.

(2) Every instrument heretofore or hereafter made or executed
transferring or assigning an interest in real property in which the words
trustee or as trustee are added to the name of the transferee or
assignee, and in which no beneficiaries are named, the nature and purposes
of the trust, if any, are not set forth, and the trust is not identified by title or
date, shall transfer and assign, and is hereby declared to have transferred
and assigned, the interest of the transferor or assign or to the transferee or
assignee with full power and authority to transfer, assign, and encumber
such interest, unless a contrary intention shall appear in the instrument;
provided that there shall not appear of record among the public records of
the county in which the real property is situate at the time of the recording
of such instrument, a declaration of trust by the assignee or transferee so
described declaring the purposes of such trust, if any, or declaring that the
interest in real property is held other than for the benefit of the transferee
or assignee.

(3) Every mortgage of any interest in real estate or assignment thereof



heretofore or hereafter made or executed in which the words trustee or
as trustee are added to the name of the mortgagee or assignee, and in
which no beneficiaries are named, the nature and purposes of the trust, if
any, are not set forth, and the trust is not identified by title or date, shall
vest and is hereby declared to have vested full rights of ownership to such
mortgage or assignment and the lien created thereby with full power in
such mortgagee or assignee to assign, hypothecate, release, satisfy, or
foreclose such mortgage unless a contrary intention shall appear in the
mortgage or assignment; provided that there shall not appear of record
among the public records of the county in which the property constituting
security is situate at the time of recording of such mortgage or assignment,
a declaration of trust by such mortgagee or assignee declaring the purposes
of such trust, if any, or declaring that such mortgage is held other than for
the benefit of the mortgagee or assignee.

(4) Nothing herein contained shall prevent any person from causing any
declaration of trust to be recorded before or after the recordation of the
instrument evidencing title or ownership of property in a trustee; nor shall
this section be construed as preventing any beneficiary under an
unrecorded declaration of trust from enforcing the terms thereof against the
trustee; provided, however, that any grantee, transferee, assignee, or
mortgagee, or person obtaining a release or satisfaction of mortgage from
such trustee for value prior to the placing of record of such declaration of
trust among the public records of the county in which such real property is
situate, shall take such interest or hold such previously mortgaged property
free and clear of the claims of the beneficiaries of such declaration of trust
and of anyone claiming by, through or under such beneficiaries, and such
person need not see to the application of funds furnished to obtain such
transfer of interest in property or assignment or release or satisfaction of
mortgage thereon.

(5) In all cases in which tangible personal property is or has been sold,
transferred, or mortgaged in a transaction in conjunction with and
subordinate to the transfer or mortgage of real property, and the personal
property so transferred or mortgaged is physically located on and used in
conjunction with such real property, the prior provisions of this section are
applicable to the transfer or mortgage of such personal property, and,
where the prior provisions of this section in fact apply to a transfer or



mortgage of personal property, then any transferee or mortgagee of such
tangible personal property shall take such personal property free and clear
of the claims of the beneficiaries under such declaration of trust (if any),
and of the claims of anyone claiming by, through, or under such
beneficiaries, and the release or satisfaction of a mortgage on such personal
property by such trustee shall release or satisfy such personal property
from the claims of the beneficiaries under such declaration of trust, if any,
and from the claims of anyone claiming by, through, or under such
beneficiaries.

HISTORY:
S. 1, ch. 6925, 1915; s. 10, ch. 7838, 1919; RGS 3793; CGL 5666; s. 1, ch.

59-251; s. 1, ch. 2004-19.

Editors notes.
Section 2, ch. 2004-19 provides: The amendments to section 689.07,

Florida Statutes, provided by this act are intended to clarify existing law and
shall apply retroactively.



 Title XL. ,  Ch. 689. ,   689.071. 
Fla. Stat.  689.071

 689.071. Florida Land Trust Act.
(1) Short title.  This section may be cited as the Florida Land Trust

Act.
(2) Definitions.  As used in this section, the term:

(a) Beneficial interest means any interest, vested or contingent and
regardless of how small or minimal such interest may be, in a land trust
which is held by a beneficiary.

(b) Beneficiary means any person or entity having a beneficial interest in
a land trust. A trustee may be a beneficiary of the land trust for which such
trustee serves as trustee.

(c) Land trust means any express written agreement or arrangement by
which a use, confidence, or trust is declared of any land, or of any charge
upon land, under which the title to real property, including, but not limited to,
a leasehold or mortgagee interest, is vested in a trustee by a recorded
instrument that confers on the trustee the power and authority prescribed in s.
689.073(1) and under which the trustee has no duties other than the
following:

1. The duty to convey, sell, lease, mortgage, or deal with the trust property,
or to exercise such other powers concerning the trust property as may be
provided in the recorded instrument, in each case as directed by the
beneficiaries or by the holder of the power of direction;

2. The duty to sell or dispose of the trust property at the termination of the
trust;

3. The duty to perform ministerial and administrative functions delegated
to the trustee in the trust agreement or by the beneficiaries or the holder of the
power of direction; or

4. The duties required of a trustee under chapter 721, if the trust is a
timeshare estate trust complying with s. 721.08(2)(c)4. or a vacation club
trust complying with s. 721.53(1)(e).

However, the duties of the trustee of a land trust created before June 28,



2013 may exceed the limited duties listed in this paragraph to the extent
authorized in subsection (12).
(d) Power of direction means the authority of a person, as provided in

the trust agreement, to direct the trustee of a land trust to convey property or
interests, execute a lease or mortgage, distribute proceeds of a sale or
financing, and execute documents incidental to the administration of a land
trust.

(e) Recorded instrument has the same meaning as provided in s.
689.073(1).

(f) Trust agreement means the written agreement governing a land trust
or other trust, including any amendments.

(g) Trust property means any interest in real property, including, but not
limited to, a leasehold or mortgagee interest, conveyed by a recorded
instrument to a trustee of a land trust or other trust.

(h) Trustee means the person designated in a recorded instrument or trust
agreement to hold title to the trust property of a land trust or other trust.

(3) Ownership vests in trustee.  Every recorded instrument
transferring any interest in real property to the trustee of a land trust and
conferring upon the trustee the power and authority prescribed in s.
689.073(1), whether or not reference is made in the recorded instrument to
the beneficiaries of such land trust or to the trust agreement or any separate
collateral unrecorded declarations or agreements, is effective to vest, and is
hereby declared to have vested, in such trustee both legal and equitable
title, and full rights of ownership, over the trust property or interest therein,
with full power and authority as granted and provided in the recorded
instrument to deal in and with the trust property or interest therein or any
part thereof. The recorded instrument does not itself create an entity,
regardless of whether the relationship among the beneficiaries and the
trustee is deemed to be an entity under other applicable law.

(4) Statute of uses inapplicable.  Section 689.09 and the statute of
uses do not execute a land trust or vest the trust property in the beneficiary
or beneficiaries of the land trust, notwithstanding any lack of duties on the
part of the trustee or the otherwise passive nature of the land trust.

(5) Doctrine of merger inapplicable.  The doctrine of merger does



not extinguish a land trust or vest the trust property in the beneficiary or
beneficiaries of the land trust, regardless of whether the trustee is the sole
beneficiary of the land trust.

(6) Personal property.  In all cases in which the recorded instrument
or the trust agreement, as hereinabove provided, contains a provision
defining and declaring the interests of beneficiaries of a land trust to be
personal property only, such provision is controlling for all purposes when
such determination becomes an issue under the laws or in the courts of this
state. If no such personal property designation appears in the recorded
instrument or in the trust agreement, the interests of the land trust
beneficiaries are real property.

(7) Trustee liability.  In addition to any other limitation on personal
liability existing pursuant to statute or otherwise, the provisions of ss.
736.08125 and 736.1013 apply to the trustee of a land trust created
pursuant to this section.

(8) Land trust beneficiaries. 
(a) Except as provided in this section, the beneficiaries of a land trust are

not liable, solely by being beneficiaries, under a judgment, decree, or order of
court or in any other manner for a debt, obligation, or liability of the land
trust. Any beneficiary acting under the trust agreement of a land trust is not
liable to the land trusts trustee or to any other beneficiary for the
beneficiarys good faith reliance on the provisions of the trust agreement. A
beneficiarys duties and liabilities under a land trust may be expanded or
restricted in a trust agreement or beneficiary agreement.

(b)1. If provided in the recorded instrument, in the trust agreement, or in a
beneficiary agreement:
a. A particular beneficiary may own the beneficial interest in a particular

portion or parcel of the trust property of a land trust;
b. A particular person may be the holder of the power of direction with

respect to the trustees actions concerning a particular portion or parcel of the
trust property of a land trust; and

c. The beneficiaries may own specified proportions or percentages of the
beneficial interest in the trust property or in particular portions or parcels of
the trust property of a land trust.



2. Multiple beneficiaries may own a beneficial interest in a land trust as
tenants in common, joint tenants with right of survivorship, or tenants by the
entireties.

(c) If a beneficial interest in a land trust is determined to be personal
property as provided in subsection (6), chapter 679 applies to the perfection
of any security interest in that beneficial interest. If a beneficial interest in a
land trust is determined to be real property as provided in subsection (6), then
to perfect a lien or security interest against that beneficial interest, the
mortgage, deed of trust, security agreement, or other similar security
document must be recorded in the public records of the county that is
specified for such security documents in the recorded instrument or in a
declaration of trust or memorandum of such declaration of trust recorded in
the public records of the same county as the recorded instrument. If no
county is so specified for recording such security documents, the proper
county for recording such a security document against a beneficiarys interest
in any trust property is the county where the trust property is located. The
perfection of a lien or security interest in a beneficial interest in a land trust
does not affect, attach to, or encumber the legal or equitable title of the
trustee in the trust property and does not impair or diminish the authority of
the trustee under the recorded instrument, and parties dealing with the trustee
are not required to inquire into the terms of the unrecorded trust agreement or
any lien or security interest against a beneficial interest in the land trust.

(d) The trustees legal and equitable title to the trust property of a land trust
is separate and distinct from the beneficial interest of a beneficiary in the land
trust and in the trust property. A lien, judgment, mortgage, security interest,
or other encumbrance attaching to the trustees legal and equitable title to the
trust property of a land trust does not attach to the beneficial interest of any
beneficiary; and any lien, judgment, mortgage, security interest, or other
encumbrance against a beneficiary or beneficial interest does not attach to the
legal or equitable title of the trustee to the trust property held under a land
trust, unless the lien, judgment, mortgage, security interest, or other
encumbrance by its terms or by operation of other law attaches to both the
interest of the trustee and the interest of such beneficiary.

(e) Any subsequent document appearing of record in which a beneficiary
of a land trust transfers or encumbers any beneficial interest in the land trust
does not transfer or encumber the legal or equitable title of the trustee to the



trust property and does not diminish or impair the authority of the trustee
under the terms of the recorded instrument. Parties dealing with the trustee of
a land trust are not required to inquire into the terms of the unrecorded trust
agreement.

(f) The trust agreement for a land trust may provide that one or more
persons have the power to direct the trustee to convey property or interests,
execute a mortgage, distribute proceeds of a sale or financing, and execute
documents incidental to administration of the land trust. The power of
direction, unless provided otherwise in the trust agreement of the land trust, is
conferred upon the holders of the power for the use and benefit of all holders
of any beneficial interest in the land trust. In the absence of a provision in the
trust agreement of a land trust to the contrary, the power of direction shall be
in accordance with the percentage of individual ownership. In exercising the
power of direction, the holders of the power of direction are presumed to act
in a fiduciary capacity for the benefit of all holders of any beneficial interest
in the land trust, unless otherwise provided in the trust agreement. A
beneficial interest in a land trust is indefeasible, and the power of direction
may not be exercised so as to alter, amend, revoke, terminate, defeat, or
otherwise affect or change the enjoyment of any beneficial interest in a land
trust.

(g) A land trust does not fail, and any use relating to the trust property may
not be defeated, because beneficiaries are not specified by name in the
recorded instrument to the trustee or because duties are not imposed upon the
trustee. The power conferred by any recorded instrument on a trustee of a
land trust to sell, lease, encumber, or otherwise dispose of property described
in the recorded instrument is effective, and a person dealing with the trustee
of a land trust is not required to inquire any further into the right of the
trustee to act or the disposition of any proceeds.

(h) The principal residence of a beneficiary shall be entitled to the
homestead tax exemption even if the homestead is held by a trustee in a land
trust, provided the beneficiary qualifies for the homestead exemption under
chapter 196.

(i) In a foreclosure against trust property or other litigation
affecting the title to trust property of a land trust, the appointment of a
guardian ad litem is not necessary to represent the interest of any



beneficiary.
(9) Successor trustee. 

(a) If the recorded instrument and the unrecorded trust agreement are silent
as to the appointment of a successor trustee of a land trust in the event of the
death, incapacity, resignation, or termination due to dissolution of a trustee or
if a trustee is unable to serve as trustee of a land trust, one or more persons
having the power of direction may appoint a successor trustee or trustees of
the land trust by filing a declaration of appointment of a successor trustee or
trustees in the public records of the county in which the trust property is
located. The declaration must be signed by a beneficiary or beneficiaries of
the land trust and by the successor trustee or trustees, must be acknowledged
in the manner provided for acknowledgment of deeds, and must contain:

1. The legal description of the trust property.
2. The name and address of the former trustee.
3. The name and address of the successor trustee or trustees.
4. A statement that one or more persons having the power of direction of

the land trust appointed the successor trustee or trustees, together with an
acceptance of appointment by the successor trustee or trustees.

(b) If the recorded instrument is silent as to the appointment of a successor
trustee or trustees of a land trust but an unrecorded trust agreement provides
for the appointment of a successor trustee or trustees in the event of the death,
incapacity, resignation, or termination due to dissolution of the trustee of a
land trust, then upon the appointment of any successor trustee pursuant to the
terms of the unrecorded trust agreement, the successor trustee or trustees shall
file a declaration of appointment of a successor trustee in the public records
of the county in which the trust property is located. The declaration must be
signed by both the former trustee and the successor trustee or trustees, must
be acknowledged in the manner provided for acknowledgment of deeds, and
must contain:

1. The legal description of the trust property.
2. The name and address of the former trustee.
3. The name and address of the successor trustee or trustees.



4. A statement of resignation by the former trustee and a statement of
acceptance of appointment by the successor trustee or trustees.

5. A statement that the successor trustee or trustees were duly appointed
under the terms of the unrecorded trust agreement.

If the appointment of any successor trustee of a land trust is due to the
death or incapacity of the former trustee, the declaration need not be signed
by the former trustee and a copy of the death certificate or a statement that
the former trustee is incapacitated or unable to serve must be attached to or
included in the declaration, as applicable.
(c) If the recorded instrument provides for the appointment of any

successor trustee of a land trust and any successor trustee is appointed in
accordance with the recorded instrument, no additional declarations of
appointment of any successor trustee are required under this section.

(d) Each successor trustee appointed with respect to a land trust is fully
vested with all the estate, properties, rights, powers, trusts, duties, and
obligations of the predecessor trustee, except that any successor trustee of a
land trust is not under any duty to inquire into the acts or omissions of a
predecessor trustee and is not liable for any act or failure to act of a
predecessor trustee. A person dealing with any successor trustee of a land
trust pursuant to a declaration filed under this section is not obligated to
inquire into or ascertain the authority of the successor trustee to act within or
exercise the powers granted under the recorded instruments or any
unrecorded trust agreement.

(e) A trust agreement may provide that the trustee of a land trust, when
directed to do so by the holder of the power of direction or by the
beneficiaries of the land trust or legal representatives of the beneficiaries,
may convey the trust property directly to another trustee on behalf of the
beneficiaries or to another representative named in such directive.

(10) Trustee as creditor. 
(a) If a debt is secured by a security interest or mortgage against a

beneficial interest in a land trust or by a mortgage on trust property of a land
trust, the validity or enforceability of the debt, security interest, or mortgage
and the rights, remedies, powers, and duties of the creditor with respect to the
debt or the security are not affected by the fact that the creditor and the



trustee are the same person, and the creditor may extend credit, obtain any
necessary security interest or mortgage, and acquire and deal with the
property comprising the security as though the creditor were not the trustee.

(b) A trustee of a land trust does not breach a fiduciary duty to the
beneficiaries, and it is not evidence of a breach of any fiduciary duty owed by
the trustee to the beneficiaries for a trustee to be or become a secured or
unsecured creditor of the land trust, the beneficiary of the land trust, or a third
party whose debt to such creditor is guaranteed by a beneficiary of the land
trust.

(11) Notices to trustee.  Any notice required to be given to a trustee
of a land trust regarding trust property by a person who is not a party to the
trust agreement must identify the trust property to which the notice pertains
or include the name and date of the land trust to which the notice pertains,
if such information is shown on the recorded instrument for such trust
property.

(12) Determination of applicable law.  Except as otherwise provided
in this section, chapter 736 does not apply to a land trust governed by this
section.
(a) A trust is not a land trust governed by this section if there is no

recorded instrument that confers on the trustee the power and authority
prescribed in s. 689.073(1).

(b) For a trust created before June 28, 2013:
1. The trust is a land trust governed by this section if a recorded instrument

confers on the trustee the power and authority described in s. 689.073(1) and
if:

a. The recorded instrument or the trust agreement expressly provides that
the trust is a land trust; or

b. The intent of the parties that the trust be a land trust is discerned from
the trust agreement or the recorded instrument,

without regard to whether the trustees duties under the trust agreement are
greater than those limited duties described in paragraph (2)(c).
2. The trust is not a land trust governed by this section if:



a. The recorded instrument or the trust agreement expressly provides that
the trust is to be governed by chapter 736, or by any predecessor trust code or
other trust law other than this section; or

b. The intent of the parties that the trust be governed by chapter 736, or by
any predecessor trust code or other trust law other than this section, is
discerned from the trust agreement or the recorded instrument,

without regard to whether the trustees duties under the trust agreement are
greater than those limited duties listed in paragraph (2)(c), and without
consideration of any references in the trust agreement to provisions of
chapter 736 made applicable to the trust by chapter 721, if the trust is a
timeshare estate trust complying with s. 721.08(2)(c)4. or a vacation club
trust complying with s. 721.53(1)(e).
3. Solely for the purpose of determining the law governing a trust under

subparagraph 1. or subparagraph 2., the determination shall be made without
consideration of any amendment to the trust agreement made on or after June
28, 2013, except as provided in paragraph (d).

4. If the determination of whether a trust is a land trust governed by this
section cannot be made under either subparagraph 1. or subparagraph 2., the
determination shall be made under paragraph (c) as if the trust was created on
or after June 28, 2013.

(c) If a recorded instrument confers on the trustee the power and authority
described in s. 689.073(1) and the trust was created on or after June 28, 2013,
the trust shall be determined to be a land trust governed by this section only if
the trustees duties under the trust agreement, including any amendment
made on or after such date, are no greater than those limited duties described
in paragraph (2)(c).

(d) If the trust agreement for a land trust created before June 28, 2013, is
amended on or after such date to add to or increase the duties of the trustee
beyond the duties provided in the trust agreement as of June 28, 2013, the
trust shall remain a land trust governed by this section only if the additional
or increased duties of the trustee implemented by the amendment are no
greater than those limited duties described in paragraph (2)(c).

(13) Uniform commercial code transition rule.  This section does
not render ineffective any effective Uniform Commercial Code financing



statement filed before July 1, 2014, to perfect a security interest in a
beneficial interest in a land trust that is determined to be real property as
provided in subsection (6), but such a financing statement ceases to be
effective at the earlier of July 1, 2019, or the time the financing statement
would have ceased to be effective under the law of the jurisdiction in
which it is filed, and the filing of a Uniform Commercial Code
continuation statement after July 1, 2014, does not continue the
effectiveness of such a financing statement. The recording of a mortgage,
deed of trust, security agreement, or other similar security document
against such a beneficial interest that is real property in the public records
specified in paragraph (8)(c) continues the effectiveness and priority of a
financing statement filed against such a beneficial interest before July 1,
2014, if:
(a) The recording of the security document in that county is effective to

perfect a lien on such beneficial interest under paragraph (8)(c);
(b) The recorded security document identifies a financing statement filed

before July 1, 2014, by indicating the office in which the financing statement
was filed and providing the dates of filing and the file numbers, if any, of the
financing statement and of the most recent continuation statement filed with
respect to the financing statement; and

(c) The recorded security document indicates that such financing statement
filed before July 1, 2014, remains effective.

If no original security document bearing the debtors signature is readily
available for recording in the public records, a secured party may proceed
under this subsection with such financing statement filed before July 1,
2014, by recording a copy of a security document verified by the secured
party as being a true and correct copy of an original authenticated by the
debtor. This subsection does not apply to the perfection of a security
interest in any beneficial interest in a land trust that is determined to be
personal property under subsection (6).

(14) Remedial act.  This act is remedial in nature and shall be given a
liberal interpretation to effectuate the intent and purposes hereinabove
expressed.

(15) Exclusion.  This act does not apply to any deed, mortgage, or



other instrument to which s. 689.07 applies.

HISTORY:
SS. 1, 2, 3, 4, 5, 6, ch. 63-468; s. 1, ch. 84-31; s. 2, ch. 2002-233; s. 21, ch.

2006-217, eff. July 1, 2007; s. 1, ch. 2006-274, eff. Oct. 1, 2006; s. 7, ch.
2007-153, eff. July 1, 2007; s. 2, ch. 2013-240, eff. June 28, 2013.

Applicability.
Section 3, ch. 2006-274, provides: This act is intended to clarify existing

law and applies to all land trusts whether created before, on, or after October
1, 2006.



 Title XL. ,  Ch. 689. ,   689.072. 
Fla. Stat.  689.072

 689.072. Real estate interests transferred to or by a custodian or
trustee of an individual retirement account or qualified plan.

(1)(a) A conveyance, deed, mortgage, lease assignment, or other recorded
instrument that transfers an interest in real property in this state, including
a leasehold or mortgagee interest, to a person who is qualified to act as a
custodian or trustee for an individual retirement account under 26 U.S.C. s.
408(a)(2), as amended, in which instrument the transferee is designated
custodian, as custodian, trustee, or as trustee and the account
owner or beneficiary of the custodianship in the individual retirement
account is named, creates custodial property and transfers title to the
custodian or trustee when an interest in real property is recorded in the
name of the custodian or trustee, followed by the words as custodian or
trustee for the benefit of (name of individual retirement account owner or
beneficiary) individual retirement account.
(b) This section also applies to a qualified stock bonus, pension, or profit-

sharing plan created under 26 U.S.C. s. 401(a), as amended, in which
instrument a person is designated custodian, as custodian, trustee, or
as trustee and the plan, plan participant, or plan beneficiary of the
custodianship in the plan also creates custodial property and transfers title to
the custodian or trustee when an interest in real property is recorded in the
name of the custodian or trustee, followed by the words as custodian, or
trustee of the (name of plan) for the benefit of (name of plan participant or
beneficiary).

(2) A transfer to a custodian or trustee of an individual retirement
account or qualified plan pursuant to this section incorporates the
provisions of this section into the disposition and grants to the custodian or
trustee the power to protect, conserve, sell, lease, encumber, or otherwise
manage and dispose of the real property described in the recorded
instrument without joinder of the named individual retirement account
owner, plan participant, or beneficiary, except as provided in subsection
(5).

(3) A person dealing with the custodian or trustee does not have a duty



to inquire as to the qualifications of the custodian or trustee and may rely
on the powers of the custodian or trustee for the custodial property created
under this section regardless of whether such powers are specified in the
recorded instrument. A grantee, mortgagee, lessee, transferee, assignee, or
person obtaining a satisfaction or release or otherwise dealing with the
custodian or trustee regarding such custodial property is not required to
inquire into:
(a) The identification or status of any named individual retirement account

owner, plan participant, or beneficiary of the individual retirement account or
qualified plan or his or her heirs or assigns to whom a custodian or trustee
may be accountable under the terms of the individual retirement account
agreement or qualified plan document;

(b) The authority of the custodian or trustee to act within and exercise the
powers granted under the individual retirement account agreement or
qualified plan document;

(c) The adequacy or disposition or any consideration provided to the
custodian or trustee in connection with any interest acquired from such
custodian or trustee; or

(d) Any provision of an individual retirement account agreement or
qualified plan document.

(4) A person dealing with the custodian or trustee under the recorded
instrument takes any interest transferred by such custodian or trustee,
within the authority provided under this section, free of claims of the
named owner, plan participant, or beneficiary of the individual retirement
account or qualified plan or of anyone claiming by, through, or under such
owner, plan participant, or beneficiary.

(5) If notice of the revocation or termination of the individual retirement
account agreement, qualified plan, or custodianship established under such
individual retirement account agreement or qualified plan is recorded, any
disposition or encumbrance of the custodial property must be by an
instrument executed by the custodian or trustee or the successor and the
respective owner, plan participant, or beneficiary of the individual
retirement account or qualified plan.

(6) In dealing with custodial property created under this section, a



custodian or trustee shall observe the standard of care of a prudent person
dealing with property of another person. This section does not relieve the
custodian or trustee from liability for breach of the individual retirement
account agreement, custodial agreement, or qualified plan document.

(7) A provision of the recorded instrument that defines and declares the
interest of the owner, plan participant, or beneficiary of the individual
retirement account or qualified plan to be personal property controls only if
a determination becomes an issue in any legal proceeding.

(8) As used in this section, the term beneficiary applies only when the
individual retirement account owner or qualified plan participant is
deceased.
(9)(a) This section does not apply to any deed, mortgage, or instrument to
which s. 689.071 applies.
(b) Section 689.09 does not apply to transfers of real property interests to a

custodian or trustee under this section.
(10) This section is remedial and shall be liberally construed to

effectively carry out its purposes.

HISTORY:
S. 1, ch. 2006-147, eff. July 1, 2006.



 Title XL. ,  Ch. 689. ,   689.073. 
Fla. Stat.  689.073

 689.073. Powers conferred on trustee in recorded instrument.
(1) Ownership vests in trustee.  Every conveyance, deed, mortgage,

lease assignment, or other instrument heretofore or hereafter made,
hereinafter referred to as the recorded instrument, transferring any
interest in real property, including, but not limited to, a leasehold or
mortgagee interest, to any person or any corporation, bank, trust company,
or other entity duly formed under the laws of its state of qualification,
which recorded instrument designates the person, corporation, bank, trust
company, or other entity trustee or as trustee and confers on the trustee
the power and authority to protect, to conserve, to sell, to lease, to
encumber, or otherwise to manage and dispose of the real property
described in the recorded instrument, is effective to vest, and is declared to
have vested, in such trustee full power and authority as granted and
provided in the recorded instrument to deal in and with such property, or
interest therein or any part thereof, held in trust under the recorded
instrument.

(2) No duty to inquire.  Any grantee, mortgagee, lessee, transferee,
assignee, or person obtaining satisfactions or releases or otherwise in any
way dealing with the trustee with respect to the real property or any
interest in such property held in trust under the recorded instrument, as
hereinabove provided for, is not obligated to inquire into the identification
or status of any named or unnamed beneficiaries, or their heirs or assigns
to whom a trustee may be accountable under the terms of the recorded
instrument, or under any unrecorded separate declarations or agreements
collateral to the recorded instrument, whether or not such declarations or
agreements are referred to therein; or to inquire into or ascertain the
authority of such trustee to act within and exercise the powers granted
under the recorded instrument; or to inquire into the adequacy or
disposition of any consideration, if any is paid or delivered to such trustee
in connection with any interest so acquired from such trustee; or to inquire
into any of the provisions of any such unrecorded declarations or
agreements.

(3) Beneficiary claims.  All persons dealing with the trustee under



the recorded instrument as hereinabove provided take any interest
transferred by the trustee thereunder, within the power and authority as
granted and provided therein, free and clear of the claims of all the named
or unnamed beneficiaries of such trust, and of any unrecorded declarations
or agreements collateral thereto whether referred to in the recorded
instrument or not, and of anyone claiming by, through, or under such
beneficiaries. However, this section does not prevent a beneficiary of any
such unrecorded collateral declarations or agreements from enforcing the
terms thereof against the trustee.

(4) Exclusion.  This section does not apply to any deed, mortgage, or
other instrument to which s. 689.07 applies.

(5) Applicability.  The section applies without regard to whether any
reference is made in the recorded instrument to the beneficiaries of such
trust or to any separate collateral unrecorded declarations or agreements,
without regard to the provisions of any unrecorded trust agreement or
declaration of trust, and without regard to whether the trust is governed by
s. 689.071 or chapter 736. This section applies both to recorded
instruments that are recorded after June 28, 2013, and to recorded
instruments that were previously recorded and governed by similar
provisions contained in s. 689.071(3), Florida Statutes 2012, and any such
recorded instrument purporting to confer power and authority on a trustee
under such provisions of s. 689.071(3), Florida Statutes 2012, is valid and
has the effect of vesting full power and authority in such trustee as
provided in this section.

HISTORY:
S. 1, ch. 2013-240, eff. June 28, 2013.



 Title XL. ,  Ch. 689. ,   689.075. 
Fla. Stat.  689.075

 689.075. Inter vivos trusts; powers retained by settlor.
(1) A trust which is otherwise valid and which complies with s.

736.0403, including, but not limited to, a trust the principal of which is
composed of real property, intangible personal property, tangible personal
property, the possible expectancy of receiving as a named beneficiary
death benefits as described in s. 733.808, or any combination thereof, and
which has been created by a written instrument shall not be held invalid or
an attempted testamentary disposition for any one or more of the following
reasons:
(a) Because the settlor or another person or both possess the power to

revoke, amend, alter, or modify the trust in whole or in part;
(b) Because the settlor or another person or both possess the power to

appoint by deed or will the persons and organizations to whom the income
shall be paid or the principal distributed;

(c) Because the settlor or another person or both possess the power to add
to, or withdraw from, the trust all or any part of the principal or income at
one time or at different times;

(d) Because the settlor or another person or both possess the power to
remove the trustee or trustees and appoint a successor trustee or trustees;

(e) Because the settlor or another person or both possess the power to
control the trustee or trustees in the administration of the trust;

(f) Because the settlor has retained the right to receive all or part of the
income of the trust during her or his life or for any part thereof; or

(g) Because the settlor is, at the time of the execution of the instrument, or
thereafter becomes, sole trustee.

(2) Nothing contained herein shall affect the validity of those accounts,
including but not limited to bank accounts, share accounts, deposits,
certificates of deposit, savings certificates, and other similar arrangements,
heretofore or hereafter established at any bank, savings and loan
association, or credit union by one or more persons, in trust for one or



more other persons, which arrangements are, by their terms, revocable by
the person making the same until her or his death or incompetency.

(3) The fact that any one or more of the powers specified in subsection
(1) are in fact exercised once, or more than once, shall not affect the
validity of the trust or its nontestamentary character.

(4) This section shall be applicable to trusts executed before or after July
1, 1969, by persons who are living on or after said date.

(5) The amendment of this section, by chapter 75-74, Laws of Florida, is
intended to clarify the legislative intent of this section at the time of its
original enactment that it apply to all otherwise valid trusts which are
created by written instrument and which are not expressly excluded by the
terms of this section and that no such trust shall be declared invalid for any
of the reasons stated in subsections (1) and (3) regardless of whether the
trust involves or relates to an interest in real property.

HISTORY:
SS. 1, 2, ch. 69-192; s. 1, ch. 69-1747; ss. 1, 2, ch. 71-126; s. 169, ch. 73-

333; s. 1, ch. 74-78; ss. 1, 2, ch. 75-74; s. 5, ch. 95-401; s. 756, ch. 97-102; s.
22, ch. 2006-217, eff. July 1, 2007.



 Title XL. ,  Ch. 689. ,   689.08. 
Fla. Stat.  689.08

 689.08. Fines and common recoveries.
Conveyance by fine or by common recovery shall never be used in this

state.

HISTORY:
S. 2, Feb. 4, 1835; RS 1953; GS 2454; RGS 3794; CGL 5667.



 Title XL. ,  Ch. 689. ,   689.09. 
Fla. Stat.  689.09

 689.09. Deeds under statute of uses.
By deed of bargain and sale, or by deed of lease and release, or of covenant

to stand seized to the use of any other person, or by deed operating by way of
covenant to stand seized to the use of another person, of or in any lands or
tenements in this state, the possession of the bargainor, releasor or covenantor
shall be deemed and adjudged to be transferred to the bargainee, releasee or
person entitled to the use as perfectly as if such bargainee, releasee or person
entitled to the use had been enfeoffed by livery of seizin of the land conveyed
by such deed of bargain and sale, release or covenant to stand seized;
provided, that livery of seizin can be lawfully made of the lands or tenements
at the time of the execution of the said deeds or any of them.

HISTORY:
S. 12, Nov. 15, 1828; RS 1954; GS 2455; RGS 3795; CGL 5668.



 Title XL. ,  Ch. 689. ,   689.10. 
Fla. Stat.  689.10

 689.10. Words of limitation and the words fee simple dispensed with.
Where any real estate has heretofore been conveyed or granted or shall

hereafter be conveyed or granted without there being used in the said deed or
conveyance or grant any words of limitation, such as heirs or successors, or
similar words, such conveyance or grant, whether heretofore made or
hereafter made, shall be construed to vest the fee simple title or other whole
estate or interest which the grantor had power to dispose of at that time in the
real estate conveyed or granted, unless a contrary intention shall appear in the
deed, conveyance or grant.

HISTORY:
S. 1, ch. 5145, 1903; GS 2456; RGS 3796; s. 1, ch. 10170, 1925; CGL

5669.



 Title XL. ,  Ch. 689. ,   689.11. 
Fla. Stat.  689.11

 689.11. Conveyances between husband and wife direct; homestead.
(1) A conveyance of real estate, including homestead, made by one

spouse to the other shall convey the legal title to the grantee spouse in all
cases in which it would be effectual if the parties were not married, and the
grantee need not execute the conveyance. An estate by the entirety may be
created by the action of the spouse holding title:
(a) Conveying to the other by a deed in which the purpose to create the

estate is stated; or
(b) Conveying to both spouses.

(2) All deeds heretofore made by a husband direct to his wife or by a
wife direct to her husband are hereby validated and made as effectual to
convey the title as they would have been were the parties not married;

(3) Provided, that nothing herein shall be construed as validating any
deed made for the purpose, or that operates to defraud any creditor or to
avoid payment of any legal debt or claim; and

(4) Provided further that this section shall not apply to any conveyance
heretofore made, the validity of which shall be contested by suit
commenced within 1 year of the effective date of this law.

HISTORY:
S. 1, ch. 5147, 1903; GS 2457; RGS 3797; CGL 5670; s. 6, ch. 20954,

1941; s. 1, ch. 23964, 1947; s. 1, ch. 71-54.



 Title XL. ,  Ch. 689. ,   689.111. 
Fla. Stat.  689.111

 689.111. Conveyances of homestead; power of attorney.
(1) A deed or mortgage of homestead realty owned by an unmarried

person may be executed by virtue of a power of attorney executed in the
same manner as a deed.

(2) A deed or mortgage of homestead realty owned by a married person,
or owned as an estate by the entirety, may be executed by virtue of a power
of attorney executed solely by one spouse to the other, or solely by one
spouse or both spouses to a third party, provided the power of attorney is
executed in the same manner as a deed. Nothing in this section shall be
construed as dispensing with the requirement that husband and wife join in
the conveyance or mortgage of homestead realty, but the joinder may be
accomplished through the exercise of a power of attorney.

HISTORY:
S. 1, ch. 71-27.



 Title XL. ,  Ch. 689. ,   689.115. 
Fla. Stat.  689.115

 689.115. Estate by the entirety in mortgage made or assigned to
husband and wife.

Any mortgage encumbering real property, or any assignment of a mortgage
encumbering real property, made to two persons who are husband and wife,
heretofore or hereafter made, creates an estate by the entirety in such
mortgage and the obligation secured thereby unless a contrary intention
appears in such mortgage or assignment.

HISTORY:
S. 1, ch. 86-29; s. 21, ch. 91-110.



 Title XL. ,  Ch. 689. ,   689.12. 
Fla. Stat.  689.12

 689.12. How state lands conveyed for educational purposes.
(1) The title to all lands granted to or held by the state for educational

purposes shall be conveyed by deed executed by the members of the State
Board of Education, with an impression of the seal of the Board of
Trustees of the Internal Improvement Trust Fund of the state thereon and
when so impressed by this seal deeds shall be entitled to be recorded in the
public records and to be received in evidence in all courts and judicial
proceedings.

(2) Lands held for any tuberculosis hospital and declared to be surplus to
the needs of such hospital may be conveyed to the district school board in
which said lands are located for educational purposes.

HISTORY:
S. 1, ch. 4999, 1901; GS 2458; RGS 3798; CGL 5671; ss. 1, 2, ch. 67-191;

ss. 27, 35, ch. 69-106; s. 1, ch. 69-300.



 Title XL. ,  Ch. 689. ,   689.13. 
Fla. Stat.  689.13

 689.13. Rule against perpetuities not applicable to dispositions of
property for private cemeteries, etc.

No disposition of property, or the income thereof, hereafter made for the
maintenance or care of any public or private burying ground, churchyard, or
other place for the burial of the dead, or any portion thereof, or grave therein,
or monument or other erection in or about the same, shall fail by reason of
such disposition having been made in perpetuity; but such disposition shall be
held to be made for a charitable purpose or purposes.

HISTORY:
S. 1, ch. 14655, 1931; CGL 1936 Supp. 5671(1).



 Title XL. ,  Ch. 689. ,   689.14. 
Fla. Stat.  689.14

 689.14. Entailed estates.
No property, real or personal, shall be entailed in this state. Any instrument

purporting to create an estate tail, express or implied, shall be deemed to
create an estate for life in the first taker with remainder per stirpes to the
lineal descendants of the first taker in being at the time of her or his death. If
the remainder fails for want of such remainderman, then it shall vest in any
other remaindermen designated in such instrument, or, if there is no such
designation, then it shall revert to the original donor or to her or his heirs.

HISTORY:
S. 20, Nov. 17, 1829; RS 1818; GS 2293; RGS 3616; CGL 5481; s. 2, ch.

20954, 1941; s. 1, ch. 23126, 1945; s. 757, ch. 97-102.



 Title XL. ,  Ch. 689. ,   689.15. 
Fla. Stat.  689.15

 689.15. Estates by survivorship.
The doctrine of the right of survivorship in cases of real estate and personal

property held by joint tenants shall not prevail in this state; that is to say,
except in cases of estates by entirety, a devise, transfer or conveyance
heretofore or hereafter made to two or more shall create a tenancy in
common, unless the instrument creating the estate shall expressly provide for
the right of survivorship; and in cases of estates by entirety, the tenants, upon
dissolution of marriage, shall become tenants in common.

HISTORY:
S. 20, Nov. 17, 1829; RS 1819; GS 2294; RGS 3617; CGL 5482; s. 3, ch.

20954, 1941; s. 1, ch. 73-300.



 Title XL. ,  Ch. 689. ,   689.17. 
Fla. Stat.  689.17

 689.17. Rule in Shelleys Case abolished.
The rule in Shelleys Case is hereby abolished. Any instrument purporting

to create an estate for life in a person with remainder to her or his heirs,
lawful heirs, heirs of her or his body or to her or his heirs described by words
of similar import, shall be deemed to create an estate for life with remainder
per stirpes to the life tenants lineal descendants in being at the time said life
estate commences, but said remainder shall be subject to open and to take in
per stirpes other lineal descendants of the life tenant who come into being
during the continuance of said life estate.

HISTORY:
S. 2, ch. 23126, 1945; s. 758, ch. 97-102.



 Title XL. ,  Ch. 689. ,   689.175. 
Fla. Stat.  689.175

 689.175. Worthier title doctrine abolished.
The doctrine of worthier title is abolished as a rule of law and as a rule of

construction. Language in a governing instrument describing the beneficiaries
of a disposition as the transferors heirs, heirs at law, next of kin,
distributees, relatives, or family, or language of similar import, does
not create or presumptively create a reversionary interest in the transferor.

HISTORY:
S. 23, ch. 2006-217, eff. July 1, 2007.



 Title XL. ,  Ch. 689. ,   689.18. 
Fla. Stat.  689.18

 689.18. Reverter or forfeiture provisions, limitations; exceptions.
(1) It is hereby declared by the Legislature of the state that reverter or

forfeiture provisions of unlimited duration in the conveyance of real estate
or any interest therein in the state constitute an unreasonable restraint on
alienation and are contrary to the public policy of the state.

(2) All reverter or forfeiture provisions of unlimited duration embodied
in any plat or deed executed more than 21 years prior to the passage of this
law conveying real estate or any interest therein in the state, be and the
same are hereby canceled and annulled and declared to be of no further
force and effect.

(3) All reverter provisions in any conveyance of real estate or any
interest therein in the state, now in force, shall cease and terminate and
become null, void, and unenforceable 21 years from the date of the
conveyance embodying such reverter or forfeiture provision.

(4) No reverter or forfeiture provision contained in any deed conveying
real estate or any interest therein in the state, executed on and after July 1,
1951, shall be valid and binding more than 21 years from the date of such
deed, and upon the expiration of such period of 21 years, the reverter or
forfeiture provision shall become null, void, and unenforceable.

(5) Any and all conveyances of real property in this state heretofore or
hereafter made to any governmental, educational, literary, scientific,
religious, public utility, public transportation, charitable or nonprofit
corporation or association are hereby excepted from the provisions of this
section.

(6) Any holder of a possibility of reverter who claims title to any real
property in the state, or any interest therein by reason of a reversion or
forfeiture under the terms or provisions of any deed heretofore executed
and delivered containing such reverter or forfeiture provision shall have 1
year from July 1, 1951, to institute suit in a court of competent jurisdiction
in this state to establish or enforce such right, and failure to institute such
action within said time shall be conclusive evidence of the abandonment of
any such right, title, or interest, and all right of forfeiture or reversion shall



thereupon cease and determine, and become null, void, and unenforceable.
(7) This section shall not vary, alter, or terminate the restrictions placed

upon said real estate, contained either in restrictive covenants or reverter or
forfeiture clauses, and all said restrictions may be enforced and violations
thereof restrained by a court of competent jurisdiction whenever any one of
said restrictions or conditions shall be violated, or threat to violate the
same be made by owners or parties in possession or control of said real
estate, by an injunction which may be issued upon petition of any person
adversely affected, mandatorily requiring the abatement of such violations
or threatened violation and restraining any future violation of said
restrictions and conditions.

HISTORY:
SS. 1, 2, 3, 4, 5, 6, 7, ch. 26927, 1951; s. 218, ch. 77-104.



 Title XL. ,  Ch. 689. ,   689.19. 
Fla. Stat.  689.19

 689.19. Variances of names in recorded instruments.
(1) The word instrument as used in this section shall be construed to

mean and include not only instruments voluntarily executed but also
papers filed or issued in or in connection with actions and other
proceedings in court and orders, judgments and decrees entered therein and
transcripts of such judgments and proceedings in foreclosure of mortgage
or other liens.

(2) Variances between any two instruments affecting the title to the
same real property both of which shall have been spread on the record for
the period of more than 10 years among the public records of the county in
which such real property is situated, with respect to the names of persons
named in the respective instruments or in acknowledgments thereto arising
from the full Christian name appearing in one and only the initial letter of
that Christian name appearing in the other or from a full middle name
appearing in one and only the initial letter of that middle name appearing
in the other or from the initial letter of a middle name appearing in one and
not appearing in the other, irrespective of which one of the two instruments
in which any such variance occurred was prior in point of time to the other
and irrespective of whether the instruments were executed or originated
before or after August 5, 1953, shall not destroy or impair the presumption
that the person so named in one of said instruments was the same person as
the one so named in the other of said instruments which would exist if the
names in the two instruments were identical; and, in spite of any such
variance, the person so named in one of said instruments shall be presumed
to be the same person as the one so named in the other until such time as
the contrary appears and, until such time, either or both of such
instruments or the record thereof or certified copy or copies of the record
thereof shall be admissible in evidence in the same manner as though the
names in the two instruments were identical.

HISTORY:
S. 1, ch. 28208, 1953.



 Title XL. ,  Ch. 689. ,   689.20. 
Fla. Stat.  689.20

 689.20. Limitation on use of word minerals.
Whenever the word minerals is hereafter used in any deed, lease, or

other contract in writing, said word or term shall not include any of the
following: topsoil, muck, peat, humus, sand, and common clay, unless
expressly provided in said deed, lease, or other contract in writing.

HISTORY:
S. 1, ch. 59-375.



 Title XL. ,  Ch. 689. ,   689.21. 
Fla. Stat.  689.21

 689.21. Disclaimer of interests in property passing under certain
nontestamentary instruments or under certain powers of
appointment [Repealed.]

Repealed by s. 5, ch. 2005-108, effective July 1, 2005.

HISTORY:
S. 1, ch. 71-31; s. 26, ch. 73-334; s. 759, ch. 97-102; s. 3, ch. 2002-233.



 Title XL. ,  Ch. 689. ,   689.225. 
Fla. Stat.  689.225

 689.225. Statutory rule against perpetuities.
(1) Short title. This section may be cited as the Florida Uniform

Statutory Rule Against Perpetuities.
(2) Statement of the rule.

(a) A nonvested property interest in real or personal property is invalid
unless:

1. When the interest is created, it is certain to vest or terminate no later
than 21 years after the death of an individual then alive; or

2. The interest either vests or terminates within 90 years after its creation.
(b) A general power of appointment not presently exercisable because of a

condition precedent is invalid unless:
1. When the power is created, the condition precedent is certain to be

satisfied or become impossible to satisfy no later than 21 years after the death
of an individual then alive; or

2. The condition precedent either is satisfied or becomes impossible to
satisfy within 90 years after its creation.

(c) A nongeneral power of appointment or a general testamentary power of
appointment is invalid unless:

1. When the power is created, it is certain to be irrevocably exercised or
otherwise to terminate no later than 21 years after the death of an individual
then alive; or

2. The power is irrevocably exercised or otherwise terminates within 90
years after its creation.

(d) In determining whether a nonvested property interest or a power of
appointment is valid under subparagraph (a)1., subparagraph (b)1., or
subparagraph (c)1., the possibility that a child will be born to an individual
after the individuals death is disregarded.

(e) If, in measuring a period from the creation of a trust or other property
arrangement, language in a governing instrument (i) seeks to disallow the



vesting or termination of any interest or trust beyond, (ii) seeks to postpone
the vesting or termination of any interest or trust until, or (iii) seeks to operate
in effect in any similar fashion upon, the later of:

1. The expiration of a period of time not exceeding 21 years after the death
of a specified life or the survivor of specified lives, or upon the death of a
specified life or the death of the survivor of specified lives in being at the
creation of the trust or other property arrangement, or

2. The expiration of a period of time that exceeds or might exceed 21 years
after the death of the survivor of lives in being at the creation of the trust or
other property arrangement,

that language is inoperative to the extent it produces a period of time that
exceeds 21 years after the death of the survivor of the specified lives.
(f) As to any trust created after December 31, 2000, through June 30, 2022,

this section shall apply to a nonvested property interest or power of
appointment contained in a trust by substituting 360 years in place of 90
years in each place such term appears in this section unless the terms of the
trust require that all beneficial interests in the trust vest or terminate within a
lesser period.

(g) As to any trust created on or after July 1, 2022, this section shall apply
to a nonvested property interest or power of appointment contained in a trust
by substituting 1,000 years in place of 90 years in each place such term
appears in this section unless the terms of the trust require that all beneficial
interests in the trust vest or terminate within a lesser period.

(3) When nonvested property interest or power of appointment created.
(a) Except as provided in paragraphs (b), (d), and (e) of this subsection and

in paragraph (a) of subsection (6), the time of creation of a nonvested
property interest or a power of appointment is determined under general
principles of property law.

(b) For purposes of this section, if there is a person who alone can exercise
a power created by a governing instrument to become the unqualified
beneficial owner of a nonvested property interest or a property interest
subject to a power of appointment described in paragraph (b) or paragraph (c)
of subsection (2), the nonvested property interest or power of appointment is
created when the power to become the unqualified beneficial owner



terminates.
(c) For purposes of this section, a joint power with respect to community

property or to marital property under the Uniform Marital Property Act held
by individuals married to each other is a power exercisable by one person
alone.

(d) For purposes of this section, a nonvested property interest or a power of
appointment arising from a transfer of property to a previously funded trust
or other existing property arrangement is created when the nonvested
property interest or power of appointment in the original contribution was
created.

(e) For purposes of this section, if a nongeneral or testamentary power of
appointment is exercised to create another nongeneral or testamentary power
of appointment, every nonvested property interest or power of appointment
created through the exercise of such other nongeneral or testamentary power
is considered to have been created at the time of the creation of the first
nongeneral or testamentary power of appointment.

(4) Reformation. Upon the petition of an interested person, a court shall
reform a disposition in the manner that most closely approximates the
transferors manifested plan of distribution and is within the 90 years
allowed by subparagraph (2)(a)2., subparagraph (2)(b)2., or subparagraph
(2)(c)2. if:
(a) A nonvested property interest or a power of appointment becomes

invalid under subsection (2);
(b) A class gift is not but might become invalid under subsection (2) and

the time has arrived when the share of any class member is to take effect in
possession or enjoyment; or

(c) A nonvested property interest that is not validated by subparagraph (2)
(a)1. can vest but not within 90 years after its creation.

(5) Exclusions from statutory rule against perpetuities. Subsection
(2) does not apply to:
(a) A nonvested property interest or a power of appointment arising out of

a nondonative transfer, except a nonvested property interest or a power of
appointment arising out of:



1. A premarital or postmarital agreement;
2. A separation or divorce settlement;
3. A spouses election;
4. A similar arrangement arising out of a prospective, existing, or previous

marital relationship between the parties;
5. A contract to make or not to revoke a will or trust;
6. A contract to exercise or not to exercise a power of appointment;
7. A transfer in satisfaction of a duty of support; or
8. A reciprocal transfer;
(b) A fiduciarys power relating to the administration or management of

assets, including the power of a fiduciary to sell, lease, or mortgage property,
and the power of a fiduciary to determine principal and income;

(c) A power to appoint a fiduciary;
(d) A discretionary power of a trustee to distribute principal before

termination of a trust to a beneficiary having an indefeasibly vested interest in
the income and principal;

(e) A nonvested property interest held by a charity, government, or
governmental agency or subdivision, if the nonvested property interest is
preceded by an interest held by another charity, government, or governmental
agency or subdivision;

(f) A nonvested property interest in, or a power of appointment with
respect to, a trust or other property arrangement forming part of a pension,
profit-sharing, stock bonus, health, disability, death benefit, income deferral,
or other current or deferred benefit plan for one or more employees,
independent contractors, or their beneficiaries or spouses, to which
contributions are made for the purpose of distributing to or for the benefit of
the participants, or their beneficiaries or spouses, the property, income, or
principal in the trust or other property arrangement, except a nonvested
property interest or a power of appointment that is created by an election of a
participant or a beneficiary or spouse; or

(g) A property interest, power of appointment, or arrangement that was not



subject to the common-law rule against perpetuities or is excluded by another
statute of this state.

(6) Application.
(a) Except as extended by paragraph (c), this section applies to a nonvested

property interest or a power of appointment that is created on or after October
1, 1988. For purposes of this subsection, a nonvested property interest or a
power of appointment created by the exercise of a power of appointment is
created when the power is irrevocably exercised or when a revocable exercise
becomes irrevocable.

(b) This section also applies to a power of appointment that was created
before October 1, 1988, but only to the extent that it remains unexercised on
October 1, 1988.

(c) If a nonvested property interest or a power of appointment was created
before October 1, 1988, and is determined in a judicial proceeding
commenced on or after October 1, 1988, to violate this states rule against
perpetuities as that rule existed before October 1, 1988, a court, upon the
petition of an interested person, may reform the disposition in the manner that
most closely approximates the transferors manifested plan of distribution
and is within the limits of the rule against perpetuities applicable when the
nonvested property interest or power of appointment was created.

(7) Rule of construction. With respect to any matter relating to the
validity of an interest within the rule against perpetuities, unless a contrary
intent appears, it shall be presumed that the transferor of the interest
intended that the interest be valid. This section is the sole expression of
any rule against perpetuities or remoteness in vesting in this state. No
common-law rule against perpetuities or remoteness in vesting shall exist
with respect to any interest or power regardless of whether such interest or
power is governed by this section.

(8) Uniformity of application and construction. This section shall be
applied and construed to effectuate its general purpose to make uniform the
law with respect to the subject of this act among states enacting it.

HISTORY:
S. 1, ch. 88-40; s. 1, ch. 97-240; s. 1, ch. 2000-245; s. 1, ch. 2022-96,



effective July 1, 2022.



 Title XL. ,  Ch. 689. ,   689.25. 
Fla. Stat.  689.25

 689.25. Failure to disclose homicide, suicide, deaths, or diagnosis of
HIV or AIDS infection in an occupant of real property.

(1)(a) The fact that an occupant of real property is infected or has been
infected with human immunodeficiency virus or diagnosed with acquired
immune deficiency syndrome is not a material fact that must be disclosed
in a real estate transaction.
(b) The fact that a property was, or was at any time suspected to have been,

the site of a homicide, suicide, or death is not a material fact that must be
disclosed in a real estate transaction.

(2) A cause of action shall not arise against an owner of real property,
his or her agent, an agent of a transferee of real property, or a person
licensed under chapter 475 for the failure to disclose to the transferee that
the property was or was suspected to have been the site of a homicide,
suicide, or death or that an occupant of that property was infected with
human immunodeficiency virus or diagnosed with acquired immune
deficiency syndrome.

HISTORY:
S. 46, ch. 88-380; s. 51, ch. 2003-164.



 Title XL. ,  Ch. 689. ,   689.26. 
Fla. Stat.  689.26

 689.26. Prospective purchasers subject to association membership
requirement; disclosure required; covenants; assessments; contract
voidability [Transferred.]

Transferred to s. 720.401.



 Title XL. ,  Ch. 689. ,   689.261. 
Fla. Stat.  689.261

 689.261. Sale of residential property; disclosure of ad valorem taxes to
prospective purchaser.
(1) A prospective purchaser of residential property must be presented a

disclosure summary at or before execution of the contract for sale. Unless a
substantially similar disclosure summary is included in the contract for
sale, a separate disclosure summary must be attached to the contract for
sale. The disclosure summary, whether separate or included in the contract,
must be in a form substantially similar to the following:
PROPERTY TAX
DISCLOSURE SUMMARY
BUYER SHOULD NOT RELY ON THE SELLERS CURRENT
PROPERTY TAXES AS THE AMOUNT OF PROPERTY TAXES
THAT THE BUYER MAY BE OBLIGATED TO PAY IN THE YEAR
SUBSEQUENT TO PURCHASE. A CHANGE OF OWNERSHIP OR
PROPERTY IMPROVEMENTS TRIGGERS REASSESSMENTS OF
THE PROPERTY THAT COULD RESULT IN HIGHER PROPERTY
TAXES. IF YOU HAVE ANY QUESTIONS CONCERNING
VALUATION, CONTACT THE COUNTY PROPERTY APPRAISERS
OFFICE FOR INFORMATION.

(2) Unless included in the contract, the disclosure summary must be
provided by the seller. If the disclosure summary is not included in the
contract for sale, the contract for sale must refer to and incorporate by
reference the disclosure summary and include, in prominent language, a
statement that the potential purchaser should not execute the contract until
he or she has read the disclosure summary required by this section.

HISTORY:
S. 5, ch. 2004-349.



 Title XL. ,  Ch. 689. ,   689.262. 
Fla. Stat.  689.262

 689.262. Sale of residential property; disclosure of windstorm
mitigation rating [Repealed.]

Repealed by s. 1, ch. 2010-275, effective November 17, 2010.

HISTORY:
S. 15, ch. 2008-66, eff. Jan. 1, 2011.



 Title XL. ,  Ch. 689. ,   689.265. 
Fla. Stat.  689.265

 689.265. Financial report [Transferred.]
Transferred to s. 720.3086.



 Title XL. ,  Ch. 689. ,   689.27. 
Fla. Stat.  689.27

 689.27. Termination by servicemember of agreement to purchase real
property.
(1) Notwithstanding any other provisions of law and for the purposes of

this section:
(a) Closing means the finalizing of the sale of property, upon which title

to the property is transferred from the seller to the buyer.
(b) Contract means an instrument purporting to contain an agreement to

purchase real property.
(c) Property means a house, condominium, or mobile home that a

servicemember intends to purchase to serve as his or her primary residence.
(d) Servicemember shall have the same meaning as provided in s.

250.01.
(2) Any servicemember may terminate a contract to purchase property,

prior to closing on such property, by providing the seller or mortgagor of
the property with a written notice of termination to be effective
immediately, if any of the following criteria are met:
(a) The servicemember is required, pursuant to permanent change of

station orders received after entering into a contract for the property and prior
to closing, to move 35 miles or more from the location of the property;

(b) The servicemember is released from active duty or state active duty
after having agreed to purchase the property and prior to closing while
serving on active duty or state active duty status, and the property is 35 miles
or more from the servicemembers home of record prior to entering active
duty or state active duty;

(c) Prior to closing, the servicemember receives military orders requiring
him or her to move into government quarters or the servicemember becomes
eligible to live in and opts to move into government quarters; or

(d) Prior to closing, the servicemember receives temporary duty orders,
temporary change of station orders, or active duty or state active duty orders
to an area 35 miles or more from the location of the property, provided such



orders are for a period exceeding 90 days.
(3) The notice to the seller or mortgagor canceling the contract must be

accompanied by either a copy of the official military orders or a written
verification signed by the servicemembers commanding officer.

(4) Upon termination of a contract under this section, the seller or
mortgagor or his or her agent shall refund any funds provided by the
servicemember under the contract within 7 days. The servicemember is not
liable for any other fees due to the termination of the contract as provided
for in this section.

(5) The provisions of this section may not be waived or modified by the
agreement of the parties under any circumstances.

HISTORY:
S. 19, ch. 2003-72; s. 28, ch. 2022-183, effective July 1, 2022.



 Title XL. ,  Ch. 689. ,   689.28. 
Fla. Stat.  689.28

 689.28. Prohibition against transfer fee covenants.
(1) Intent.  The Legislature finds and declares that the public policy

of this state favors the marketability of real property and the transferability
of interests in real property free of title defects or unreasonable restraints
on alienation. The Legislature further finds and declares that transfer fee
covenants violate this public policy by impairing the marketability and
transferability of real property and by constituting an unreasonable
restraint on alienation regardless of the duration of such covenants or the
amount of such transfer fees, and do not run with the title to the property or
bind subsequent owners of the property under common law or equitable
principles.

(2) Definitions.  As used in this section, the term:
(a) Environmental covenant means a covenant or servitude that imposes

limitations on the use of real property pursuant to an environmental
remediation project pertaining to the property. An environmental covenant is
not a transfer fee covenant.

(b) Transfer means the sale, gift, conveyance, assignment, inheritance, or
other transfer of an ownership interest in real property located in this state.

(c) Transfer fee means a fee or charge required by a transfer fee
covenant and payable upon the transfer of an interest in real property, or
payable for the right to make or accept such transfer, regardless of whether
the fee or charge is a fixed amount or is determined as a percentage of the
value of the property, the purchase price, or other consideration given for the
transfer. The following are not transfer fees for purposes of this section:

1. Any consideration payable by the grantee to the grantor for the interest
in real property being transferred, including any subsequent additional
consideration for the property payable by the grantee based upon any
subsequent appreciation, development, or sale of the property. For the
purposes of this subparagraph, an interest in real property may include a
separate mineral estate and its appurtenant surface access rights.

2. Any commission payable to a licensed real estate broker for the transfer



of real property pursuant to an agreement between the broker and the grantor
or the grantee, including any subsequent additional commission for that
transfer payable by the grantor or the grantee based upon any subsequent
appreciation, development, or sale of the property.

3. Any interest, charges, fees, or other amounts payable by a borrower to a
lender pursuant to a loan secured by a mortgage against real property,
including, but not limited to, any fee payable to the lender for consenting to
an assumption of the loan or a transfer of the real property subject to the
mortgage, any fees or charges payable to the lender for estoppel letters or
certificates, and any shared appreciation interest or profit participation or
other consideration described in s. 687.03(4) and payable to the lender in
connection with the loan.

4. Any rent, reimbursement, charge, fee, or other amount payable by a
lessee to a lessor under a lease, including, but not limited to, any fee payable
to the lessor for consenting to an assignment, subletting, encumbrance, or
transfer of the lease.

5. Any consideration payable to the holder of an option to purchase an
interest in real property or the holder of a right of first refusal or first offer to
purchase an interest in real property for waiving, releasing, or not exercising
the option or right upon the transfer of the property to another person.

6. Any tax, fee, charge, assessment, fine, or other amount payable to or
imposed by a governmental authority.

7. Any fee, charge, assessment, fine, or other amount payable to a
homeowners, condominium, cooperative, mobile home, or property owners
association pursuant to a declaration or covenant or law applicable to such
association, including, but not limited to, fees or charges payable for estoppel
letters or certificates issued by the association or its authorized agent.

8. Any fee, charge, assessment, dues, contribution, or other amount
imposed by a declaration or covenant encumbering four or more parcels in a
community, as defined in s. 720.301, and payable to a nonprofit or charitable
organization for the purpose of supporting cultural, educational, charitable,
recreational, environmental, conservation, or other similar activities
benefiting the community that is subject to the declaration or covenant.

9. Any fee, charge, assessment, dues, contribution, or other amount



pertaining to the purchase or transfer of a club membership relating to real
property owned by the member, including, but not limited to, any amount
determined by reference to the value, purchase price, or other consideration
given for the transfer of the real property.

10. Any payment required pursuant to an environmental covenant.
(d) Transfer fee covenant means a declaration or covenant recorded

against the title to real property which requires or purports to require the
payment of a transfer fee to the declarant or other person specified in the
declaration or covenant or to their successors or assigns upon a subsequent
transfer of an interest in the real property.

(3) Prohibition.  A transfer fee covenant recorded in this state on or
after July 1, 2008, does not run with the title to real property and is not
binding on or enforceable at law or in equity against any subsequent
owner, purchaser, or mortgagee of any interest in real property as an
equitable servitude or otherwise. Any liens purporting to secure the
payment of a transfer fee under a transfer fee covenant that is recorded in
this state on or after July 1, 2008, are void and unenforceable. This
subsection does not mean that transfer fee covenants or liens recorded in
this state before July 1, 2008, are presumed valid and enforceable.

HISTORY:
S. 1, ch. 2008-35, eff. July 1, 2008.



 Title XL. ,  Ch. 689. ,   689.29. 
Fla. Stat.  689.29

 689.29. Disclosure of subsurface rights to prospective purchaser.
(1) A seller must provide a prospective purchaser of residential property

with a disclosure summary at or before the execution of a contract if the
seller or an affiliated or related entity has previously severed or retained or
will sever or retain any of the subsurface rights or right of entry. The
disclosure summary must be conspicuous, in boldface type, and in a form
substantially similar to the following:

SUBSURFACE RIGHTS
DISCLOSURE SUMMARY
SUBSURFACE RIGHTS HAVE BEEN OR WILL BE SEVERED FROM
THE TITLE TO REAL PROPERTY BY CONVEYANCE (DEED) OF THE
SUBSURFACE RIGHTS FROM THE SELLER OR AN AFFILIATED OR
RELATED ENTITY OR BY RESERVATION OF THE SUBSURFACE
RIGHTS BY THE SELLER OR AN AFFILIATED OR RELATED
ENTITY. WHEN SUBSURFACE RIGHTS ARE SEVERED FROM THE
PROPERTY, THE OWNER OF THOSE RIGHTS MAY HAVE THE
PERPETUAL RIGHT TO DRILL, MINE, EXPLORE, OR REMOVE ANY
OF THE SUBSURFACE RESOURCES ON OR FROM THE PROPERTY
EITHER DIRECTLY FROM THE SURFACE OF THE PROPERTY OR
FROM A NEARBY LOCATION. SUBSURFACE RIGHTS MAY HAVE A
MONETARY VALUE.
(Purchasers Initials)

(2) If the disclosure summary is not included in the contract for sale, the
contract for sale must refer to and incorporate by reference the disclosure
summary and must include, in prominent language, a statement that the
potential purchaser should not execute the contract until he or she has read
the disclosure summary required under this section.

(3) As used in this section, the term:
(a) Seller means a seller of real property which, at the time of sale, is

zoned for residential use and is property upon which a new dwelling is being
constructed or will be constructed pursuant to the contract for sale with the



seller or has been constructed since the last transfer of the property.
(b) Subsurface rights means the rights to all minerals, mineral fuels, and

other resources, including, but not limited to, oil, gas, coal, oil shale,
uranium, metals, and phosphate, whether or not they are mixed with any
other substance found or located beneath the surface of the earth.

HISTORY:
S. 1, ch. 2014-34, effective October 1, 2014.



 Title XL. ,  Ch. 689. ,   689.301. 
Fla. Stat.  689.301

 689.301. Disclosure of known defects in sanitary sewer laterals to
prospective purchaser.

Before executing a contract for sale, a seller of real property shall disclose
to a prospective purchaser any defects in the propertys sanitary sewer lateral
which are known to the seller. As used in this section, the term sanitary
sewer lateral means the privately owned pipeline connecting a property to
the main sewer line.

History.
S. 3, ch. 2020-158, effective July 1, 2020.



 Title XL. ,  Ch. 695. 
Fla. Stat. Title XL, Ch. 695



CHAPTER 695.
RECORD OF CONVEYANCES OF REAL ESTATE.

 Title XL. ,  Ch. 695. ,   695.01. 
Fla. Stat.  695.01

 695.01. Conveyances and liens to be recorded.
(1) No conveyance, transfer, or mortgage of real property, or of any

interest therein, nor any lease for a term of 1 year or longer, shall be good
and effectual in law or equity against creditors or subsequent purchasers
for a valuable consideration and without notice, unless the same be
recorded according to law; nor shall any such instrument made or executed
by virtue of any power of attorney be good or effectual in law or in equity
against creditors or subsequent purchasers for a valuable consideration and
without notice unless the power of attorney be recorded before the
accruing of the right of such creditor or subsequent purchaser.

(2) Grantees by quitclaim, heretofore or hereafter made, shall be deemed
and held to be bona fide purchasers without notice within the meaning of
the recording acts.

(3) A lien by a governmental entity or quasi-governmental entity that
attaches to real property for an improvement, service, fine, or penalty,
other than a lien for taxes, non-ad valorem or special assessments, or
utilities, is valid and effectual in law or equity against creditors or
subsequent purchasers for a valuable consideration only if the lien is
recorded in the official records of the county in which the property is
located. The recorded notice of lien must contain the name of the owner of
record, a description or address of the property, and the tax or parcel
identification number applicable to the property as of the date of recording.

HISTORY:
SS. 4, 9, Nov. 15, 1828; RS 1972; GS 2480; RGS 3822; CGL 5698; s. 10,

ch. 20954, 1941; s. 8, ch. 85-63; s. 2, ch. 2013-241, eff. Oct. 1, 2013.



 Title XL. ,  Ch. 695. ,   695.015. 
Fla. Stat.  695.015

 695.015. Conveyances by law between governmental agencies,
recording.

All laws which purport to convey title to real property from one
governmental agency or political subdivision to another shall be recorded in
the public records of the county or counties in which the property is located,
and such laws shall contain a provision requiring such recording.

HISTORY:
S. 1, ch. 70-103.



 Title XL. ,  Ch. 695. ,   695.02. 
Fla. Stat.  695.02

 695.02. Blank or master form of instruments may be recorded.
(1) Any person may have a blank or master form of mortgage or other

instrument conveying, transferring or reserving an interest in, or creating a
lien on, real or personal property, filed, indexed and recorded in the office
of the clerk of the circuit court.

(2) When any such blank or master form is filed with the clerk of the
circuit court, she or he shall record and index the same in the manner
provided by law for recording and indexing mortgages and such other
instruments respectively, except that the name of the person whose name
appears on such blank or master form shall be inserted in the indexes as
grantor and also as grantee.

(3) When any instrument conveying, transferring or reserving an interest
in, or creating a lien on, real or personal property, incorporates by
reference the provisions, terms, covenants, conditions, obligations, powers
and other contents, or any of them, set forth in any such recorded blank or
master form, such incorporation by reference, for all purposes, shall be
equivalent to setting forth in extenso in such instrument that which is
incorporated by reference.

HISTORY:
SS. 1, 2, 3, 4, ch. 17109, 1935; CGL 1936 Supp. 5698(1); s. 219, ch. 77-

104; s. 762, ch. 97-102.



 Title XL. ,  Ch. 695. ,   695.03. 
Fla. Stat.  695.03

 695.03. Acknowledgment and proof; validation of certain
acknowledgments; legalization or authentication before foreign
officials.

To entitle any instrument concerning real property to be recorded, the
execution must be acknowledged by the party executing it, proved by a
subscribing witness to it, or legalized or authenticated in one of the following
forms:

(1) Within this state.  An acknowledgment or a proof may be taken,
administered, or made within this state by or before a judge, clerk, or
deputy clerk of any court; a United States commissioner or magistrate; or
any notary public or civil-law notary of this state, and the certificate of
acknowledgment or proof must be under the seal of the court or officer, as
the case may be.

(2) Outside this state but within the united states.  An
acknowledgment or a proof taken, administered, or made outside of this
state but within the United States may be taken, administered, or made by
or before a civil-law notary of this state or a commissioner of deeds
appointed by the Governor of this state; a judge or clerk of any court of the
United States or of any state, territory, or district; by or before a United
States commissioner or magistrate; or by or before any notary public,
justice of the peace, master in chancery, or registrar or recorder of deeds of
any state, territory, or district having a seal, and the certificate of
acknowledgment or proof must be under the seal of the court or officer, as
the case may be. If the acknowledgment or proof is taken, administered, or
made by or before a notary public who does not affix a seal, it is sufficient
for the notary public to type, print, or write by hand on the instrument, I
am a Notary Public of the State of (state), and my commission expires on
(date).

(3) Outside of the united states or within foreign countries.  An
acknowledgment, an affidavit, an oath, a legalization, an authentication, or
a proof taken, administered, or made outside the United States or in a
foreign country may be taken, administered, or made by or before a



commissioner of deeds appointed by the Governor of this state to act in
such country; before a notary public of such foreign country or a civil-law
notary of this state or of such foreign country who has an official seal;
before an ambassador, envoy extraordinary, minister plenipotentiary,
minister, commissioner, charge daffaires, consul general, consul, vice
consul, consular agent, or other diplomatic or consular officer of the
United States appointed to reside in such country; or before a military or
naval officer authorized by 10 U.S.C. s. 1044a to perform the duties of
notary public, and the certificate of acknowledgment, legalization,
authentication, or proof must be under the seal of the officer. A certificate
legalizing or authenticating the signature of a person executing an
instrument concerning real property and to which a civil-law notary or
notary public of that country has affixed her or his official seal is sufficient
as an acknowledgment. For the purposes of this section, the term civil-law
notary means a civil-law notary as defined in chapter 118 or an official of
a foreign country who has an official seal and who is authorized to make
legal or lawful the execution of any document in that jurisdiction, in which
jurisdiction the affixing of her or his official seal is deemed proof of the
execution of the document or deed in full compliance with the laws of that
jurisdiction.

(4) Compliance and validation.  The affixing of the official seal or
the electronic equivalent thereof under s. 117.021 or other applicable law,
including part II of chapter 117, conclusively establishes that the
acknowledgment or proof was taken, administered, or made in full
compliance with the laws of this state or, as applicable, the laws of the
other state, or of the foreign country governing notarial acts. All affidavits,
oaths, acknowledgments, legalizations, authentications, or proofs taken,
administered, or made in any manner as set forth in subsections (1), (2),
and (3) are validated and upon recording may not be denied to have
provided constructive notice based on any alleged failure to have strictly
complied with this section, as currently or previously in effect, or the laws
governing notarization of instruments. This subsection does not preclude a
challenge to the validity or enforceability of an instrument or electronic
record based upon fraud, forgery, impersonation, duress, incapacity, undue
influence, minority, illegality, unconscionability, or any other basis not
related to the notarial act or constructive notice provided by recording.



HISTORY:
RS 1973; ch. 5404, 1905; GS 2481; ss. 1, 2, ch. 7849, 1919; RGS 3823;

CGL 5699; s. 7, ch. 22858, 1945; s. 1, ch. 28225, 1953; s. 1, ch. 69-79; s. 1,
ch. 71-53; s. 26, ch. 73-334; s. 3, ch. 80-173; s. 1, ch. 84-97; s. 763, ch. 97-
102; s. 21, ch. 98-246; s. 23, ch. 2019-71, effective January 1, 2020.



 Title XL. ,  Ch. 695. ,   695.031. 
Fla. Stat.  695.031

 695.031. Affidavits and acknowledgments by members of armed forces
and their spouses.
(1) In addition to the manner, form and proof of acknowledgment of

instruments as now provided by law, any person serving in or with the
Armed Forces of the United States, including the Army, Navy, Air Force,
Marine Corps, Space Force, Coast Guard, or any component or any arm or
service of any thereof, including any female auxiliary of any thereof, and
any person whose duties require his or her presence with the Armed Forces
of the United States, as herein designated, or otherwise designated by law
or military or naval command, may acknowledge any instrument, wherever
located, either within or without the state, or without the United States,
before any commissioned officer in active service of the Armed Forces of
the United States, as herein designated, or otherwise designated by law, or
military or naval command, or order, with the rank of second lieutenant or
higher in the Army, Air Force, Space Force, or Marine Corps, or of any
component or any arm or service of any thereof, including any female
auxiliary of any thereof, or ensign or higher in the Navy or United States
Coast Guard, or of any component or any arm or service of either thereof,
including any female auxiliary of any thereof.

(2) The instrument shall not be rendered invalid by the failure to state
therein the place of execution or acknowledgment. No authentication of the
officers certificate of acknowledgment or otherwise shall be required, and
no seal shall be necessary, but the officer taking the acknowledgment shall
endorse thereon or attach thereto a certificate substantially in the following
form:
On this _________ day of _________, (year), before me _________, the

undersigned officer, personally appeared _________, known to me (or
satisfactorily proven) to be serving in or with, or whose duties require her or
his presence with the Armed Forces of the United States, and to be the person
whose name is subscribed to the within instrument, and acknowledged that
she or he executed the same for the purposes therein contained, and the
undersigned does further certify that she or he is at the date of this certificate
a commissioned officer of the rank stated below and is in the active service of



the Armed Forces of the United States.
(Signature of commissioned officer)
(Rank of commissioned officer and command or branch of service to

which officer is attached)
(3) Such acknowledgments by a married woman, who is a member of

the Armed Forces of the United States, shall be sufficient in all respects to
bar the dower, homestead rights or separate property rights of such married
woman in any real estate described in the instrument thus acknowledged
by her, as fully and completely as though such married woman had
acknowledged such instrument as now required by other statutes.

(4) An acknowledgment by the spouse of a member of the Armed
Forces of the United States shall be sufficient in all respects if it is
acknowledged in the manner and form herein provided and shall have the
same force and effect as though the instrument had been acknowledged as
now required by other statutes and such acknowledgment by a married
woman who is a spouse of a member of the Armed Forces of the United
States shall be sufficient in all respects to bar the dower, homestead rights
or separate property rights of such married woman in any real estate
described in the instrument thus acknowledged by her as fully and
completely as though such married woman had acknowledged such
instrument as now required by other statutes.

(5) Any instrument or document acknowledged in the manner and form
herein provided shall be entitled to be recorded and shall be recorded as in
the case of other instruments or documents properly acknowledged.

(6) This section is to be liberally construed in favor of the validity of any
such acknowledgments by any such member of the Armed Forces of the
United States and any acknowledgments heretofore taken, containing
words of similar import, are hereby confirmed and declared to be valid and
binding. This section shall be construed as an enabling act and as an
exception to existing laws rather than, inferentially or otherwise, as a
repeal of the same or any part of the same.

HISTORY:
S. 7, ch. 22858, 1945; s. 1, ch. 57-40; s. 764, ch. 97-102; s. 28, ch. 99-6; s.



17, ch. 2022-183, effective July 1, 2022.

Editors Notes
Former s. 120.08.



 Title XL. ,  Ch. 695. ,   695.032. 
Fla. Stat.  695.032

 695.032. Provisions not applicable to transactions under chapter 679,
Uniform Commercial Code.

Section 695.03 shall not apply to any of the transactions within the scope
of chapter 679 of the Uniform Commercial Code.

HISTORY:
S. 1, ch. 65-254.



 Title XL. ,  Ch. 695. ,   695.04. 
Fla. Stat.  695.04

 695.04. Requirements of certificate. 
The certificate of the officer before whom the acknowledgment or proof is

taken, except for a certificate legalizing or authenticating the signature of a
person executing an instrument concerning real property pursuant to s.
695.03(3), shall contain and set forth substantially the matter required to be
done or proved to make such acknowledgment or proof effectual as set forth
in s. 117.05.

HISTORY:
RS 1974; GS 2482; RGS 3824; CGL 5700; s. 2, ch. 84-97; s. 24, ch. 2019-

71, effective January 1, 2020.



 Title XL. ,  Ch. 695. ,   695.05. 
Fla. Stat.  695.05

 695.05. Certain defects cured as to acknowledgments and witnesses.
All deeds, conveyances, bills of sale, mortgages or other transfers of real or

personal property within the limits of this state, heretofore or hereafter made
and received bona fide and upon good consideration by any corporation, and
acknowledged for record before some officer, stockholder or other person
interested in the corporation, grantee, or mortgagee as a notary public or other
officer authorized to take acknowledgments of instruments for record within
this state, shall be held, deemed and taken as valid as if acknowledged by the
proper notary public or other officer authorized to take acknowledgments of
instruments for record in this state not so interested in said corporation,
grantee or mortgagee; and said instrument whenever recorded shall be
deemed notice to all persons; provided, however, that this section shall not
apply to any instrument heretofore made, the validity of which shall be
contested by suit commenced within 1 year of the effective date of this law.

HISTORY:
S. 1, ch. 4953, 1901; GS 2483; RGS 3825; s. 1, ch. 11991, 1927; CGL

5701, 5702; s. 1, ch. 14706, 1931; CGL 1936 Supp. 5702(1); s. 11, ch.
20954, 1941.



 Title XL. ,  Ch. 695. ,   695.06. 
Fla. Stat.  695.06

 695.06. Certain irregularities as to venue validated.
Whenever, in the acknowledgment to any deed or other instrument relating

to real estate, heretofore recorded in this state, it shall appear, either from the
recitals in such acknowledgment, or following the signature of the officer
taking the same, or from the seal of such officer that the said
acknowledgment was not taken, or may not have been taken, in the place as
stated in the caption or venue thereof, said deed or other instrument shall,
notwithstanding such irregularity or defect, be deemed and taken as properly
acknowledged and of record.

HISTORY:
S. 1, ch. 11990, 1927; CGL 5703.



 Title XL. ,  Ch. 695. ,   695.07. 
Fla. Stat.  695.07

 695.07. Use of scrawl as seal.
A scrawl or scroll, printed or written, affixed as a seal to any written

instrument shall be as effectual as a seal.

HISTORY:
S. 1, ch. 4148, 1893; GS 2484; RGS 3826; CGL 5704.



 Title XL. ,  Ch. 695. ,   695.08. 
Fla. Stat.  695.08

 695.08. Prior use of scrawl as seal.
All written instruments heretofore or hereafter made with a scrawl or

scroll, printed or written, affixed as a seal are declared to be sealed
instruments, and shall be construed and received in evidence as such in all the
courts of this state.

HISTORY:
S. 2, ch. 4148, 1893; GS 2485; RGS 3827; CGL 5705.



 Title XL. ,  Ch. 695. ,   695.09. 
Fla. Stat.  695.09

 695.09. Identity of grantor.
No acknowledgment or proof shall be taken, except as set forth in s.

695.03(3), by any officer within or without the United States unless the
officer knows, or has satisfactory proof, that the person making the
acknowledgment is the individual described in, and who executed, such
instrument or that the person offering to make proof is one of the subscribing
witnesses to such instrument.

HISTORY:
RS 1975; GS 2486; RGS 3828; CGL 5706; s. 3, ch. 84-97; s. 765, ch. 97-

102.



 Title XL. ,  Ch. 695. ,   695.10. 
Fla. Stat.  695.10

 695.10. Proof by others.
Where the grantors and witnesses of any instrument which may be

recorded are dead, or cannot be had, the judge of the circuit court, or the
county court judge for the county wherein the real property is situated, may
take the examination of any competent witness or witnesses, on oath, to
prove the handwriting of the witness or witnesses, or where such proof
cannot be had, then to prove the handwriting of the grantor or grantors, which
shall be certified by the judge, and the instrument being thus proved may be
recorded.

HISTORY:
RS 1976; GS 2487; RGS 3829; CGL 5707; s. 26, ch. 73-334.



 Title XL. ,  Ch. 695. ,   695.11. 
Fla. Stat.  695.11

 695.11. Instruments deemed to be recorded from time of filing.
All instruments which are authorized or required to be recorded in the

office of the clerk of the circuit court of any county in the State of Florida,
and which are to be recorded in the Official Records as provided for under
s. 28.222, and which are filed for recording on or after the effective date of
this act, shall be deemed to have been officially accepted by the said officer,
and officially recorded, at the time she or he affixed thereon the consecutive
official register numbers required under s. 28.222, and at such time shall be
notice to all persons. The sequence of such official numbers shall determine
the priority of recordation. An instrument bearing the lower number in the
then-current series of numbers shall have priority over any instrument
bearing a higher number in the same series.

HISTORY:
S. 1, ch. 3592, 1885; RS 1977; GS 2488; RGS 3830; CGL 5708; s. 1, ch.

17217, 1935; s. 1, ch. 67-442; s. 766, ch. 97-102.



 Title XL. ,  Ch. 695. ,   695.12. 
Fla. Stat.  695.12

 695.12. Imperfect record.
Whenever any instrument authorized or required by law to be recorded in

any county either has been or may be so imperfectly or erroneously recorded
as to require a new record thereof, if the officer who so recorded the same be
still in office, she or he shall, upon demand of the owner of such instrument,
or person controlling the same, record it anew free of any charge or fee than
the fee allowed by law for one perfect record thereof.

HISTORY:
S. 1, ch. 3896, 1889; RS 1978; GS 2489; RGS 3831; CGL 5709; s. 767, ch.

97-102.



 Title XL. ,  Ch. 695. ,   695.13. 
Fla. Stat.  695.13

 695.13. Want of certificate of record.
Whenever any instrument authorized or required by law to be recorded

shall appear to be recorded in the appropriate record book in the proper
office, whether the record shall be in the handwriting of the officer whose
duty it was to record such instrument, or in the handwriting of any other
person, the record shall be presumed to have been made by the officer whose
duty it was to make it, and the absence of a certificate of such officer that
such instrument was recorded by her or him shall in no wise affect the
validity of the record.

HISTORY:
S. 1, ch. 3894, 1889; RS 1979; GS 2490; RGS 3832; CGL 5710; s. 768, ch.

97-102.



 Title XL. ,  Ch. 695. ,   695.14. 
Fla. Stat.  695.14

 695.14. Unsigned certificate of record.
Whenever any unsigned certificate on such record of the instruments

mentioned in s. 695.13 shall contain the date of filing or of recording such
instrument, it shall be prima facie evidence of the time of filing or of
recording such instrument.

HISTORY:
S. 2, ch. 3894, 1889; RS 1980; GS 2491; RGS 3833; CGL 5711.



 Title XL. ,  Ch. 695. ,   695.15. 
Fla. Stat.  695.15

 695.15. Recording conveyances lost by fire.
Whenever the record in the office of the clerk of the circuit court of any

county in this state of any deed, conveyance, contract, mortgage, deed of
trust, map or plat or other instrument in writing affecting real estate in such
county has been heretofore destroyed by fire, any such instrument, or a copy
thereof from such former record duly certified, may be rerecorded in such
county, and in rerecording the same the officer shall record the certificate of
the previous record, and the date of filing for record appearing in said
original certificate so recorded shall be deemed and taken as the date of the
record thereof. And copies of such record so authorized to be made
hereunder, duly certified by said officer, under the seal of said court, shall be
received in evidence under the same circumstances and conditions under
which a certified copy of the original record would be so received, and shall
have the same force and effect as a certified copy of the original record.

HISTORY:
S. 1, ch. 4950, 1901; GS 2492; RGS 3834; CGL 5712; s. 7, ch. 22858,

1945.



 Title XL. ,  Ch. 695. ,   695.16. 
Fla. Stat.  695.16

 695.16. When mortgage or lien is destroyed.
Whenever any mortgage or other lien required by law to be recorded, to be

good and effectual against creditors or subsequent purchasers for a valuable
consideration and without notice, has been heretofore recorded, and the
record thereof has been destroyed by fire prior to May 30, 1901, such
mortgage or other lien or a certified copy thereof, as aforesaid, shall be
rerecorded within 9 months from said date, or such mortgage or other lien
shall not be good or effectual in law or equity against a creditor or subsequent
purchaser for valuable consideration and without notice; provided, however,
that if the original instrument of mortgage or other lien has been lost or
destroyed, the foregoing provision of this section shall not apply thereto, but
such mortgage or other lien shall not be good or effectual in law or equity
against creditors, or subsequent purchasers for a valuable consideration and
without notice, unless legal proceedings to reestablish the same were begun
in the proper court prior to March 3, 1902.

HISTORY:
S. 2, ch. 4950, 1901; GS 2493; RGS 3835; CGL 5713.



 Title XL. ,  Ch. 695. ,   695.17. 
Fla. Stat.  695.17

 695.17. United States deeds and patents may be recorded.
Deeds and patents issued by the United States Government and

photographic copies made by authority of said government from its records
thereof in the general land office, embracing lands within the state, shall be
admitted to record in this state in the county or counties where the land lies,
when presented to the clerk of the court of the county where same is to be
recorded, and when said deeds, patents or photographic copies shall appear to
her or him to be genuine.

HISTORY:
S. 1, ch. 8565, 1921; CGL 5714; s. 769, ch. 97-102.



 Title XL. ,  Ch. 695. ,   695.18. 
Fla. Stat.  695.18

 695.18. Indorsement by clerk.
Upon recording said deed, patent or certified copy, the clerk of the court

shall indorse thereon and also upon the record made by her or him the
following:
This deed and patent (or certified copy as the case may be) having been
presented to me on the____ day of ____ for record, and same appearing to
me to be genuine and to have been made and issued by the authority of the
United States Government, I have duly recorded same in ____ on page ____
of the public records of my office.
Witness my hand and official seal at ____ Florida, this ____ day of ____

HISTORY:
S. 2, ch. 8565, 1921; CGL 5715; s. 770, ch. 97-102.



 Title XL. ,  Ch. 695. ,   695.19. 
Fla. Stat.  695.19

 695.19. Certified copies of recorded instruments may be recorded.
Certified copies of deeds, mortgages, powers of attorney and all other

instruments of any kind which have been or may hereafter be duly recorded
or filed among the public records of any county in this state may be recorded
or rerecorded among the public records of any other county in this state as
fully and in the same manner and with like effect as if such certified copy
were the original instrument.

HISTORY:
S. 1, ch. 11989, 1927; CGL 5717.



 Title XL. ,  Ch. 695. ,   695.20. 
Fla. Stat.  695.20

 695.20. Unperformed contracts of record.
Whenever anyone shall have contracted to purchase real estate in the state,

prior to January 1, 1930, by written agreement requiring all payments to be
made within 10 years from the date of the contract, or has accepted an
assignment of such an agreement, and the fact of the existence of such a
contract of purchase, or assignment, appears of record from the instrument
itself or by reference in some other recorded instrument, and shall not have
obtained and placed of record a deed to the property or a decree of a court of
competent jurisdiction recognizing her or his rights thereunto, and is not in
actual possession of the property covered by the contract or by the
assignment, as defined in s. 95.17, she or he, her or his surviving spouse,
heirs, personal representatives, successors, and assigns, shall have no further
interest in the property described in the contract, or the assignment, by virtue
thereof, and the record of such contract, assignment or other record reference
thereto, shall no longer constitute either actual or constructive notice to a
purchaser, mortgagee, or other person acquiring an interest in the property,
unless within 6 months after this law shall take effect, (approved April 26,
1941) she or he or some one claiming under her or him shall:

(1) Place on record a deed or other conveyance of the property from the
holder of the record title; or

(2) Place on record a written instrument executed by the holder of the
record title evidencing an extension or modification of the original contract
and showing that the original contract remains in force and effect; or

(3) Institute, or have pending, in a court of competent jurisdiction a suit
for the enforcement of her or his rights under such contract.

HISTORY:
S. 1, ch. 20235, 1941; s. 771, ch. 97-102.

Editors notes.
Section 95.17, referred to in the middle of this section, was transferred to s.

95.16(2) by the reviser incident to compiling the 1974 Supplement to the



Florida Statutes 1973.



 Title XL. ,  Ch. 695. ,   695.22. 
Fla. Stat.  695.22

 695.22. Daily schedule of deeds and conveyances filed for record to be
furnished property appraiser.

After October 1, 1945, the several county recorders must keep and furnish
to the respective county property appraisers in the counties where such
instruments are recorded a daily schedule of the aforesaid deeds and
conveyances so filed for recordation, in which schedule must be set forth the
name of the grantor or grantors, the names and addresses of each grantee, and
a description of the land as specified in each instrument so filed. The daily
schedule must include notification of any information therein which is
subject to a request for removal on file with the county recorder.

HISTORY:
S. 2, ch. 23114, 1945; s. 1, ch. 77-102; s. 4, ch. 2021-215, effective July 1,

2021.



 Title XL. ,  Ch. 695. ,   695.25. 
Fla. Stat.  695.25

 695.25. Short form of acknowledgment. 
The forms of acknowledgment set forth in this section may be used, and

are sufficient for their respective purposes, under any law of this state. The
forms shall be known as Statutory Short Forms of Acknowledgment and
may be referred to by that name. The authorization of the forms in this
section does not preclude the use of other forms.

(1) For an individual acting in his or her own right:

(2) For a corporation:

(3) For a limited liability company:



(4) For a partnership:

(5) For an individual acting as principal by an attorney in fact:

(6) By any public officer, trustee, or personal representative:
STATE OF ___________
COUNTY OF ___________

HISTORY:
S. 1, ch. 73-62; s. 10, ch. 91-291; s. 7, ch. 93-62; s. 772, ch. 97-102; s. 25,

ch. 2019-71, effective January 1, 2020.



 Title XL. ,  Ch. 695. ,   695.26. 
Fla. Stat.  695.26

 695.26. Requirements for recording instruments affecting real
property.
(1) No instrument by which the title to real property or any interest

therein is conveyed, assigned, encumbered, or otherwise disposed of shall
be recorded by the clerk of the circuit court unless:
(a) The name of each person who executed such instrument is legibly

printed, typewritten, or stamped upon such instrument immediately beneath
the signature of such person and the post-office address of each such person
is legibly printed, typewritten, or stamped upon such instrument;

(b) The name and post-office address of the natural person who prepared
the instrument or under whose supervision it was prepared are legibly
printed, typewritten, or stamped upon such instrument;

(c) The name of each witness to the instrument is legibly printed,
typewritten, or stamped upon such instrument immediately beneath the
signature of such witness;

(d) The name of any notary public or other officer authorized to take
acknowledgments or proofs whose signature appears upon the instrument is
legibly printed, typewritten, or stamped upon such instrument immediately
beneath the signature of such notary public or other officer authorized to take
acknowledgment or proofs;

(e) A 3-inch by 3-inch space at the top right-hand corner on the first page
and a 1-inch by 3-inch space at the top right-hand corner on each subsequent
page are reserved for use by the clerk of the court; and

(f) In any instrument other than a mortgage conveying or purporting to
convey any interest in real property, the name and post-office address of each
grantee in such instrument are legibly printed, typewritten, or stamped upon
such instrument.

(2) If a name or address is printed, typewritten, or stamped on an
instrument in a position other than the position required by subsection (1),
the clerk of the circuit court may, in her or his discretion, accept the
instrument for recordation if she or he determines that the connection



between the signature and the name or the name and the address is
apparent.

(3) This section does not apply to:
(a) An instrument executed before July 1, 1991.
(b) A decree, order, judgment, or writ of any court.
(c) An instrument executed, acknowledged, or proved outside of this state.
(d) A will.
(e) A plat.
(f) An instrument prepared or executed by any public officer other than a

notary public.
(4) The failure of the clerk of the circuit court to comply with this

section does not impair the validity of the recordation or of the
constructive notice imparted by recordation.

HISTORY:
S. 1, ch. 90-183; ss. 8, 22, ch. 94-348; s. 773, ch. 97-102.



 Title XL. ,  Ch. 695. ,   695.27. 
Fla. Stat.  695.27

 695.27. Uniform Real Property Electronic Recording Act.
(1) Short title.  This section may be cited as the Uniform Real

Property Electronic Recording Act.
(2) Definitions.  As used in this section:

(a) Document means information that is:
1. Inscribed on a tangible medium or that is stored in an electronic or other

medium and is retrievable in perceivable form; and
2. Eligible to be recorded in the Official Records, as defined in s. 28.222,

and maintained by a county recorder.
(b) Electronic means relating to technology having electrical, digital,

magnetic, wireless, optical, electromagnetic, or similar capabilities.
(c) Electronic document means a document that is received by a county

recorder in an electronic form.
(d) Electronic signature means an electronic sound, symbol, or process

that is executed or adopted by a person with the intent to sign the document
and is attached to or logically associated with a document such that, when
recorded, it is assigned the same document number or a consecutive page
number immediately following such document.

(e) Person means an individual, corporation, business trust, estate, trust,
partnership, limited liability company, association, joint venture, public
corporation, government or governmental subdivision, agency,
instrumentality, or any other legal or commercial entity.

(f) State means a state of the United States, the District of Columbia,
Puerto Rico, the United States Virgin Islands, or any territory or insular
possession subject to the jurisdiction of the United States.

(3) Validity of electronic documents. 
(a) If a law requires, as a condition for recording, that a document be an

original, be on paper or another tangible medium, or be in writing, the
requirement is satisfied by an electronic document satisfying the



requirements of this section.
(b) If a law requires, as a condition for recording, that a document be

signed, the requirement is satisfied by an electronic signature.
(c) A requirement that a document or a signature associated with a

document be notarized, acknowledged, verified, witnessed, or made under
oath is satisfied if the electronic signature of the person authorized to perform
that act, and all other information required to be included, is attached to or
logically associated with the document or signature. A physical or electronic
image of a stamp, impression, or seal need not accompany an electronic
signature.

(4) Recording of documents. 
(a) In this subsection, the term paper document means a document that is

received by the county recorder in a form that is not electronic.
(b) A county recorder:
1. Who implements any of the functions listed in this section shall do so in

compliance with standards established by rule by the Department of State.
2. May receive, index, store, archive, and transmit electronic documents.
3. May provide for access to, and for search and retrieval of, documents

and information by electronic means.
4. Who accepts electronic documents for recording shall continue to accept

paper documents as authorized by state law and shall place entries for both
types of documents in the same index.

5. May convert paper documents accepted for recording into electronic
form.

6. May convert into electronic form information recorded before the
county recorder began to record electronic documents.

7. May agree with other officials of a state or a political subdivision
thereof, or of the United States, on procedures or processes to facilitate the
electronic satisfaction of prior approvals and conditions precedent to
recording.

(5) Administration and standards.  The Department of State, by



rule pursuant to ss. 120.536(1) and 120.54, shall prescribe standards to
implement this section.To keep the standards and practices of county
recorders in this state in harmony with the standards and practices of
recording offices in other jurisdictions that enact substantially this section
and to keep the technology used by county recorders in this state
compatible with technology used by recording offices in other jurisdictions
that enact substantially this section, the Department of State, so far as is
consistent with the purposes, policies, and provisions of this section, in
adopting, amending, and repealing standards, shall consider:
(a) Standards and practices of other jurisdictions.
(b) The most recent standards adopted by national standard-setting bodies,

such as the Property Records Industry Association.
(c) The views of interested persons and governmental officials and entities.
(d) The needs of counties of varying size, population, and resources.
(e) Standards requiring adequate information security protection to ensure

that electronic documents are accurate, authentic, adequately preserved, and
resistant to tampering.

(6) Uniformity of application and construction.  In applying and
construing this section, consideration must be given to the need to promote
uniformity of the law with respect to its subject matter among states that
enact it.

(7) Relation to electronic signatures in global and national
commerce act.  This section modifies, limits, and supersedes the federal
Electronic Signatures in Global and National Commerce Act, 15 U.S.C. ss.
7001 et seq., but this section does not modify, limit, or supersede s. 101(c)
of that act, 15 U.S.C. s. 7001(c), or authorize electronic delivery of any of
the notices described in s. 103(b) of that act, 15 U.S.C. s. 7003(b).

HISTORY:
S. 1, ch. 2007-233, eff. June 27, 2007; s. 157, ch. 2020-2, effective May

18, 2020.



 Title XL. ,  Ch. 695. ,   695.28. 
Fla. Stat.  695.28

 695.28. Validity of recorded electronic documents. 
(1) A document that is otherwise entitled to be recorded and that was or

is submitted to the clerk of the court or county recorder by electronic or
other means and accepted for recordation is deemed validly recorded and
provides notice to all persons notwithstanding:
(a) That the document was received and accepted for recordation before

the Department of State adopted standards implementing s. 695.27;
(b) Any defects in, deviations from, or the inability to demonstrate strict

compliance with any statute, rule, or procedure relating to electronic
signatures, electronic witnesses, electronic notarization, or online
notarization, or for submitting or recording an electronic document in effect
at the time the electronic document was executed or was submitted for
recording;

(c) That the document was signed, witnessed, or notarized electronically,
and that the document was notarized by an online notary public outside the
physical presence of the signer through audio-video communication
technology, as defined in s. 117.201, or that witnessing may have been done
outside the physical presence of the notary public or principal through such
audio-visual communication; or

(d) That the document recorded was a certified printout of a document to
which one or more electronic signatures have been affixed.

(2) This section does not alter the duty of the clerk or recorder to comply
with s. 28.222, s. 695.27, or any rules adopted pursuant to those sections.

(3) This section does not preclude a challenge to the validity or
enforceability of an instrument or electronic record based upon fraud,
forgery, impersonation, duress, incapacity, undue influence, minority,
illegality, unconscionability, or any other basis not in the nature of those
matters described in subsection (1).

HISTORY:
S. 1, ch. 2011-173, eff. June 17, 2011; s. 26, ch. 2019-71, effective January



1, 2020.

Editors notes.
Section 2, ch. 2011-173 provides: This act is intended to clarify existing

law and applies prospectively and retroactively.



 Title XL. ,  Ch. 709. 
Fla. Stat. Title XL, Ch. 709



CHAPTER 709.
POWERS OF ATTORNEY AND SIMILAR INSTRUMENTS.

 Title XL. ,  Ch. 709. ,  Pt. I. 
Fla. Stat. Title XL, Ch. 709, Pt. I



PART I.
POWERS OF APPOINTMENT.

 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.01. 
Fla. Stat.  709.01

 709.01. Power of attorney; authority of nominee when principal dead
[Repealed].

Repealed by s. 33, ch. 2011-210, effective October 1, 2011.

HISTORY:
S. 1, ch. 23011, 1945; s. 1, ch. 67-453; s. 793, ch. 97-102.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.015. 
Fla. Stat.  709.015

 709.015. Power of attorney; authority of agent when principal listed as
missing [Repealed].

Repealed by s. 33, ch. 2011-210, effective October 1, 2011.

HISTORY:
S. 1, ch. 70-33; s. 794, ch. 97-102.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.02. 
Fla. Stat.  709.02

 709.02. Power of appointment; method of release.
Powers of appointment over any property, real, personal, intangible or

mixed, may be released, in whole or in part, by a written instrument signed
by the donee or donees of such powers. Such written releases shall be signed
in the presence of two witnesses but need not be sealed, acknowledged or
recorded in order to be valid, nor shall it be necessary to the validity of such
releases for spouses of married donees to join such donees in the execution of
releases, in whole or part, of powers of appointment.

HISTORY:
S. 1, ch. 23007, 1945; s. 795, ch. 97-102.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.03. 
Fla. Stat.  709.03

 709.03. Power of appointment; property held in trust.
If property subject to a power of appointment is held in trust by a person,

firm or corporation other than the donee or donees of the power, a written
release, in whole or in part, of a power to appoint the same shall be delivered
to such trustee or trustees before the written release becomes legally
effective. In no other instance shall a delivery of a release, in whole or in part,
of a power of appointment be necessary to the validity of such release.

HISTORY:
S. 2, ch. 23007, 1945.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.04. 
Fla. Stat.  709.04

 709.04. Power of appointment; effect of release.
Any power of appointment wholly released by a written instrument signed

by the donee or donees of such power shall be, in legal effect, completely
revoked, and shall not, after such release, be subject to being exercised in any
manner whatsoever. Any power of appointment partially released by a
written instrument signed by the donee or donees of such power shall be, in
legal effect, as to such released part, completely revoked, and shall not after
such release be subject to being exercised in any manner whatsoever as to
such released part.

HISTORY:
S. 3, ch. 23007, 1945.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.05. 
Fla. Stat.  709.05

 709.05. Powers of appointment; validation of prior releases.
All releases, in whole or in part, of powers of appointment heretofore

executed in a manner that conforms with the provisions of this law be and
they are hereby validated and shall be given the same force and effect as if
executed subsequently to the effective date of this law.

HISTORY:
S. 4, ch. 23007, 1945.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.06. 
Fla. Stat.  709.06

 709.06. Powers of appointment included in law.
Powers of appointment referred to in this law shall include not only those

recognized as such by general law but also those designated as such under the
tax law of the United States.

HISTORY:
S. 5, ch. 23007, 1945.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.07. 
Fla. Stat.  709.07

 709.07. Power of appointment; effect of release on title to property.
No such release, in whole or in part, of a power of appointment shall affect

the title to property of any bona fide purchaser for value who does not have
notice or knowledge of such release.

HISTORY:
S. 7, ch. 23007, 1945.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.08. 
Fla. Stat.  709.08

 709.08. Durable power of attorney [Repealed].
Repealed by s. 33, ch. 2011-210, effective October 1, 2011.

HISTORY:
S. 1, ch. 74-245; s. 1, ch. 77-272; s. 1, ch. 83-139; s. 1, ch. 88-36; s. 24, ch.

90-232; s. 1, ch. 92-71; s. 8, ch. 92-199; s. 17, ch. 95-401; s. 796, ch. 97-102;
s. 2, ch. 97-240; s. 29, ch. 99-6; s. 1, ch. 2001-241; s. 104, ch. 2002-1; s. 22,
ch. 2003-154; s. 16, ch. 2004-260; s. 31, ch. 2006-178, eff. July 1, 2006; s.
24, ch. 2006-217, eff. July 1, 2007.



 Title XL. ,  Ch. 709. ,  Pt. I. ,   709.11. 
Fla. Stat.  709.11

 709.11. Deployment-contingent power of attorney [Repealed].
Repealed by s. 33, ch. 2011-210, effective October 1, 2011.

HISTORY:
S. 1, ch. 88-62.



 Title XL. ,  Ch. 709. ,  Pt. II. 
Fla. Stat. Title XL, Ch. 709, Pt. II



PART II.
POWERS OF ATTORNEY.

 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2101. 
Fla. Stat.  709.2101

 709.2101. Short title.
This part may be cited as the Florida Power of Attorney Act.

HISTORY:
S. 3, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2102. 
Fla. Stat.  709.2102

 709.2102. Definitions.
As used in this part, the term:

(1) Agent means a person granted authority to act for a principal under
a power of attorney, whether denominated an agent, attorney in fact, or
otherwise. The term includes an original agent, co-agent, and successor
agent.

(2) Another state means a state of the United States, the District of
Columbia, Puerto Rico, the United States Virgin Islands, or any territory or
insular possession subject to the jurisdiction of the United States.

(3) Broker-dealer means a broker-dealer registered with the United
States Securities and Exchange Commission or the Commodity Futures
Trading Commission if the broker-dealer is acting in that capacity.

(4) Durable means, with respect to a power of attorney, not terminated
by the principals incapacity.

(5) Electronic means technology having electrical, digital, magnetic,
wireless, optical, electromagnetic, or similar capabilities.

(6) Financial institution has the same meaning as in s. 655.005.
(7) Incapacity means the inability of an individual to take those

actions necessary to obtain, administer, and dispose of real and personal
property, intangible property, business property, benefits, and income.

(8) Knowledge means a person has actual knowledge of the fact, has
received a notice or notification of the fact, or has reason to know the fact
from all other facts and circumstances known to the person at the time in
question. An organization that conducts activities through employees has
notice or knowledge of a fact involving a power of attorney only from the
time information was received by an employee having responsibility to act
on matters involving the power of attorney, or would have had if brought
to the employees attention if the organization had exercised reasonable
diligence. An organization exercises reasonable diligence if the
organization maintains reasonable routines for communicating significant



information to the employee having responsibility to act on matters
involving the power of attorney and there is reasonable compliance with
the routines. Reasonable diligence does not require an employee to
communicate information unless the communication is part of the
individuals regular duties or the individual knows that a matter involving
the power of attorney would be materially affected by the information.

(9) Power of attorney means a writing that grants authority to an agent
to act in the place of the principal, whether or not the term is used in that
writing.

(10) Presently exercisable general power of appointment means, with
respect to property or a property interest subject to a power of
appointment, power exercisable at the time in question to vest absolute
ownership in the principal individually, the principals estate, the
principals creditors, or the creditors of the principals estate. The term
includes a power of appointment not exercisable until the occurrence of a
specified event, the satisfaction of an ascertainable standard, or the passage
of a specified period only after the occurrence of the specified event, the
satisfaction of the ascertainable standard, or the passage of the specified
period. The term does not include a power exercisable in a fiduciary
capacity or only by will.

(11) Principal means an individual who grants authority to an agent in
a power of attorney.

(12) Property means anything that may be the subject of ownership,
whether real or personal, legal or equitable, or any interest or right therein.

(13) Record means information that is inscribed on a tangible medium
or that is stored in an electronic or other medium and is retrievable in
perceivable form.

(14) Sign means having present intent to authenticate or adopt a
record to:
(a) Execute by signature or mark; or
(b) Attach to, or logically associate with the record an electronic sound,

symbol, or process.
(15) Third person means any person other than the principal, or the



agent in the agents capacity as agent.

HISTORY:
S. 4, ch. 2011-210, eff. Oct. 1, 2011; s. 1, ch. 2013-90, eff. May 30, 2013.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2103. 
Fla. Stat.  709.2103

 709.2103. Applicability.
This part applies to all powers of attorney except:

(1) A proxy or other delegation to exercise voting rights or management
rights with respect to an entity;

(2) A power created on a form prescribed by a government or
governmental subdivision, agency, or instrumentality for a governmental
purpose;

(3) A power to the extent it is coupled with an interest in the subject of
the power, including a power given to or for the benefit of a creditor in
connection with a credit transaction;

(4) A power created by a person other than an individual;
(5) A power given to a transfer agent to facilitate a specific transfer or

disposition of one or more identified stocks, bonds, or other financial
instruments;

(6) A power authorizing a financial institution or broker-dealer, or an
employee of the financial institution or broker-dealer, to act as agent for
the account owner in executing trades or transfers of cash, securities,
commodities, or other financial assets in the regular course of business;
and

(7) A delegation of powers by a trustee in accordance with s. 736.0807.

HISTORY:
S. 5, ch. 2011-210, eff. Oct. 1, 2011; s. 2, ch. 2013-90, eff. May 30, 2013.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2104. 
Fla. Stat.  709.2104

 709.2104. Durable power of attorney.
Except as otherwise provided under this part, a power of attorney is

durable if it contains the words: This durable power of attorney is not
terminated by subsequent incapacity of the principal except as provided in
chapter 709, Florida Statutes, or similar words that show the principals
intent that the authority conferred is exercisable notwithstanding the
principals subsequent incapacity.

HISTORY:
S. 6, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2105. 
Fla. Stat.  709.2105

 709.2105. Qualifications of agent; execution of power of attorney.
(1) The agent must be a natural person who is 18 years of age or older or

a financial institution that has trust powers, has a place of business in this
state, and is authorized to conduct trust business in this state.

(2) A power of attorney must be signed by the principal and by two
subscribing witnesses and be acknowledged by the principal before a
notary public or as otherwise provided in s. 695.03.

(3) If the principal is physically unable to sign the power of attorney, the
notary public before whom the principals oath or acknowledgment is
made may sign the principals name on the power of attorney pursuant to s.
117.05(14).

HISTORY:
S. 7, ch. 2011-210, eff. Oct. 1, 2011; s. 3, ch. 2013-90, eff. May 30, 2013.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2106. 
Fla. Stat.  709.2106

 709.2106. Validity of power of attorney.
(1) A power of attorney executed on or after October 1, 2011, is valid if

its execution complies with s. 709.2105.
(2) A power of attorney executed before October 1, 2011, is valid if its

execution complied with the law of this state at the time of execution.
(3) A power of attorney executed in another state which does not

comply with the execution requirements of this part is valid in this state if,
when the power of attorney was executed, the power of attorney and its
execution complied with the law of the state of execution. A third person
who is requested to accept a power of attorney that is valid in this state
solely because of this subsection may in good faith request, and rely upon,
without further investigation, an opinion of counsel as to any matter of law
concerning the power of attorney, including the due execution and validity
of the power of attorney. An opinion of counsel requested under this
subsection must be provided at the principals expense. A third person may
reject a power of attorney that is valid in this state solely because of this
subsection if the agent does not provide the requested opinion of counsel,
and in such case, a third person has no liability for rejecting the power of
attorney. This subsection does not affect any other rights of a third person
who is requested to accept the power of attorney under this part, or any
other provisions of applicable law.

(4) A military power of attorney is valid if it is executed in accordance
with 10 U.S.C. s. 1044b, as amended. A deployment-contingent power of
attorney may be signed in advance, is effective upon the deployment of the
principal, and shall be afforded full force and effect by the courts of this
state.

(5) Except as otherwise provided in the power of attorney, a photocopy
or electronically transmitted copy of an original power of attorney has the
same effect as the original. Notwithstanding this subsection, an original
power of attorney that is relied upon to affect the title to real property may
be required for recording in the official records.

(6) An original of a properly executed power of attorney may be



presented to the clerk of the circuit court for recording in the official
records as provided under s. 28.222 upon payment of the service charge as
provided under s. 28.24.

HISTORY:
S. 8, ch. 2011-210, eff. Oct. 1, 2011; s. 4, ch. 2013-90, eff. May 30, 2013.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2107. 
Fla. Stat.  709.2107

 709.2107. Meaning and effectiveness of power of attorney.
The meaning and effectiveness of a power of attorney is governed by this

part if the power of attorney:
(1) Is used in this state; or
(2) States that it is to be governed by the laws of this state.

HISTORY:
S. 9, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2108. 
Fla. Stat.  709.2108

 709.2108. When power of attorney is effective.
(1) Except as provided in this section, a power of attorney is exercisable

when executed.
(2) If a power of attorney executed before October 1, 2011, is

conditioned on the principals lack of capacity and the power of attorney
has not become exercisable before that date, the power of attorney is
exercisable upon the delivery of the affidavit of a physician who has
primary responsibility for the treatment and care of the principal and who
is licensed to practice medicine or osteopathic medicine pursuant to
chapter 458 or chapter 459 as of the date of the affidavit. The affidavit
executed by the physician must state that the physician is licensed to
practice medicine or osteopathic medicine pursuant to chapter 458 or
chapter 459, that the physician is the primary physician who has
responsibility for the treatment and care of the principal, and that the
physician believes that the principal lacks the capacity to manage property.

(3) Except as provided in subsection (2) and s. 709.2106(4), a power of
attorney is ineffective if the power of attorney provides that it is to become
effective at a future date or upon the occurrence of a future event or
contingency.

HISTORY:
S. 10, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2109. 
Fla. Stat.  709.2109

 709.2109. Termination or suspension of power of attorney or agents
authority.
(1) A power of attorney terminates when:

(a) The principal dies;
(b) The principal becomes incapacitated, if the power of attorney is not

durable;
(c) The principal is adjudicated totally or partially incapacitated by a court,

unless the court determines that certain authority granted by the power of
attorney is to be exercisable by the agent;

(d) The principal revokes the power of attorney;
(e) The power of attorney provides that it terminates;
(f) The purpose of the power of attorney is accomplished; or
(g) The agents authority terminates and the power of attorney does not

provide for another agent to act under the power of attorney.
(2) An agents authority is exercisable until the authority terminates. An

agents authority terminates when:
(a) The agent dies, becomes incapacitated, resigns, or is removed by a

court;
(b) An action is filed for the dissolution or annulment of the agents

marriage to the principal or for their legal separation, unless the power of
attorney otherwise provides; or

(c) The power of attorney terminates.
(3) If any person initiates judicial proceedings to determine the

principals incapacity or for the appointment of a guardian advocate, the
authority granted under the power of attorney is suspended until the
petition is dismissed or withdrawn or the court enters an order authorizing
the agent to exercise one or more powers granted under the power of
attorney. However, if the agent named in the power of attorney is the
principals parent, spouse, child, or grandchild, the authority under the



power of attorney is not suspended unless a verified motion in accordance
with s. 744.3203 is also filed.
(a) If an emergency arises after initiation of proceedings to determine

incapacity and before adjudication regarding the principals capacity, the
agent may petition the court in which the proceeding is pending for
authorization to exercise a power granted under the power of attorney. The
petition must set forth the nature of the emergency, the property or matter
involved, and the power to be exercised by the agent.

(b) Notwithstanding the provisions of this section, unless otherwise
ordered by the court, a proceeding to determine incapacity does not affect the
authority of the agent to make health care decisions for the principal,
including, but not limited to, those provided in chapter 765. If the principal
has executed a health care advance directive designating a health care
surrogate, the terms of the directive control if the directive and the power of
attorney are in conflict unless the power of attorney is later executed and
expressly states otherwise.

(4) Termination or suspension of an agents authority or of a power of
attorney is not effective as to an agent who, without knowledge of the
termination or suspension, acts in good faith under the power of attorney.
An act so performed, unless otherwise invalid or unenforceable, binds the
principal and the principals successors in interest.

HISTORY:
S. 11, ch. 2011-210, eff. Oct. 1, 2011; s. 1, ch. 2015-83, effective July 1,

2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2110. 
Fla. Stat.  709.2110

 709.2110. Revocation of power of attorney.
(1) A principal may revoke a power of attorney by expressing the

revocation in a subsequently executed power of attorney or other writing
signed by the principal. The principal may give notice of the revocation to
an agent who has accepted authority under the revoked power of attorney.

(2) Except as provided in subsection (1), the execution of a power of
attorney does not revoke a power of attorney previously executed by the
principal.

HISTORY:
S. 12, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2111. 
Fla. Stat.  709.2111

 709.2111. Co-agents and successor agents.
(1) A principal may designate two or more persons to act as co-agents.

Unless the power of attorney otherwise provides, each co-agent may
exercise its authority independently.

(2) A principal may designate one or more successor agents to act if an
agent resigns, dies, becomes incapacitated, is not qualified to serve, or
declines to serve. Unless the power of attorney otherwise provides, a
successor agent:
(a) Has the same authority as that granted to the original agent; and
(b) May not act until the predecessor agents have resigned, have died, have

become incapacitated, are no longer qualified to serve, or have declined to
serve.

(3) Except as otherwise provided in the power of attorney and
subsection (4), an agent who does not participate in or conceal a breach of
fiduciary duty committed by another agent, including a predecessor agent,
is not liable for the actions or omissions of the other agent.

(4) An agent who has actual knowledge of a breach or imminent breach
of fiduciary duty by another agent, including a predecessor agent, must
take any action reasonably appropriate in the circumstances to safeguard
the principals best interests. If the agent in good faith believes that the
principal is not incapacitated, giving notice to the principal is a sufficient
action. An agent who fails to take action as required by this subsection is
liable to the principal for the principals reasonably foreseeable damages
that could have been avoided if the agent had taken such action.

(5) A successor agent does not have a duty to review the conduct or
decisions of a predecessor agent. Except as provided in subsection (4), a
successor agent does not have a duty to institute any proceeding against a
predecessor agent, or to file any claim against a predecessor agents estate,
for any of the predecessor agents actions or omissions as agent.

(6) If a power of attorney requires that two or more persons act together
as co-agents, notwithstanding the requirement that they act together, one or



more of the agents may delegate to a co-agent the authority to conduct
banking transactions as provided in s. 709.2208(1), whether the authority
to conduct banking transactions is specifically enumerated or incorporated
by reference to that section in the power of attorney.

HISTORY:
S. 13, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2112. 
Fla. Stat.  709.2112

 709.2112. Reimbursement and compensation of agent.
(1) Unless the power of attorney otherwise provides, an agent is entitled

to reimbursement of expenses reasonably incurred on behalf of the
principal.

(2) Unless the power of attorney otherwise provides, a qualified agent is
entitled to compensation that is reasonable under the circumstances.

(3) Notwithstanding any provision in the power of attorney, an agent
may not be paid compensation unless the agent is a qualified agent.

(4) For purposes of this section, the term qualified agent means an
agent who is the spouse of the principal, an heir of the principal within the
meaning of s. 732.103, a financial institution that has trust powers and a
place of business in this state, an attorney or certified public accountant
who is licensed in this state, or a natural person who is a resident of this
state and who has never been an agent for more than three principals at the
same time.

HISTORY:
S. 14, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2113. 
Fla. Stat.  709.2113

 709.2113. Agents acceptance of appointment.
Except as otherwise provided in the power of attorney, a person accepts

appointment as an agent by exercising authority or performing duties as an
agent or by any other assertion or conduct indicating acceptance. The scope
of an agents acceptance is limited to those aspects of the power of attorney
for which the agents assertions or conduct reasonably manifests acceptance.

HISTORY:
S. 15, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2114. 
Fla. Stat.  709.2114

 709.2114. Agents duties.
(1) An agent is a fiduciary. Notwithstanding the provisions in the power

of attorney, an agent who has accepted appointment:
(a) Must act only within the scope of authority granted in the power of

attorney. In exercising that authority, the agent:
1. May not act contrary to the principals reasonable expectations actually

known by the agent;
2. Must act in good faith;
3. May not act in a manner that is contrary to the principals best interest,

except as provided in paragraph (2)(d) and s. 709.2202; and
4. Must attempt to preserve the principals estate plan, to the extent

actually known by the agent, if preserving the plan is consistent with the
principals best interest based on all relevant factors, including:

a. The value and nature of the principals property;
b. The principals foreseeable obligations and need for maintenance;
c. Minimization of taxes, including income, estate, inheritance, generation-

skipping transfer, and gift taxes;
d. Eligibility for a benefit, a program, or assistance under a statute or rule;

and
e. The principals personal history of making or joining in making gifts;
(b) May not delegate authority to a third person except as authorized under

s. 518.112 or this part or by executing a power of attorney on a form
prescribed by a government or governmental subdivision, agency, or
instrumentality for a governmental purpose;

(c) Must keep a record of all receipts, disbursements, and transactions
made on behalf of the principal; and

(d) Must create and maintain an accurate inventory each time the agent
accesses the principals safe-deposit box, if the power of attorney authorizes



the agent to access the box.
(2) Except as otherwise provided in the power of attorney, an agent who

has accepted appointment shall:
(a) Act loyally for the sole benefit of the principal;
(b) Act so as not to create a conflict of interest that impairs the agents

ability to act impartially in the principals best interest;
(c) Act with the care, competence, and diligence ordinarily exercised by

agents in similar circumstances; and
(d) Cooperate with a person who has authority to make health care

decisions for the principal in order to carry out the principals reasonable
expectations to the extent actually known by the agent and, otherwise, act in
the principals best interest.

(3) An agent who acts in good faith is not liable to any beneficiary of the
principals estate plan for failure to preserve the plan.

(4) If an agent is selected by the principal because of special skills or
expertise possessed by the agent or in reliance on the agents
representation that the agent has special skills or expertise, the special
skills or expertise must be considered in determining whether the agent has
acted with care, competence, and diligence under the circumstances.

(5) Absent a breach of duty to the principal, an agent is not liable if the
value of the principals property declines.

(6) Except as otherwise provided in the power of attorney, an agent is
not required to disclose receipts, disbursements, transactions conducted on
behalf of the principal, or safe-deposit box inventories, unless ordered by a
court or requested by the principal, a court-appointed guardian, another
fiduciary acting for the principal, a governmental agency having authority
to protect the welfare of the principal, or, upon the death of the principal,
by the personal representative or successor in interest of the principals
estate. If requested, the agent must comply with the request within 60 days
or provide a writing or other record substantiating why additional time is
needed and comply with the request within an additional 60 days.

HISTORY:



S. 16, ch. 2011-210, eff. Oct. 1, 2011; s. 5, ch. 2013-90, eff. May 30, 2013.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2115. 
Fla. Stat.  709.2115

 709.2115. Exoneration of agent.
A power of attorney may provide that the agent is not liable for any acts or

decisions made by the agent in good faith and under the power of attorney,
except to the extent the provision:

(1) Relieves the agent of liability for breach of a duty committed
dishonestly, with improper motive, or with reckless indifference to the
purposes of the power of attorney or the best interest of the principal; or

(2) Was inserted as a result of an abuse of a confidential or fiduciary
relationship with the principal.

HISTORY:
S. 17, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2116. 
Fla. Stat.  709.2116

 709.2116. Judicial relief; conflicts of interests.
(1) A court may construe or enforce a power of attorney, review the

agents conduct, terminate the agents authority, remove the agent, and
grant other appropriate relief.

(2) The following persons may petition the court:
(a) The principal or the agent, including any nominated successor agent.
(b) A guardian, conservator, trustee, or other fiduciary acting for the

principal or the principals estate.
(c) A person authorized to make health care decisions for the principal if

the health care of the principal is affected by the actions of the agent.
(d) Any other interested person if the person demonstrates to the courts

satisfaction that the person is interested in the welfare of the principal and has
a good faith belief that the courts intervention is necessary.

(e) A governmental agency having regulatory authority to protect the
welfare of the principal.

(f) A person asked to honor the power of attorney.
(3) In any proceeding commenced by filing a petition under this section,

including, but not limited to, the unreasonable refusal of a third person to
allow an agent to act pursuant to the power of attorney, and in challenges
to the proper exercise of authority by the agent, the court shall award
reasonable attorney fees and costs as in chancery actions.

(4) If an agents exercise of a power is challenged in a judicial
proceeding brought by or on behalf of the principal on the grounds that the
exercise of the power was affected by a conflict of interest, and evidence is
presented that the agent or an affiliate of the agent had a personal interest
in the exercise of the power, the agent or affiliate has the burden of
proving, by clear and convincing evidence that the agent acted:
(a) Solely in the interest of the principal; or
(b) In good faith in the principals best interest, and the conflict of interest



was expressly authorized in the power of attorney.
(5) For purposes of subsection (4):

(a) A provision authorizing an agent to engage in a transaction affected by
a conflict of interest which is inserted into a power of attorney as the result of
the abuse of a fiduciary or confidential relationship with the principal by the
agent or the agents affiliate is invalid.

(b) Affiliates of an agent include:
1. The agents spouse;
2. The agents descendants, siblings, parents, or their spouses;
3. A corporation or other entity in which the agent, or a person who owns a

significant interest in the agent, has an interest that might affect the agents
best judgment;

4. A person or entity that owns a significant interest in the agent; or
5. The agent acting in a fiduciary capacity for someone other than the

principal.

HISTORY:
S. 18, ch. 2011-210, eff. Oct. 1, 2011; s. 6, ch. 2013-90, eff. May 30, 2013.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2117. 
Fla. Stat.  709.2117

 709.2117. Agents liability.
An agent who violates this part is liable to the principal or the principals

successors in interest for the amount required to:
(1) Restore the value of the principals property to what it would have

been had the violation not occurred; and
(2) Reimburse the principal or the principals successors in interest for

the attorneys fees and costs paid from the principals funds on the agents
behalf in defense of the agents actions.

HISTORY:
S. 19, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2118. 
Fla. Stat.  709.2118

 709.2118. Agents resignation.
Unless the power of attorney provides a different method for an agents

resignation, an agent may resign by giving notice to the principal, to the
guardian if the principal is incapacitated and one has been appointed for the
principal, and to any co-agent, or if none, the next successor agent.

HISTORY:
S. 20, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2119. 
Fla. Stat.  709.2119

 709.2119. Acceptance of and reliance upon power of attorney.
(1)(a) A third person who in good faith accepts a power of attorney that
appears to be executed in the manner required by law at the time of its
execution may rely upon the power of attorney and the actions of the agent
which are reasonably within the scope of the agents authority and may
enforce any obligation created by the actions of the agent as if:
1. The power of attorney were genuine, valid, and still in effect;
2. The agents authority were genuine, valid, and still in effect; and
3. The authority of the officer executing for or on behalf of a financial

institution that has trust powers and acting as agent is genuine, valid, and still
in effect.

(b) For purposes of this subsection, and without limiting what constitutes
good faith, a third person does not accept a power of attorney in good faith if
the third person has notice that:

1. The power of attorney is void, invalid, or terminated; or
2. The purported agents authority is void, invalid, suspended, or

terminated.
(2) A third person may require:

(a) An agent to execute an affidavit stating where the principal is
domiciled; that the principal is not deceased; that there has been no
revocation, or partial or complete termination by adjudication of incapacity or
by the occurrence of an event referenced in the power of attorney; that there
has been no suspension by initiation of proceedings to determine incapacity,
or to appoint a guardian, of the principal; that the agents authority has not
been terminated by the filing of an action for dissolution or annulment of
marriage or legal separation of the agent and principal; and, if the affiant is a
successor agent, the reasons for the unavailability of the predecessor agents,
if any, at the time the authority is exercised.

(b) An officer of a financial institution acting as agent to execute a separate
affidavit, or include in the form of the affidavit, the officers title and a



statement that the officer has full authority to perform all acts and enter into
all transactions authorized by the power of attorney for and on behalf of the
financial institution in its capacity as agent.

(c) A written affidavit executed by the agent under this subsection which
may, but need not, be in the following form:
STATE OF________________
COUNTY OF________________

Before me, the undersigned authority, personally appeared
(agent) (Affiant), by the means specified herein who swore or
affirmed that:
1. Affiant is the agent named in the Power of Attorney executed by

(principal) (Principal) on (date).
2. This Power of Attorney is currently exercisable by Affiant. The

principal is domiciled in (insert name of state, territory, or foreign country).
3. To the best of Affiants knowledge after diligent search and inquiry:
a. The Principal is not deceased;
b. Affiants authority has not been suspended by initiation of proceedings

to determine incapacity or to appoint a guardian or a guardian advocate; and
c. Affiants authority has not been terminated by the filing of an action for

dissolution or annulment of Affiants marriage to the principal, or their legal
separation; and

d. There has been no revocation, or partial or complete termination, of the
power of attorney or of Affiants authority.

4. Affiant is acting within the scope of authority granted in the power of
attorney.

5. Affiant is the successor to (insert name of predecessor agent), who has
resigned, died, become incapacitated, is no longer qualified to serve, has
declined to serve as agent, or is otherwise unable to act, if applicable.

6. Affiant agrees not to exercise any powers granted by the Power of
Attorney if Affiant attains knowledge that the power of attorney has been



revoked, has been partially or completely terminated or suspended, or is no
longer valid because of the death or adjudication of incapacity of the
Principal.

    ________________
(Affiant)

Sworn to (or affirmed) and subscribed before me by means of 
 physical presence or  online notarization this ____ day of

 (month), (year), by (name of person making statement)
(Signature of Notary Public)
(Print, Type, or Stamp Commissioned Name of Notary Public)
Personally Known OR Produced Identification

(Type of Identification Produced)
(3) A third person who is asked to accept a power of attorney that

appears to be executed in accordance with s. 709.2105 may in good faith
request, and rely upon, without further investigation:
(a) A certified English translation of the power of attorney if the power of

attorney contains, in whole or in part, language other than English;
(b) An opinion of counsel as to any matter of law concerning the power of

attorney if the third person making the request provides in a writing or other
record the reason for the request;

(c) The affidavit described in subsection (2); or
(d) The electronic journal or record made by the notary public pursuant to

the laws of the state in which the notary public is appointed if the power of
attorney is witnessed or notarized remotely through the use of online
witnesses or notarization.

(4) An English translation, an opinion of counsel, or an electronic
journal or record requested under this section must be provided at the
principals expense unless the request is made after the time specified in s.
709.2120(1) for acceptance or rejection of the power of attorney.

(5) Third persons who act in reliance upon the authority granted to an



agent and in accordance with the instructions of the agent shall be held
harmless by the principal from any loss suffered or liability incurred as a
result of actions taken before the receipt of notice as provided in s.
709.2121. A third person who acts in good faith upon any representation,
direction, decision, or act of the agent is not liable to the principal or the
principals estate, beneficiaries, or joint owners for those acts.

(6) The acts of an agent under a power of attorney are as valid and
binding on the principal or the principals estate as if the principal were
alive and competent if, in connection with any activity pertaining to
hostilities in which the United States is then engaged, the principal is
officially listed or reported by a branch of the United States Armed Forces
in a missing status as defined in 37 U.S.C. s. 551 or 5 U.S.C. s. 5561,
regardless of whether the principal is dead, alive, or incompetent.
Homestead property held as tenants by the entireties may not be conveyed
by a power of attorney regulated under this provision until 1 year after the
first official report or listing of the principal as missing or missing in
action. An affidavit of an officer of the Armed Forces having maintenance
and control of the records pertaining to those missing or missing in action
that the principal has been in that status for a given period is conclusive
presumption of the fact.

HISTORY:
S. 21, ch. 2011-210, eff. Oct. 1, 2011; s. 7, ch. 2013-90, eff. May 30, 2013;

s. 27, ch. 2019-71, effective January 1, 2020; s. 3, ch. 2021-205, effective
June 29, 2021.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2120. 
Fla. Stat.  709.2120

 709.2120. Rejecting power of attorney.
(1) A third person must accept or reject a power of attorney within a

reasonable time. Four days, excluding Saturdays, Sundays, and legal
holidays, are presumed to be a reasonable time for a financial institution or
broker-dealer to accept or reject a power of attorney with respect to:
(a) A banking transaction, if the power of attorney expressly contains

authority to conduct banking transactions pursuant to s. 709.2208(1); or
(b) An investment transaction, if the power of attorney expressly contains

authority to conduct investment transactions pursuant to s. 709.2208(2).
(2) A third person may not require an additional or different form of

power of attorney for authority granted in the power of attorney presented.
(3) A third person who rejects a power of attorney for any reason other

than as provided in paragraph (4)(a) must state in writing the reason for the
rejection.

(4) A third person is not required to accept a power of attorney if:
(a) The third person is not otherwise required to engage in a transaction

with the principal in the same circumstances;
(b) The third person has knowledge of the termination or suspension of the

agents authority or of the power of attorney before exercising the power;
(c) A timely request by the third person for an affidavit, English

translation, opinion of counsel, or electronic journal or record under s.
709.2119 is refused by the agent;

(d) The power of attorney is witnessed or notarized remotely through the
use of online witnesses or notarization, and either the agent is unable to
produce the electronic journal or record, or the notary public did not maintain
an electronic journal or record of the notarization;

(e) Except as provided in paragraph (b), the third person believes in good
faith that the power is not valid or that the agent does not have authority to
perform the act requested; or



(f) The third person makes, or has knowledge that another person has
made, a report to the local adult protective services office stating a good faith
belief that the principal may be subject to physical or financial abuse, neglect,
exploitation, or abandonment by the agent or a person acting for or with the
agent.

(5) A third person who, in violation of this section, rejects a power of
attorney is subject to:
(a) A court order mandating acceptance of the power of attorney; and
(b) Liability for damages, including reasonable attorney fees and costs,

incurred in any action or proceeding that confirms, for the purpose tendered,
the validity of the power of attorney or mandates acceptance of the power of
attorney.

HISTORY:
S. 22, ch. 2011-210, eff. Oct. 1, 2011; s. 8, ch. 2013-90, eff. May 30, 2013;

s. 28, ch. 2019-71, effective January 1, 2020.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2121. 
Fla. Stat.  709.2121

 709.2121. Notice.
(1) A notice, including a notice of revocation, notice of partial or

complete termination by adjudication of incapacity or by the occurrence of
an event referenced in the power of attorney, notice of death of the
principal, notice of suspension by initiation of proceedings to determine
incapacity or to appoint a guardian, or other notice, is not effective until
written notice is provided to the agent or any third persons relying upon a
power of attorney.

(2) Notice must be in writing and must be accomplished in a manner
reasonably suitable under the circumstances and likely to result in receipt
of the notice or document. Permissible methods of notice or for sending a
document include first-class mail, personal delivery, delivery to the
persons last known place of residence or place of business, or a properly
directed facsimile or other electronic message.

(3) Notice to a financial institution or broker-dealer must contain the
principals name and address and the last four digits of the principals
taxpayer identification number and be directed to an officer or a manager
of the financial institution or broker-dealer in this state.

(4) Notice is effective when given, except that notice upon a financial
institution, brokerage company, or title insurance company is not effective
until 5 days, excluding Saturdays, Sundays, and legal holidays, after it is
received.

HISTORY:
S. 23, ch. 2011-210, eff. Oct. 1, 2011; s. 9, ch. 2013-90, eff. May 30, 2013.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2201. 
Fla. Stat.  709.2201

 709.2201. Authority of agent.
(1) Except as provided in this section or other applicable law, an agent

may only exercise authority specifically granted to the agent in the power
of attorney and any authority reasonably necessary to give effect to that
express grant of specific authority. General provisions in a power of
attorney which do not identify the specific authority granted, such as
provisions purporting to give the agent authority to do all acts that the
principal can do, are not express grants of specific authority and do not
grant any authority to the agent. Court approval is not required for any
action of the agent in furtherance of an express grant of specific authority.

(2) As a confirmation of the law in effect in this state when this part
became effective, such authorization may include, without limitation,
authority to:
(a) Execute stock powers or similar documents on behalf of the principal

and delegate to a transfer agent or similar person the authority to register any
stocks, bonds, or other securities into or out of the principals or nominees
name.

(b) Convey or mortgage homestead property. However, if the principal is
married, the agent may not mortgage or convey homestead property without
joinder of the principals spouse or the spouses guardian. Joinder by a
spouse may be accomplished by the exercise of authority in a power of
attorney executed by the joining spouse, and either spouse may appoint the
other as his or her agent.

(c) If such authority is specifically granted in a durable power of attorney,
make all health care decisions on behalf of the principal, including, but not
limited to, those set forth in chapter 765.

(3) Notwithstanding the provisions of this section, an agent may not:
(a) Perform duties under a contract that requires the exercise of personal

services of the principal;
(b) Make any affidavit as to the personal knowledge of the principal;



(c) Vote in any public election on behalf of the principal;
(d) Execute or revoke any will or codicil for the principal; or
(e) Exercise powers and authority granted to the principal as trustee or as

court-appointed fiduciary.
(4) Subject to s. 709.2202, if the subjects over which authority is granted

in a power of attorney are similar or overlap, the broadest authority
controls.

(5) Authority granted in a power of attorney is exercisable with respect
to property that the principal has when the power of attorney is executed
and to property that the principal acquires later, whether or not the property
is located in this state and whether or not the authority is exercised or the
power of attorney is executed in this state.

(6) An act performed by an agent pursuant to a power of attorney has the
same effect and inures to the benefit of and binds the principal and the
principals successors in interest as if the principal had performed the act.

HISTORY:
S. 24, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2202. 
Fla. Stat.  709.2202

 709.2202. Authority that requires separate signed enumeration.
(1) Notwithstanding s. 709.2201, an agent may exercise the following

authority only if the principal signed or initialed next to each specific
enumeration of the authority, the exercise of the authority is consistent
with the agents duties under s. 709.2114, and the exercise is not otherwise
prohibited by another agreement or instrument:
(a) Create an inter vivos trust;
(b) With respect to a trust created by or on behalf of the principal, amend,

modify, revoke, or terminate the trust, but only if the trust instrument
explicitly provides for amendment, modification, revocation, or termination
by the settlors agent;

(c) Make a gift, subject to subsection (4);
(d) Create or change rights of survivorship;
(e) Create or change a beneficiary designation;
(f) Waive the principals right to be a beneficiary of a joint and survivor

annuity, including a survivor benefit under a retirement plan; or
(g) Disclaim property and powers of appointment.

(2) In addition to signing the power of attorney on behalf of the principal
pursuant to s. 709.2105(3), if the principal is physically unable to sign or
initial next to any enumerated authority for which subsection (1) requires
the principal to sign or initial, the notary public before whom the
principals oath or acknowledgment is made may sign the principals name
or initials if:
(a) The principal directs the notary to sign the principals name or initials

on the power of attorney next to any enumerated authority for which
subsection (1) requires the principal to sign or initial;

(b) The signing or initialling by the notary is done in the presence of the
principal and witnessed by two disinterested subscribing witnesses; and

(c) The notary writes the statement Signature or initials affixed by the



notary pursuant to s. 709.2202(2), Florida Statutes, below each signature or
initial that the notary writes on behalf of the principal.

Only one notarial certificate in substantially the same form as those
described in s. 117.05(14), which states the circumstances of all signatures
and initials written by the notary public, is required to be completed by the
notary public.

(3) Notwithstanding a grant of authority to do an act described in
subsection (1), unless the power of attorney otherwise provides, an agent
who is not an ancestor, spouse, or descendant of the principal may not
exercise authority to create in the agent, or in an individual to whom the
agent owes a legal obligation of support, an interest in the principals
property, whether by gift, right of survivorship, beneficiary designation,
disclaimer, or otherwise.

(4) Unless the power of attorney otherwise provides, a provision in a
power of attorney granting general authority with respect to gifts
authorizes the agent to only:
(a) Make outright to, or for the benefit of, a person a gift of any of the

principals property, including by the exercise of a presently exercisable
general power of appointment held by the principal, in an amount per donee
per calendar year not to exceed the annual dollar limits of the federal gift tax
exclusion under 26 U.S.C. s. 2503(b), as amended, without regard to whether
the federal gift tax exclusion applies to the gift, or if the principals spouse
agrees to consent to a split gift pursuant to 26 U.S.C. s. 2513, as amended, in
an amount per donee per calendar year not to exceed twice the annual federal
gift tax exclusion limit; and

(b) Consent, pursuant to 26 U.S.C. s. 2513, as amended, to the splitting of
a gift made by the principals spouse in an amount per donee per calendar
year not to exceed the aggregate annual gift tax exclusions for both spouses.

(5) Notwithstanding subsection (1), if a power of attorney is otherwise
sufficient to grant an agent authority to conduct banking transactions, as
provided in s. 709.2208(1), conduct investment transactions as provided in
s. 709.2208(2), or otherwise make additions to or withdrawals from an
account of the principal, making a deposit to or withdrawal from an
insurance policy, retirement account, individual retirement account, benefit



plan, bank account, or any other account held jointly or otherwise held in
survivorship or payable on death, is not considered to be a change to the
survivorship feature or beneficiary designation, and no further specific
authority is required for the agent to exercise such authority. A financial
institution or broker-dealer does not have a duty to inquire as to the
appropriateness of the agents exercise of that authority and is not liable to
the principal or any other person for actions taken in good faith reliance on
the appropriateness of the agents actions. This subsection does not
eliminate the agents fiduciary duties to the principal with respect to any
exercise of the power of attorney.

(6) Notwithstanding subsection (1) and s. 709.2106(3), a power of
attorney, executed by a principal domiciled in this state at the time of
execution, that is witnessed remotely pursuant to s. 117.285 or other
applicable law by a witness who is not in the physical presence of the
principal is not effective to grant authority to an agent to take any of the
actions enumerated in subsection (1).

(7) This section does not apply to a power of attorney executed before
October 1, 2011.

HISTORY:
S. 25, ch. 2011-210, eff. Oct. 1, 2011; s. 10, ch. 2013-90, eff. May 30,

2013; s. 29, ch. 2019-71, effective January 1, 2020.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2208. 
Fla. Stat.  709.2208

 709.2208. Banks and other financial institutions.
(1) A power of attorney that includes the statement that the agent has

authority to conduct banking transactions as provided in section
709.2208(1), Florida Statutes grants general authority to the agent to
engage in the following transactions with financial institutions without
additional specific enumeration in the power of attorney:
(a) Establish, continue, modify, or terminate an account or other banking

arrangement with a financial institution.
(b) Contract for services available from a financial institution, including

renting a safe-deposit box or space in a vault.
(c) Withdraw, by check, order, electronic funds transfer, or otherwise,

money or property of the principal deposited with or left in the custody of a
financial institution.

(d) Receive statements of account, vouchers, notices, and similar
documents from a financial institution and act with respect to them.

(e) Purchase cashiers checks, official checks, counter checks, bank drafts,
money orders, and similar instruments.

(f) Endorse and negotiate checks, cashiers checks, official checks, drafts,
and other negotiable paper of the principal or payable to the principal or the
principals order, transfer money, receive the cash or other proceeds of those
transactions, and accept a draft drawn by a person upon the principal and pay
it when due.

(g) Apply for, receive, and use debit cards, electronic transaction
authorizations, and travelers checks from a financial institution.

(h) Use, charge, or draw upon any line of credit, credit card, or other credit
established by the principal with a financial institution.

(i) Consent to an extension of the time of payment with respect to
commercial paper or a financial transaction with a financial
institution.



(2) A power of attorney that specifically includes the statement that the
agent has authority to conduct investment transactions as provided in
section 709.2208(2), Florida Statutes grants general authority to the agent
with respect to securities held by financial institutions or broker-dealers to
take the following actions without additional specific enumeration in the
power of attorney:
(a) Buy, sell, and exchange investment instruments.
(b) Establish, continue, modify, or terminate an account with respect to

investment instruments.
(c) Pledge investment instruments as security to borrow, pay, renew, or

extend the time of payment of a debt of the principal.
(d) Receive certificates and other evidences of ownership with respect to

investment instruments.
(e) Exercise voting rights with respect to investment instruments in person

or by proxy, enter into voting trusts, and consent to limitations on the right to
vote.

(f) Sell commodity futures contracts and call and put options on stocks and
stock indexes.

For purposes of this subsection, the term investment instruments means
stocks, bonds, mutual funds, and all other types of securities and financial
instruments, whether held directly, indirectly, or in any other manner,
including shares or interests in a private investment fund, including, but
not limited to, a private investment fund organized as a limited partnership,
a limited liability company, a statutory or common law business trust, a
statutory trust, or a real estate investment trust, joint venture, or any other
general or limited partnership; derivatives or other interests of any nature
in securities such as options, options on futures, and variable forward
contracts; mutual funds; common trust funds; money market funds; hedge
funds; private equity or venture capital funds; insurance contracts; and
other entities or vehicles investing in securities or interests in securities
whether registered or otherwise, except commodity futures contracts and
call and put options on stocks and stock indexes.

HISTORY:



S. 26, ch. 2011-210, eff. Oct. 1, 2011; s. 11, ch. 2013-90, eff. May 30,
2013.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2301. 
Fla. Stat.  709.2301

 709.2301. Principles of law and equity.
The common law of agency and principles of equity supplement this part,

except as modified by this part or other state law.

HISTORY:
S. 27, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2302. 
Fla. Stat.  709.2302

 709.2302. Laws applicable to financial institutions and entities.
This part does not supersede any other law applicable to financial

institutions or other entities, and that law controls if inconsistent with this
part.

HISTORY:
S. 28, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2303. 
Fla. Stat.  709.2303

 709.2303. Remedies under other law.
The remedies under this part are not exclusive and do not abrogate any

right or remedy under any other law other than this part.

HISTORY:
S. 29, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2401. 
Fla. Stat.  709.2401

 709.2401. Relation to electronic signatures in federal law.
This part modifies, limits, and supersedes the federal Electronic Signatures

in Global and National Commerce Act, 15 U.S.C. s. 7001 et seq., but does
not modify, limit, or supersede s. 101(c) of that act, or authorize electronic
delivery of any of the notices described in s. 103(b) of that act.

HISTORY:
S. 30, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 709. ,  Pt. II. ,   709.2402. 
Fla. Stat.  709.2402

 709.2402. Effect on existing powers of attorney.
Except as otherwise provided in this part:

(1) With respect to formalities of execution, this part applies to a power
of attorney created on or after October 1, 2011.

(2) With respect to all matters other than formalities of execution, this
part applies to a power of attorney regardless of the date of creation.

(3) With respect to a power of attorney existing on October 1, 2011, this
part does not invalidate such power of attorney and it shall remain in
effect. If a right was acquired under any other law before October 1, 2011,
that law continues to apply to the right even if it has been repealed or
superseded.

(4) An act of an agent occurring before October 1, 2011, is not affected
by this part.

HISTORY:
S. 31, ch. 2011-210, eff. Oct. 1, 2011.



 Title XL. ,  Ch. 710. 
Fla. Stat. Title XL, Ch. 710



CHAPTER 710.
TRANSFERS TO MINORS.

 Title XL. ,  Ch. 710. ,   710.101. 
Fla. Stat.  710.101

 710.101. Short title.
This act may be cited as the Florida Uniform Transfers to Minors Act.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.102. 
Fla. Stat.  710.102

 710.102. Definitions.
As used in this act, the term:

(1) Adult means an individual who has attained the age of 21 years.
(2) Benefit plan means a retirement plan and may include, but is not

limited to, any pension, profit-sharing, stock-bonus, or stock-ownership
plan or individual retirement account.

(3) Broker means a person lawfully engaged in the business of
effecting transactions in securities or commodities for the persons own
account or for the account of others.

(4) Conservator means a person appointed or qualified by a court to
act as general, limited, or temporary guardian of a minors property or a
person legally authorized to perform substantially the same functions.

(5) Court means the circuit court.
(6) Custodial property means any interest in property transferred to a

custodian under this act and the income from and proceeds of that interest
in property.

(7) Custodian means a person so designated under s. 710.111 or a
successor or substitute custodian designated under s. 710.121.

(8) Financial institution means a bank, trust company, savings
institution, or credit union, chartered and supervised under state or federal
law.

(9) General power of appointment means a power of appointment as
defined in s. 732.2025(3).

(10) Legal representative means an individuals personal
representative or conservator.

(11) Member of the minors family means the minors parent,
stepparent, spouse, grandparent, brother, sister, uncle, or aunt, whether of
the whole or half blood or by adoption.

(12) Minor means an individual who has not attained the age of 21



years.
(13) Person means an individual, corporation, organization, or other

legal entity.
(14) Personal representative means an executor, administrator,

successor personal representative, or special administrator of a decedents
estate or a person legally authorized to perform substantially the same
functions.

(15) Qualified minors trust means a trust that meets the requirements
of s. 2503(c) of the Internal Revenue Code of 1986, as amended.

(16) State includes any state of the United States, the District of
Columbia, the Commonwealth of Puerto Rico, and any territory or
possession subject to the legislative authority of the United States.

(17) Transfer means a transaction that creates custodial property under
s. 710.111.

(18) Transferor means a person who makes a transfer under this act.
(19) Trust company means a financial institution, corporation, or other

legal entity, authorized to exercise general trust powers.

HISTORY:
S. 1, ch. 85-95; s. 3, ch. 2005-101; s. 1, ch. 2015-140, effective July 1,

2015.

Editors notes.
Section 2503(c) of the Internal Revenue Code of 1986, referred to in this

section, is codified as 26 U.S.C.S.  2503(c).



 Title XL. ,  Ch. 710. ,   710.103. 
Fla. Stat.  710.103

 710.103. Scope and jurisdiction.
(1) This act applies to a transfer that refers to this act in the designation

under s. 710.111(1) by which the transfer is made if at the time of the
transfer, the transferor, the minor, or the custodian is a resident of this state
or the custodial property is located in this state. The custodianship so
created remains subject to this act despite a subsequent change in residence
of a transferor, the minor, or the custodian, or the removal of custodial
property from this state.

(2) A person designated as custodian under this act is subject to personal
jurisdiction in this state with respect to any matter relating to the
custodianship.

(3) A transfer that purports to be made and which is valid under the
Uniform Transfers to Minors Act, the Uniform Gifts to Minors Act, or a
substantially similar act, of another state is governed by the law of the
designated state and may be executed and is enforceable in this state if, at
the time of the transfer, the transferor, the minor, or the custodian is a
resident of the designated state or the custodial property is located in the
designated state.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.104. 
Fla. Stat.  710.104

 710.104. Nomination of custodian.
(1) A person having the right to designate the recipient of property

transferable upon the occurrence of a future event may revocably nominate
a custodian to receive the property for a minor beneficiary upon the
occurrence of the event by naming the custodian followed in substance by
the words: as custodian for (name of minor) under the Florida Uniform
Transfers to Minors Act. The nomination may name one or more persons
as substitute custodians to whom the property must be transferred, in the
order named, if the first nominated custodian dies before the transfer or is
unable, declines, or is ineligible to serve. The nomination may be made in
a will, a trust, a deed, an instrument exercising a power of appointment, or
in a writing designating a beneficiary of contractual rights, including, but
not limited to, the right to a benefit plan, which is registered with or
delivered to the payor, issuer, or other obligor of the contractual rights.

(2) A custodian nominated under this section must be a person to whom
a transfer of property of that kind may be made under s. 710.111(1).

(3) The nomination of a custodian under this section does not create
custodial property until the nominating instrument becomes irrevocable or
a transfer to the nominated custodian is completed under s. 710.111.
Unless the nomination of a custodian has been revoked, upon the
occurrence of the future event the custodianship becomes effective and the
custodian shall enforce a transfer of the custodial property pursuant to s.
710.111.

HISTORY:
S. 1, ch. 85-95; s. 4, ch. 2005-101.



 Title XL. ,  Ch. 710. ,   710.105. 
Fla. Stat.  710.105

 710.105. Transfer by gift or exercise of power of appointment.
A person may make a transfer by irrevocable gift to, or the irrevocable

exercise of a power of appointment in favor of, a custodian for the benefit of
a minor pursuant to s. 710.111. Notwithstanding s. 710.106, a transfer by
irrevocable gift from a trust over which the grantor has at the time of transfer
a right of revocation, as defined in s. 733.707(3)(e), shall be treated for all
purposes under this act as a transfer made directly by the grantor of the trust.

HISTORY:
S. 1, ch. 85-95; s. 2, ch. 2015-140, effective July 1, 2015.



 Title XL. ,  Ch. 710. ,   710.106. 
Fla. Stat.  710.106

 710.106. Transfer authorized by will or trust.
(1) A personal representative or trustee may make an irrevocable

transfer pursuant to s. 710.111 to a custodian for the benefit of a minor as
authorized in the governing will or trust.

(2) If the testator or settlor has nominated a custodian under s. 710.104
to receive the custodial property, the transfer must be made to that person.

(3) If the testator or settlor has not nominated a custodian under s.
710.104, or all persons so nominated as custodian die before the transfer or
are unable, decline, or are ineligible to serve, the personal representative or
the trustee, as the case may be, shall designate the custodian from among
those eligible to serve as custodian for property of that kind under s.
710.111(1).

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.107. 
Fla. Stat.  710.107

 710.107. Other transfer by fiduciary.
(1) Subject to subsection (3), a personal representative or trustee may

make an irrevocable transfer to another adult or trust company as custodian
for the benefit of a minor pursuant to s. 710.111, in the absence of a will or
under a will or trust that does not contain an authorization to do so.

(2) Subject to subsection (3), a conservator may make an irrevocable
transfer to another adult or trust company as custodian for the benefit of
the minor pursuant to s. 710.111.

(3) A transfer under subsection (1) or subsection (2) may be made only
if:
(a) The personal representative, trustee, or conservator considers the

transfer to be in the best interest of the minor;
(b) The transfer is not prohibited by or inconsistent with provisions of the

applicable will, trust agreement, or other governing instrument; and
(c) The transfer is authorized by the court if it exceeds $10,000 in value.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.108. 
Fla. Stat.  710.108

 710.108. Transfer by obligor.
(1) Subject to subsections (2) and (3), a person not subject to s. 710.106

or s. 710.107 who holds property, including, but not limited to, a benefit
plan, of a minor not having a conservator, or who owes a liquidated debt to
a minor not having a conservator, may make an irrevocable transfer to a
custodian for the benefit of the minor pursuant to s. 710.111.

(2) If a person having the right to do so under s. 710.104 has nominated
a custodian under that section to receive the custodial property, the transfer
must be made to that person.

(3) If no custodian has been nominated under s. 710.104, or all persons
so nominated as custodian die before the transfer or are unable, decline, or
are ineligible to serve, a transfer under this section may be made to an
adult member of the minors family or to a trust company unless the
property exceeds $15,000 in value.

HISTORY:
S. 1, ch. 85-95; s. 61, ch. 87-226; s. 5, ch. 2005-101.



 Title XL. ,  Ch. 710. ,   710.109. 
Fla. Stat.  710.109

 710.109. Receipt for custodial property.
A written acknowledgment of delivery by a custodian constitutes a

sufficient receipt and discharge for custodial property transferred to the
custodian pursuant to this act.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.111. 
Fla. Stat.  710.111

 710.111. Manner of creating custodial property and effecting transfer;
designation of initial custodian; control.
(1) Custodial property is created and a transfer is made whenever:

(a) An uncertificated security or a certificated security in registered form is
either:

1. Registered in the name of the transferor, an adult other than the
transferor, or a trust company, followed in substance by the words: as
custodian for (name of minor) under the Florida Uniform Transfers to Minors
Act; or

2. Delivered if in certificated form, or any document necessary for the
transfer of an uncertificated security is delivered, together with any necessary
endorsement to an adult other than the transferor or to a trust company as
custodian, accompanied by an instrument in substantially the form set forth in
subsection (2);

(b) Money is paid or delivered to a broker or financial institution for credit
to an account in the name of the transferor, an adult other than the transferor,
or a trust company, followed in substance by the words: as custodian for
(name of minor) under the Florida Uniform Transfers to Minors Act;

(c) The ownership of a life or endowment insurance policy or annuity
contract is either:

1. Registered with the issuer in the name of the transferor, an adult other
than the transferor, or a trust company, followed in substance by the words:
as custodian for (name of minor) under the Florida Uniform Transfers to
Minors Act; or

2. Assigned in a writing delivered to an adult other than the transferor or to
a trust company whose name in the assignment is followed in substance by
the words: as custodian for (name of minor) under the Florida Uniform
Transfers to Minors Act;

(d) An irrevocable exercise of a power of appointment or an irrevocable
present right to future payment under a contract is the subject of a written



notification delivered to the payor, issuer, or other obligor that the right is
transferred to the transferor, an adult other than the transferor, or a trust
company, whose name in the notification is followed in substance by the
words: as custodian for (name of minor) under the Florida Uniform
Transfers to Minors Act;

(e) An interest in real property is recorded in the name of the transferor, an
adult other than the transferor, or a trust company, followed in substance by
the words: as custodian for (name of minor) under the Florida Uniform
Transfers to Minors Act;

(f) A certificate of title issued by a department or agency of a state or of the
United States which evidences title to tangible personal property is either:

1. Issued in the name of the transferor, an adult other than the transferor, or
a trust company, followed in substance by the words: as custodian for (name
of minor) under the Florida Uniform Transfers to Minors Act; or

2. Delivered to an adult other than the transferor or to a trust company,
endorsed to that person followed in substance by the words: as custodian for
(name of minor) under the Florida Uniform Transfers to Minors Act; or

(g) An interest in any property not described in paragraphs (a)-(f) is
transferred to an adult other than the transferor or to a trust company by a
written instrument in substantially the form set forth in subsection (2).

(2) An instrument in the following form satisfies the requirements of
subparagraph (1)(a)2. and paragraph (1)(g):

(3) A transferor shall place the custodian in control of the custodial



property as soon as practicable.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.112. 
Fla. Stat.  710.112

 710.112. Single custodianship.
A transfer may be made only for one minor, and only one person may be

the custodian. All custodial property held under this act by the same
custodian for the benefit of the same minor constitutes a single custodianship.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.113. 
Fla. Stat.  710.113

 710.113. Validity and effect of transfer.
(1) The validity of a transfer made in a manner prescribed in this act is

not affected by:
(a) Failure of the transferor to comply with s. 710.111(3) concerning

possession and control;
(b) Designation of an ineligible custodian, except designation of the

transferor in the case of property for which the transferor is ineligible to serve
as custodian under s. 710.111(1); or

(c) Death or incapacity of a person nominated under s. 710.104 or
designated under s. 710.111 as custodian or the disclaimer of the office by
that person.

(2) A transfer made pursuant to s. 710.111 is irrevocable, and the
custodial property is indefeasibly vested in the minor, but the custodian has
all the rights, powers, duties, and authority provided in this act, and neither
the minor nor the minors legal representative has any right, power, duty,
or authority with respect to the custodial property except as provided in
this act.

(3) By making a transfer, the transferor incorporates in the disposition
all the provisions of this act and grants to the custodian, and to any third
person dealing with a person designated as custodian, the respective
powers, rights, and immunities provided in this act.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.114. 
Fla. Stat.  710.114

 710.114. Care of custodial property.
(1) A custodian shall:

(a) Take control of custodial property;
(b) Register or record title to custodial property if appropriate; and
(c) Collect, hold, manage, invest, and reinvest custodial property.

(2) In dealing with custodial property, a custodian shall observe the
standard of care that would be observed by a prudent person dealing with
property of another and is not limited by any other statute restricting
investments by fiduciaries. If a custodian has a special skill or expertise or
is named custodian on the basis of representations of a special skill or
expertise, the custodian shall use that skill or expertise. However, a
custodian, in the custodians discretion and without liability to the minor or
the minors estate, may retain any custodial property received from a
transferor.

(3) A custodian may invest in or pay premiums on life insurance or
endowment policies on the life of the minor only if the minor or the
minors estate is the sole beneficiary, or on the life of another person in
whom the minor has an insurable interest only to the extent that the minor,
the minors estate, or the custodian in the capacity of custodian is the
irrevocable beneficiary.

(4) A custodian at all times shall keep custodial property separate and
distinct from all other property in a manner sufficient to identify it clearly
as custodial property of the minor. Custodial property consisting of an
undivided interest is so identified if the minors interest is held as a tenant
in common and is fixed. Custodial property subject to recordation is so
identified if it is recorded, and custodial property subject to registration is
so identified if it is either registered, or held in an account designated, in
the name of the custodian, followed in substance by the words: as a
custodian for (name of minor) under the Florida Uniform Transfers to
Minors Act.

(5) A custodian shall keep records of all transactions with respect to



custodial property, including information necessary for the preparation of
the minors tax returns, and shall make them available for inspection at
reasonable intervals by a parent or legal representative of the minor or by
the minor if the minor has attained the age of 14 years.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.115. 
Fla. Stat.  710.115

 710.115. Powers of custodian.
(1) A custodian, acting in a custodial capacity, has all the rights, powers,

and authority over custodial property that unmarried adult owners have
over their own property, but a custodian may exercise those rights, powers,
and authority in that capacity only.

(2) This section does not relieve a custodian from liability for breach of
s. 710.114.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.116. 
Fla. Stat.  710.116

 710.116. Use of custodial property.
(1) A custodian may deliver or pay to the minor or expend for the

minors benefit so much of the custodial property as the custodian
considers advisable for the use and benefit of the minor, without court
order and without regard to the duty or ability of the custodian personally
or of any other person to support the minor, or to any other income or
property of the minor which may be applicable or available for that
purpose.

(2) A custodian may, without court order, transfer all or part of the
custodial property to a qualified minors trust. A transfer of property
pursuant to this subsection terminates the custodianship to the extent of the
property transferred.

(3) On petition of an interested person or the minor if the minor has
attained the age of 14 years, the court may order the custodian to deliver or
pay to the minor or expend for the minors benefit so much of the custodial
property as the court considers advisable for the use and benefit of the
minor.

(4) A delivery, payment, or expenditure under this section is in addition
to, not in substitution for, and does not affect any obligation of a person to
support the minor.

HISTORY:
S. 1, ch. 85-95; s. 6, ch. 2005-101.



 Title XL. ,  Ch. 710. ,   710.117. 
Fla. Stat.  710.117

 710.117. Custodians expenses, compensation, and bond.
(1) A custodian is entitled to reimbursement from custodial property for

reasonable expenses incurred in the performance of the custodians duties.
(2) Except for one who is a transferor under s. 710.105, a custodian has

a noncumulative election during each calendar year to charge reasonable
compensation for services performed during that year.

(3) Except as provided in s. 710.121(6), a custodian need not give a
bond.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.118. 
Fla. Stat.  710.118

 710.118. Exemption of third person from liability.
A third person in good faith and without court order may act on the

instructions of or otherwise deal with any person purporting to make a
transfer or purporting to act in the capacity of a custodian and, in the absence
of knowledge, is not responsible for determining:

(1) The validity of the purported custodians designation;
(2) The propriety of, or the authority under this act for, any act of the

purported custodian;
(3) The validity or propriety under this act of any instrument or

instructions executed or given either by the person purporting to make a
transfer or by the purported custodian; or

(4) The propriety of the application of any property of the minor
delivered to the purported custodian.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.119. 
Fla. Stat.  710.119

 710.119. Liability to third persons.
(1) A claim based on:

(a) A contract entered into by a custodian acting in a custodial capacity;
(b) An obligation arising from the ownership or control of custodial

property; or
(c) A tort committed during the custodianship,
may be asserted against the custodial property by proceeding against the
custodian in the custodial capacity, whether or not the custodian or the
minor is personally liable therefor.

(2) A custodian is not personally liable:
(a) On a contract properly entered into in the custodial capacity unless the

custodian fails to reveal that capacity and to identify the custodianship in the
contract; or

(b) For an obligation arising from control of custodial property or for a tort
committed during the custodianship unless the custodian is personally at
fault.

(3) A minor is not personally liable for an obligation arising from
ownership of custodial property or for a tort committed during the
custodianship unless the minor is personally at fault.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.121. 
Fla. Stat.  710.121

 710.121. Renunciation, resignation, death, or removal of custodian;
designation of successor custodian.
(1) A person nominated under s. 710.104 or designated under s. 710.111

as custodian may decline to serve by delivering a valid disclaimer under
chapter 739 to the person who made the nomination or to the transferor or
the transferors legal representative. If the event giving rise to a transfer
has not occurred and no substitute custodian able, willing, and eligible to
serve was nominated under s. 710.104, the person who made the
nomination may nominate a substitute custodian under s. 710.104;
otherwise, the transferor or the transferors legal representative shall
designate a substitute custodian at the time of the transfer, in either case
from among the persons eligible to serve as custodian for that kind of
property under s. 710.111(1). The custodian so designated has the rights of
a successor custodian.

(2) A custodian at any time may designate a trust company or an adult
other than a transferor under s. 710.105 as successor custodian by
executing and dating an instrument of designation before a subscribing
witness other than the successor. If the instrument of designation does not
contain or is not accompanied by the resignation of the custodian, the
designation of the successor does not take effect until the custodian
resigns, dies, becomes incapacitated, or is removed.

(3) A custodian may resign at any time by delivering written notice to
the minor if the minor has attained the age of 14 years and to the successor
custodian and by delivering the custodial property to the successor
custodian.

(4) If a custodian is ineligible, dies, or becomes incapacitated without
having effectively designated a successor and the minor has attained the
age of 14 years, the minor may designate as successor custodian, in the
manner prescribed in subsection (2), an adult member of the minors
family, a conservator of the minor, or a trust company. If the minor has not
attained the age of 14 years or fails to act within 60 days after the
ineligibility, death, or incapacity, the conservator of the minor becomes



successor custodian. If the minor has no conservator or the conservator
declines to act, the transferor, the legal representative of the transferor or of
the custodian, an adult member of the minors family, or any other
interested person may petition the court to designate a successor custodian.

(5) A custodian who declines to serve under subsection (1) or resigns
under subsection (3), or the legal representative of a deceased or
incapacitated custodian, as soon as practicable, shall put the custodial
property and records in the possession and control of the successor
custodian. The successor custodian by action may enforce the obligation to
deliver custodial property and records and becomes responsible for each
item as received.

(6) A transferor, the legal representative of a transferor, an adult member
of the minors family, a guardian of the person of the minor, the
conservator of the minor, or the minor if the minor has attained the age of
14 years may petition the court to remove the custodian for cause and
designate a successor custodian other than a transferor under s. 710.105 or
to require the custodian to give appropriate bond.

HISTORY:
S. 1, ch. 85-95; s. 4, ch. 2005-108.



 Title XL. ,  Ch. 710. ,   710.122. 
Fla. Stat.  710.122

 710.122. Accounting by and determination of liability of custodian.
(1) A minor who has attained the age of 14 years, the minors guardian

of the person or legal representative, an adult member of the minors
family, a transferor, or a transferors legal representative may petition the
court for an accounting by the custodian or the custodians legal
representative or for a determination of responsibility, as between the
custodial property and the custodian personally, for claims against the
custodial property unless the responsibility has been adjudicated in an
action under s. 710.119 to which the minor or the minors legal
representative was a party.

(2) A successor custodian may petition the court for an accounting by
the predecessor custodian.

(3) The court, in a proceeding under this act or in any other proceeding,
may require or permit the custodian or the custodians legal representative
to account.

(4) If a custodian is removed under s. 710.121(6), the court shall require
an accounting and order delivery of the custodial property and records to
the successor custodian and the execution of all instruments required for
transfer of the custodial property.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.123. 
Fla. Stat.  710.123

 710.123. Termination of custodianship.
(1) The custodian shall transfer in an appropriate manner the custodial

property to the minor or to the minors estate upon the earlier of:
(a) The minors attainment of 21 years of age with respect to custodial

property transferred under s. 710.105 or s. 710.106. However, a transferor
can, with respect to such custodial property, create the custodianship so that it
terminates when the minor attains 25 years of age;

(b) The minors attainment of 18 years of age with respect to custodial
property transferred under s. 710.107 or s. 710.108; or

(c) The minors death.
(2) If the transferor of a custodianship under paragraph (1)(a) creates the

custodianship to terminate when the minor attains 25 years of age, in the
case of a custodianship created by irrevocable gift or by irrevocable inter
vivos exercise of a general power of appointment, the minor nevertheless
has the absolute right to compel immediate distribution of the entire
custodial property when the minor attains 21 years of age.

(3) As to a custodianship described in subsection (2), a transferor may
provide, by delivery of a written instrument to the custodian upon the
creation of such custodianship, that the minors right to compel immediate
distribution of the entire custodial property will terminate upon the
expiration of a fixed period that begins with the custodians delivery of a
written notice to the minor of the existence of such right. To be effective to
terminate the minors right to compel an immediate distribution of the
entire custodial property when the minor attains 21 years of age, the
custodians written notice must be delivered at least 30 days before, and
not later than 30 days after, the date upon which the minor attains 21 years
of age, and the fixed period specified in the notice for the termination of
such right cannot expire before the later of 30 days after the minor attains
21 years of age or 30 days after the custodian delivers such notice.

(4) Notwithstanding the definition of the term minor as provided in s.
710.102, if the transferor creates the custodianship to terminate when the



minor attains 25 years of age, solely for purposes of the application of the
termination provisions of this section, the term minor means an
individual who has not attained 25 years of age.

(5) A financial institution has no liability to a custodian or minor for
distribution of custodial property to, or for the benefit of, the minor in a
custodianship created by irrevocable gift or by irrevocable exercise of a
general power of appointment when the minor attains 21 years of age.

HISTORY:
S. 1, ch. 85-95; s. 3, ch. 2015-140, effective July 1, 2015.



 Title XL. ,  Ch. 710. ,   710.124. 
Fla. Stat.  710.124

 710.124. Applicability.
This act applies to a transfer within the scope of s. 710.103 made after

October 1, 1985, if:
(1) The transfer purports to have been made under the Florida Gifts to

Minors Act (former ss. 710.01-710.10); or
(2) The instrument by which the transfer purports to have been made

uses in substance the designation as custodian under the Uniform Gifts to
Minors Act or as custodian under the Uniform Transfers to Minors Act
of any other state, and the application of this act is necessary to validate the
transfer.

HISTORY:
S. 1, ch. 85-95; s. 62, ch. 87-226.



 Title XL. ,  Ch. 710. ,   710.125. 
Fla. Stat.  710.125

 710.125. Effect on existing custodianships.
(1) Any transfer of custodial property as now defined in this act made

before October 1, 1985, is validated notwithstanding that there was no
specific authority in the Florida Gifts to Minors Act for the coverage of
custodial property of that kind or for a transfer from that source at the time
the transfer was made.

(2) This act applies to all transfers made before October 1, 1985, in a
manner and form prescribed in the Florida Gifts to Minors Act, except
insofar as the application impairs constitutionally vested rights or extends
the duration of custodianships in existence on October 1, 1985.

(3) Sections 710.102-710.123 with respect to the age of a minor for
whom custodial property is held under this act do not apply to custodial
property held in a custodianship that terminated because of the minors
attainment of the age of 18 after January 1, 1975, and before October 1,
1985.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 710. ,   710.126. 
Fla. Stat.  710.126

 710.126. Uniformity of application and construction.
This act shall be applied and construed to effectuate its general purpose to

make uniform the law with respect to the subject of this act among states
enacting it.

HISTORY:
S. 1, ch. 85-95.



 Title XL. ,  Ch. 711. 
Fla. Stat. Title XL, Ch. 711



CHAPTER 711.
FLORIDA UNIFORM TRANSFER-ON-DEATH SECURITY

REGISTRATION ACT.
 Title XL. ,  Ch. 711. ,   711.50. 

Fla. Stat.  711.50

 711.50. Short title.
Sections 711.50-711.512 may be cited as the Florida Uniform Transfer-

on-Death Security Registration Act.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.501. 
Fla. Stat.  711.501

 711.501. Definitions.
In ss. 711.50-711.512, unless the context otherwise requires, the term:

(1) Beneficiary form means a registration of a security which indicates
the present owner of the security and the intention of the owner regarding
the person who will become the owner of the security upon the death of the
owner.

(2) Devisee means any person designated in a will to receive a
disposition of real or personal property.

(3) Heirs means those persons, including the surviving spouse, who
are entitled under the statutes of intestate succession to the property of a
decedent.

(4) Person means an individual, a corporation, an organization, or
other legal entity.

(5) Personal representative includes an executor, administrator,
successor personal representative, special administrator, and persons who
perform substantially the same function under the law governing their
status.

(6) Property includes both real and personal property or any interest
therein and means anything that may be the subject of ownership.

(7) Register, including its derivatives, means to issue a certificate
showing the ownership of a certificated security or, in the case of an
uncertificated security, to initiate or transfer an account showing ownership
of securities.

(8) Registering entity means a person who originates or transfers a
security title by registration, and includes a broker maintaining security
accounts for customers and a transfer agent or other person acting for or as
an issuer of securities.

(9) Security means a share, participation, or other interest in property,
in a business, or in an obligation of an enterprise or other issuer, and
includes a certificated security, an uncertificated security, and a security



account.
(10) Security account means:

(a) A reinvestment account associated with a security, a securities account
with a broker, a cash balance in a brokerage account, cash, interest, earnings,
or dividends earned or declared on a security in an account, a reinvestment
account, or a brokerage account, whether or not credited to the account before
the owners death;

(b) An investment management account, investment advisory account,
investment agency account, custody account, or any other type of account
with a bank or trust company, including the securities in the account, the cash
balance in the account, and cash equivalents, and any interest, earnings, or
dividends earned or declared on a security in the account, whether or not
credited to the account before the owners death; or

(c) A cash balance or other property held for or due to the owner of a
security as a replacement for or product of an account security, whether or
not credited to the account before the owners death.

(11) State includes any state of the United States, the District of
Columbia, the Commonwealth of Puerto Rico, and any territory or
possession subject to the legislative authority of the United States.

HISTORY:
S. 3, ch. 94-216; s. 1, ch. 2005-85.



 Title XL. ,  Ch. 711. ,   711.502. 
Fla. Stat.  711.502

 711.502. Registration in beneficiary form; sole or joint tenancy
ownership.

Only individuals whose registration of a security shows sole ownership by
one individual or multiple ownership by two or more with right of
survivorship, rather than as tenants in common, may obtain registration in
beneficiary form. Multiple owners of a security registered in beneficiary form
hold as joint tenants with right of survivorship, as tenants by the entireties, or
as owners of community property held in survivorship form, and not as
tenants in common.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.503. 
Fla. Stat.  711.503

 711.503. Registration in beneficiary form; applicable law.
A security may be registered in beneficiary form if the form is authorized

by this or a similar statute of the state of organization of the issuer or
registering entity, the location of the registering entitys principal office, the
office of its transfer agent or its office making the registration, or by this or a
similar statute of the law of the state listed as the owners address at the time
of registration. A registration governed by the law of a jurisdiction in which
this or similar legislation is not in force or was not in force when a
registration in beneficiary form was made is nevertheless presumed to be
valid and authorized as a matter of contract law.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.504. 
Fla. Stat.  711.504

 711.504. Origination of registration in beneficiary form.
A security, whether evidenced by certificate or account, is registered in

beneficiary form when the registration includes a designation of a beneficiary
to take the ownership at the death of the owner or the deaths of all multiple
owners.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.505. 
Fla. Stat.  711.505

 711.505. Form of registration in beneficiary form.
Registration in beneficiary form may be shown by the words transfer on

death or the abbreviation TOD, or by the words pay on death or the
abbreviation POD, after the name of the registered owner and before the
name of a beneficiary.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.506. 
Fla. Stat.  711.506

 711.506. Effect of registration in beneficiary form.
The designation of a transfer-on-death beneficiary on a registration in

beneficiary form has no effect on ownership until the owners death. A
registration of a security in beneficiary form may be canceled or changed at
any time by the sole owner or all then-surviving owners without the consent
of the beneficiary.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.507. 
Fla. Stat.  711.507

 711.507. Ownership on death of owner.
On death of a sole owner or the last to die of all multiple owners,

ownership of securities registered in beneficiary form passes to the
beneficiary or beneficiaries who survive all owners. On proof of death of all
owners and compliance with any applicable requirements of the registering
entity, a security registered in beneficiary form may be reregistered in the
name of the beneficiary or beneficiaries who survived the death of all owners.
Until division of the security after the death of all owners, multiple
beneficiaries surviving the death of all owners hold their interests as tenants
in common. If no beneficiary survives the death of all owners, the security
belongs to the estate of the deceased sole owner or the estate of the last to die
of all multiple owners.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.508. 
Fla. Stat.  711.508

 711.508. Protection of registering entity.
(1) A registering entity is not required to offer or to accept a request for

security registration in beneficiary form. If a registration in beneficiary
form is offered by a registering entity, the owner requesting registration in
beneficiary form assents to the protections given to the registering entity
by ss. 711.50-711.512.

(2) By accepting a request for registration of a security in beneficiary
form, the registering entity agrees that the registration will be implemented
on death of the deceased owner as provided in ss. 711.50-711.512.

(3) A registering entity is discharged from all claims to a security by the
estate, creditors, heirs, or devisees of a deceased owner if it registers a
transfer of the security in accordance with s. 711.507 and does so in good
faith reliance on the registration, on ss. 711.50-711.512, and on
information provided to it by affidavit of the personal representative of the
deceased owner, or by the surviving beneficiary or by the surviving
beneficiarys representatives, or other information available to the
registering entity. The protections of ss. 711.50-711.512 do not extend to a
reregistration or payment made after a registering entity has received
written notice from any claimant to any interest in the security objecting to
implementation of a registration in beneficiary form. No other notice or
other information available to the registering entity affects its right to
protection under ss. 711.50-711.512.

(4) The protection provided by ss. 711.50-711.512 to the registering
entity of a security does not affect the rights of beneficiaries in disputes
between themselves and other claimants to ownership of the security
transferred or its value or proceeds.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.509. 
Fla. Stat.  711.509

 711.509. Nontestamentary transfer on death.
(1) A transfer on death resulting from a registration in beneficiary form

is effective by reason of the contract regarding the registration between the
owner and the registering entity and ss. 711.50-711.512 and is not
testamentary.

(2) Sections 711.50-711.512 do not limit the rights of creditors of
security owners against beneficiaries and other transferees under other
laws of this state.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.51. 
Fla. Stat.  711.51

 711.51. Terms, conditions, and forms for registration.
(1) A registering entity offering to accept registrations in beneficiary

form may establish the terms and conditions under which it will receive
requests for registrations in beneficiary form, and requests for
implementation of registrations in beneficiary form, including requests for
cancellation of previously registered transfer-on-death beneficiary
designations and requests for reregistration to effect a change of
beneficiary. The terms and conditions so established may provide for
proving death, avoiding or resolving any problems concerning fractional
shares, designating primary and contingent beneficiaries, and substituting a
named beneficiarys descendants to take in the place of the named
beneficiary in the event of the beneficiarys death. Substitution may be
indicated by appending to the name of the primary beneficiary the letters
LDPS, standing for lineal descendants per stirpes. This designation
substitutes a deceased beneficiarys descendants who survive the owner for
a beneficiary who fails to so survive, the descendants to be identified and
to share in accordance with the law of the beneficiarys domicile at the
owners death governing inheritance by descendants of an intestate. Other
forms of identifying beneficiaries who are to take on one or more
contingencies, and rules for providing proofs and assurances needed to
satisfy reasonable concerns by registering entities regarding conditions and
identities relevant to accurate implementation of registrations in
beneficiary form, may be contained in a registering entitys terms and
conditions.

(2) The following are illustrations of registrations in beneficiary form
which a registering entity may authorize:
(a) Sole owner-sole beneficiary: John S Brown TOD (or POD) John S

Brown Jr.
(b) Multiple owners-sole beneficiary: John S Brown Mary B Brown JT

TEN TOD John S Brown Jr.
(c) Multiple owners-primary and secondary (substituted) beneficiaries:
1. John S Brown Mary B Brown JT TEN TOD John S Brown Jr SUB



BENE Peter Q Brown; or
2. John S Brown Mary B Brown JT TEN TOD John S Brown Jr LDPS.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.511. 
Fla. Stat.  711.511

 711.511. Rules of construction.
(1) Sections 711.50-711.512 shall be liberally construed and applied to

promote their underlying purposes and policy and to make uniform the
laws with respect to the subject of these sections among states enacting
them.

(2) Unless displaced by the particular provisions of ss. 711.50-711.512,
the principles of law and equity supplement the provisions of these
sections.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 711. ,   711.512. 
Fla. Stat.  711.512

 711.512. Application of ss. 711.50-711.512.
Sections 711.50-711.512 apply to registrations of securities in beneficiary

form made before, on, or after January 1, 1995, by decedents dying on or
after January 1, 1995.

HISTORY:
S. 3, ch. 94-216.



 Title XL. ,  Ch. 716. 
Fla. Stat. Title XL, Ch. 716



CHAPTER 716.
ESCHEATS

 Title XL. ,  Ch. 716. ,   716.01. 
Fla. Stat.  716.01

 716.01. Declaration of policy.
It is hereby declared to be the policy of the state, while protecting the

interests of the owners thereof, to possess all unclaimed and abandoned
money and property for the benefit of all the people of the state, and this law
shall be liberally construed to accomplish such purpose.

HISTORY:
S. 1, ch. 24333, 1947.



 Title XL. ,  Ch. 716. ,   716.02. 
Fla. Stat.  716.02

 716.02. Escheat of funds in the possession of federal agencies.
All property within the provisions of subsections (1), (2), (3), (4) and (5),

are declared to have escheated, or to escheat, including all principal and
interest accruing thereon, and to have become the property of the state.

(1) All money or other property which has remained in, or has been
deposited in the custody of, or under the control of, any court of the United
States, in and for any district within this state, or which has been deposited
with and is in the custody of any depository, registry, clerk or other officer
of such court, or the United States treasury, which money or other property
the rightful owner or owners thereof, either:
(a) Has been unknown for a period of 5 or more consecutive years; or,
(b) Has died, without having disposed thereof, and without having left

heirs, next of kin or distributees, or
(c) Has made no demand for such money or other property for 5 years;
are declared to have escheated, or to escheat, together with all interest
accrued thereon, and to have become the property of the state.

(2) All money or other property which has remained in, or has been
deposited in the custody of, or under the control of, any court of the United
States, in and for any district within this state, for a period of 4 years, the
rightful owner or owners of which, either:
(a) Shall have been unknown for a period of 4 years; or,
(b) Shall have died without having disposed thereof, and without having

left or without leaving heirs, next of kin or distributees; or,
(c) Shall have failed within 4 years to demand the payment or delivery of

such funds or other property;
is hereby declared to have escheated, or to escheat, together with all
interest accrued thereon, and to have become the property of the state.

(3) All money or other property which has remained in, or has been
deposited in the custody of, or under the control of any officer, department



or agency of the United States for 5 or more consecutive years, which
money or other property had its situs or source in this state, except as
hereinafter provided in subsection (4), the sender of which is unknown, or
who sent the money or other property for an unknown purpose, or money
which is credited as unknown, and which said governmental agency is
unable to credit to any particular account, or the sender of which has been
unknown for a period of 5 or more consecutive years; or when known, has
died without having disposed thereof, and without leaving heirs, next of
kin or distributees, or for any reason is unclaimed from such governmental
agency.

(4) In the event any money is due to any resident of this state as a
refund, rebate or tax rebate from the United States Commissioner of
Internal Revenue, the United States Treasurer, or other governmental
agency or department, which said resident will, or is likely to have her or
his rights to apply for and secure such refund or rebate barred by any
statute of limitations or, in any event, has failed for a period of 1 year after
said resident could have filed a claim for said refund or rebate, the
Department of Financial Services is appointed agent of such resident to
demand, file and apply for said refund or rebate, and is appointed to do any
act which a natural person could do to recover such money, and it is hereby
declared that when the department files such application or any other
proceeding to secure such refund or rebate, its agency is coupled with an
interest in the money sought and money recovered.

(5) It is the purpose of this chapter to include all funds or other property
in the possession of the government of the United States, and of its
departments, officers, and agencies, which property has its situs in this
state or belonged to a resident thereof, and not to limit the application of
this chapter by the naming of any particular agency. This chapter shall
include all funds held in the United States Department of Veterans Affairs,
Comptroller of Currency, United States Treasury, Department of Internal
Revenue, federal courts, registry of federal courts, and such evidences of
indebtedness as adjusted service bonds, old matured debts issued prior to
1917, unclaimed and interest thereon, postal savings bonds, liberty bonds,
victory notes, treasury bonds, treasury notes, certificates of indebtedness,
treasury bills, treasurers savings certificates, bonuses and adjusted
compensation, allotments, and all unclaimed refunds or rebates of



whatever kind or nature, which are subjects of escheat, under the terms of
this chapter. Provided, however, that nothing in this chapter shall be
construed to mean that any refunds due ratepayers under order of any court
of the United States shall become the property of the state.

HISTORY:
S. 2, ch. 24333, 1947; s. 11, ch. 25035, 1949; ss. 12, 35, ch. 69-106; s. 1,

ch. 70-405; s. 36, ch. 93-268; s. 847, ch. 97-102; s. 1881, ch. 2003-261; s.
158, ch. 2020-2, effective May 18, 2020.



 Title XL. ,  Ch. 716. ,   716.03. 
Fla. Stat.  716.03

 716.03. Department to institute proceedings to recover escheated
property.

When there exists, or may exist, escheated funds or property under this
chapter, the Department of Financial Services shall demand or institute
proceedings in the name of the state for an adjudication that an escheat to the
state of such funds or property has occurred; and shall take appropriate action
to recover such funds or property.

HISTORY:
S. 3, ch. 24333, 1947; s. 11, ch. 25035, 1949; ss. 12, 35, ch. 69-106; s.

1882, ch. 2003-261.



 Title XL. ,  Ch. 716. ,   716.04. 
Fla. Stat.  716.04

 716.04. Jurisdiction.
Whenever the Department of Financial Services is of the opinion an

escheat has occurred, or shall occur, of any money or other property
deposited in the custody of, or under the control of, any court of the United
States, in and for any district within the state, or in the custody of any
depository, registry or clerk or other officer of such court, or the treasury of
the United States, it shall cause to be filed a complaint in the Circuit Court of
Leon County, or in any other court of competent jurisdiction, to ascertain if
any escheat has occurred, and to cause said court to enter a judgment or
decree of escheat in favor of the state, with costs, disbursements, and attorney
fee.

HISTORY:
S. 4, ch. 24333, 1947; ss. 12, 35, ch. 69-106; s. 1883, ch. 2003-261.



 Title XL. ,  Ch. 716. ,   716.05. 
Fla. Stat.  716.05

 716.05. Money recovered to be paid into State Treasury.
When any funds or property which has escheated within the meaning of

this chapter has been recovered by the Department of Financial Services, the
department shall first pay all costs incident to the collection and recovery of
such funds or property and shall promptly deposit the remaining balance of
such funds or property with the Chief Financial Officer, to be distributed in
accordance with law.

HISTORY:
S. 5, ch. 24333, 1947; ss. 12, 35, ch. 69-106; s. 153, ch. 83-216; s. 1884,

ch. 2003-261.



 Title XL. ,  Ch. 716. ,   716.06. 
Fla. Stat.  716.06

 716.06. Public records.
All records in the office of the Chief Financial Officer or the Department

of Financial Services relating to federal funds, pursuant to this chapter, shall
be public records.

HISTORY:
S. 6, ch. 24333, 1947; ss. 12, 35, ch. 69-106; s. 1885, ch. 2003-261.



 Title XL. ,  Ch. 716. ,   716.07. 
Fla. Stat.  716.07

 716.07. Recovery of escheated property by claimant.
(1) Any person who claims any property, funds, or money delivered to

the Treasurer or Chief Financial Officer under this chapter, shall, within 5
years from the date of receipt of such property, funds, or money, file a
verified claim with the Chief Financial Officer, setting forth the facts upon
which such party claims to be entitled to recover such money or property.
All claims made for recovery of property, funds, or money, not filed within
5 years from the date that such property, funds, or money is received by
the Chief Financial Officer, shall be forever barred, and the Chief Financial
Officer shall be without power to consider or determine any claims so
made by any claimant after 5 years from the date that the property, funds,
or money was received by the Chief Financial Officer.

(2) The Chief Financial Officer shall approve or disapprove the claim. If
the claim is approved, the funds, money, or property of the claimant, less
any expenses and costs which shall have been incurred by the state in
securing the possession of said property, as provided by this chapter, shall
be delivered to the claimant by the Chief Financial Officer upon warrant
issued according to law and her or his receipt taken therefor. If the court
finds, upon any judicial review, that the claimant is entitled to the property,
money, or funds claimed, and shall render judgment in her or his or its
favor, declaring that the claimant is entitled to such property, funds, or
money, then upon presentation of said judgment or a certified copy thereof
to the Chief Financial Officer, the Chief Financial Officer shall draw her or
his warrant for the amount of money stated in such judgment, without
interest or cost to the state, less any sum paid by the state as costs or
expenses in securing possession of such property, funds, or money. When
payment has been made to any claimant, no action thereafter shall be
maintained by any other claimant against the state or any officer thereof,
for or on account of such money, property, or funds.

HISTORY:
S. 7, ch. 24333, 1947; s. 30, ch. 63-559; ss. 12, 35, ch. 69-106; s. 7, ch. 78-

95; s. 848, ch. 97-102; s. 1886, ch. 2003-261.



 Title XL. ,  Ch. 717. 
Fla. Stat. Title XL, Ch. 717



CHAPTER 717.
DISPOSITION OF UNCLAIMED PROPERTY.

 Title XL. ,  Ch. 717. ,   717.001. 
Fla. Stat.  717.001

 717.001. Short title.
This chapter may be cited as the Florida Disposition of Unclaimed

Property Act.

HISTORY:
S. 1, ch. 87-105.



 Title XL. ,  Ch. 717. ,   717.101. 
Fla. Stat.  717.101

 717.101. Definitions.
As used in this chapter, unless the context otherwise requires:

(1) Aggregate means the amounts reported for owners of unclaimed
property of less than $50 or where there is no name for the individual or
entity listed on the holders records, regardless of the amount to be
reported.

(2) Apparent owner means the person whose name appears on the
records of the holder as the person entitled to property held, issued, or
owing by the holder.

(3) Banking organization means any state or national bank,
international banking entity or similar entity, trust company, savings bank,
industrial savings bank, land bank, safe-deposit company, private bank, or
any organization otherwise defined by law as a bank or banking
organization.

(4) Business association means any corporation (other than a public
corporation), joint stock company, investment company, business trust,
partnership, limited liability company, or association of two or more
individuals for business purposes, whether for profit or not for profit.

(5) Claimant means the person on whose behalf a claim is filed.
(6) Credit balance means an account balance in the customers favor.
(7) Department means the Department of Financial Services.
(8) Domicile means the state of incorporation for a corporation

incorporated under the laws of a state, or, for an unincorporated business
association, the state where the business association is organized.

(9) Due diligence means the use of reasonable and prudent methods
under particular circumstances to locate apparent owners of inactive
accounts using the taxpayer identification number or social security
number, if known, which may include, but are not limited to, using a
nationwide database, cross-indexing with other records of the holder,
mailing to the last known address unless the last known address is known



to be inaccurate, or engaging a licensed agency or company capable of
conducting such search and providing updated addresses.

(10) Financial organization means a state or federal savings
association, savings and loan association, bank, trust company,
international bank agency, cooperative bank, building and loan association,
or credit union.

(11) Health care provider means any state-licensed entity that provides
and receives payment for health care services. These entities include, but
are not limited to, hospitals, outpatient centers, physician practices, and
skilled nursing facilities.

(12) Holder means a person, wherever organized or domiciled, who is:
(a) In possession of property belonging to another;
(b) A trustee in case of a trust; or
(c) Indebted to another on an obligation.

(13) Insurance company means an association, corporation, or
fraternal or mutual benefit organization, whether for profit or not for profit,
which is engaged in providing insurance coverage.

(14) Intangible property includes, by way of illustration and not
limitation:
(a) Moneys, checks, drafts, deposits, interest, dividends, and income.
(b) Credit balances, customer overpayments, security deposits and other

instruments as defined by chapter 679, refunds, unpaid wages, unused airline
tickets, and unidentified remittances.

(c) Stocks, and other intangible ownership interests in business
associations.

(d) Moneys deposited to redeem stocks, bonds, bearer bonds, original issue
discount bonds, coupons, and other securities, or to make distributions.

(e) Amounts due and payable under the terms of insurance policies.
(f) Amounts distributable from a trust or custodial fund established under a

plan to provide any health, welfare, pension, vacation, severance, retirement,
death, stock purchase, profit sharing, employee savings, supplemental



unemployment insurance, or similar benefit.
(15) Last known address means a description of the location of the

apparent owner sufficient for the purpose of the delivery of mail. For the
purposes of identifying, reporting, and remitting property to the department
which is presumed to be unclaimed, last known address includes any
partial description of the location of the apparent owner sufficient to
establish the apparent owner was a resident of this state at the time of last
contact with the apparent owner or at the time the property became due and
payable.

(16) Lawful charges means charges against dormant accounts that are
authorized by statute for the purpose of offsetting the costs of maintaining
the dormant account.

(17) Managed care payor means a health care plan that has a defined
system of selecting and limiting health care providers as evidenced by a
managed care contract with the health care providers. These plans include,
but are not limited to, managed care health insurance companies and health
maintenance organizations.

(18) Owner means a depositor in the case of a deposit, a beneficiary in
the case of a trust or a deposit in trust, or a payee in the case of other
intangible property, or a person having a legal or equitable interest in
property subject to this chapter or his or her legal representative.

(19) Public corporation means a corporation created by the state,
founded and owned in the public interest, supported by public funds, and
governed by those deriving their power from the state.

(20) Reportable period means the calendar year ending December 31
of each year.

(21) State, when applied to a part of the United States, includes any
state, district, commonwealth, territory, insular possession, and any other
area subject to the legislative authority of the United States.

(22) Trust instrument means a trust instrument as defined in s.
736.0103.

(23) Ultimate equitable owner means a natural person who, directly or
indirectly, owns or controls an ownership interest in a corporation, a



foreign corporation, an alien business organization, or any other form of
business organization, regardless of whether such natural person owns or
controls such ownership interest through one or more natural persons or
one or more proxies, powers of attorney, nominees, corporations,
associations, partnerships, trusts, joint stock companies, or other entities or
devices, or any combination thereof.

(24) United States means any state, district, commonwealth, territory,
insular possession, and any other area subject to the legislative authority of
the United States of America.

(25) Utility means a person who owns or operates, for public use, any
plant, equipment, property, franchise, or license for the transmission of
communications or the production, storage, transmission, sale, delivery, or
furnishing of electricity, water, steam, or gas.

HISTORY:
S. 2, ch. 87-105; s. 23, ch. 91-110; s. 1, ch. 96-301; s. 1770, ch. 97-102; s.

1, ch. 2001-36; s. 1, ch. 2003-21; s. 1887, ch. 2003-261; s. 110, ch. 2004-390;
s. 1, ch. 2005-163; s. 2, ch. 2013-172, eff. Oct. 1, 2013; s. 1, ch. 2016-90,
effective July 1, 2016.



 Title XL. ,  Ch. 717. ,   717.102. 
Fla. Stat.  717.102

 717.102. Property presumed unclaimed; general rule.
(1) All intangible property, including any income or increment thereon

less any lawful charges, that is held, issued, or owing in the ordinary
course of the holders business and the owner fails to claim such property
for more than 5 years after the property becomes payable or distributable is
presumed unclaimed, except as otherwise provided by this chapter.

(2) Property is payable or distributable for the purpose of this chapter
notwithstanding the owners failure to make demand or to present any
instrument or document required to receive payment.

HISTORY:
S. 3, ch. 87-105; s. 2, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.103. 
Fla. Stat.  717.103

 717.103. General rules for taking custody of intangible unclaimed
property.

Unless otherwise provided in this chapter or by other statute of this state,
intangible property is subject to the custody of the department as unclaimed
property if the conditions leading to a presumption that the property is
unclaimed as described in ss. 717.102 and 717.105-717.116 are satisfied and:

(1) The last known address, as shown on the records of the holder, of the
apparent owner is in this state;

(2) The records of the holder do not reflect the identity of the person
entitled to the property, and it is established that the last known address of
the person entitled to the property is in this state;

(3) The records of the holder do not reflect the last known address of the
apparent owner, and it is established that:
(a) The last known address of the person entitled to the property is in this

state; or
(b) The holder is a domiciliary or a government or governmental

subdivision or agency of this state and has not previously paid the property to
the state of the last known address of the apparent owner or other person
entitled to the property;

(4) The last known address, as shown on the records of the holder, of the
apparent owner or other person entitled to the property is in a state that
does not provide by law for the escheat or custodial taking of the property,
or its escheat or unclaimed property law is not applicable to the property,
and the holder is a domiciliary or a government or governmental
subdivision or agency of this state;

(5) The last known address, as shown on the records of the holder, of the
apparent owner is in a foreign nation and the holder is a domiciliary or a
government or governmental subdivision or agency of this state; or

(6) The transaction out of which the property arose occurred in this state,
and;



(a)1. The last known address of the apparent owner or other person entitled
to the property is unknown; or
2. The last known address of the apparent owner or other person entitled to

the property is in a state that does not provide by law for the escheat or
custodial taking of the property, or its escheat or unclaimed property law is
not applicable to the property; and

(b) The holder is a domiciliary of a state that does not provide by law for
the escheat or custodial taking of the property, or its escheat or unclaimed
property law is not applicable to the property.

HISTORY:
S. 4, ch. 87-105; s. 3, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.1035. 
Fla. Stat.  717.1035

 717.1035. Property originated or issued by this state, any political
subdivision of this state, or any entity incorporated, organized,
created, or otherwise located in the state.
(1) All intangible property, including, but not limited to, any interest,

dividend, or other earnings thereon, less any lawful charges, held by a
business association, federal, state, or local government or governmental
subdivision, agency, or entity, or any other person or entity, regardless of
where the holder may be found, if the owner has not claimed or
corresponded in writing concerning the property within 3 years after the
date prescribed for payment or delivery, is presumed to be unclaimed
property and subject to the custody of this state as such if:
(a) The last known address of the owner is unknown; and
(b) The person or entity originating or issuing the intangible property is

this state or any political subdivision of this state, or the person or entity is
incorporated, organized, created, or otherwise located in this state.

(2) The provisions of subsection (1) shall not apply to property which is
or may be presumed unclaimed and subject to the custody of this state
pursuant to any other provision of law containing a dormancy period
different than that prescribed in subsection (1).

(3) The provisions of subsection (1) shall apply to all property held at
the time of enactment, or at any time thereafter, regardless of when such
property became or becomes presumptively unclaimed.

HISTORY:
S. 1, ch. 90-113; s. 2, ch. 92-169; s. 4, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.104. 
Fla. Stat.  717.104

 717.104. Travelers checks and money orders.
(1) Subject to subsection (4), any sum payable on a travelers check that

has been outstanding for more than 15 years after its issuance is presumed
unclaimed unless the owner, within 15 years, has communicated in writing
with the issuer concerning it or otherwise indicated an interest as
evidenced by a memorandum or other record on file with the issuer.

(2) Subject to subsection (4), any sum payable on a money order or
similar written instrument, other than a third party bank check, that has
been outstanding for more than 7 years after its issuance is presumed
unclaimed unless the owner, within 7 years, has communicated in writing
with the issuer concerning it or otherwise indicated an interest as
evidenced by a memorandum or other record on file with the issuer.

(3) No holder may deduct from the amount of any travelers check or
money order any charges imposed by reason of the failure to present those
instruments for payment unless there is a valid and enforceable written
contract between the issuer and the owner of the property pursuant to
which the issuer may impose those charges and the issuer regularly
imposes those charges and does not regularly reverse or otherwise cancel
those charges with respect to the property.

(4) No sum payable on a travelers check, money order, or similar
written instrument, other than a third party bank check, described in
subsections (1) and (2) may be subjected to the custody of this state as
unclaimed property unless:
(a) The records of the issuer show that the travelers check, money order,

or similar written instrument was purchased in this state;
(b) The issuer has its principal place of business in this state and the

records of the issuer do not show the state in which the travelers check,
money order, or similar written instrument was purchased; or

(c) The issuer has its principal place of business in this state; the records of
the issuer show the state in which the travelers check, money order, or
similar written instrument was purchased; and the laws of the state of



purchase do not provide for the escheat or custodial taking of the property, or
its escheat or unclaimed property law is not applicable to the property.

(5) Notwithstanding any other provision of this chapter, subsection (4)
applies to sums payable on travelers checks, money orders, and similar
written instruments presumed unclaimed on or after February 1, 1965,
except to the extent that those sums have been paid over to a state prior to
January 1, 1974.

HISTORY:
S. 5, ch. 87-105; s. 5, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.1045. 
Fla. Stat.  717.1045

 717.1045. Gift certificates and similar credit items.
Notwithstanding s. 717.117, an unredeemed gift certificate or credit memo

as defined in s. 501.95 is not required to be reported as unclaimed property.
(1) The consideration paid for an unredeemed gift certificate or credit

memo is the property of the issuer of the unredeemed gift certificate or
credit memo.

(2) An unredeemed gift certificate or credit memo is subject only to any
rights of a purchaser or owner thereof and is not subject to a claim made by
any state acting on behalf of a purchaser or owner.

(3) It is the intent of the Legislature that this section apply to the
custodial holding of unredeemed gift certificates and credit memos.

(4) However, a gift certificate or credit memo described in s. 501.95(2)
(b) shall be reported as unclaimed property. The consideration paid for
such a gift certificate or credit memo is the property of the owner of the
gift certificate or credit memo.

HISTORY:
S. 2, ch. 2007-256, eff. June 28, 2007.



 Title XL. ,  Ch. 717. ,   717.105. 
Fla. Stat.  717.105

 717.105. Checks, drafts, and similar instruments issued or certified by
banking and financial organizations.
(1) Any sum payable on a check, draft, or similar instrument, except

those subject to ss. 717.104 and 717.115, on which a banking or financial
organization is directly liable, including, but not limited to, a cashiers
check or a certified check, which has been outstanding for more than 5
years after it was payable or after its issuance if payable on demand, is
presumed unclaimed unless the owner, within 5 years, has communicated
in writing with the banking or financial organization concerning it or
otherwise indicated an interest as evidenced by a memorandum or other
record on file with the banking or financial organization.

(2) No holder may deduct from the amount of any instrument subject to
this section any charges imposed by reason of the failure to present the
instrument for encashment unless there is a valid and enforceable written
contract between the holder and the owner of the instrument pursuant to
which the holder may impose those charges and does not regularly reverse
or otherwise cancel those charges with respect to the instrument.

HISTORY:
S. 6, ch. 87-105; s. 2, ch. 96-301; s. 6, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.106. 
Fla. Stat.  717.106

 717.106. Bank deposits and funds in financial organizations.
(1) Any demand, savings, or matured time deposit with a banking or

financial organization, including deposits that are automatically renewable,
and any funds paid toward the purchase of shares, a mutual investment
certificate, or any other interest in a banking or financial organization is
presumed unclaimed unless the owner has, within 5 years:
(a) Increased or decreased the amount of the deposit or presented the

passbook or other similar evidence of the deposit for the crediting of interest;
(b) Communicated in writing or by documented telephone contact with the

banking or financial organization concerning the property;
(c) Otherwise indicated an interest in the property as evidenced by a

memorandum or other record on file with the banking or financial
organization;

(d) Owned other property to which paragraph (a), paragraph (b), or
paragraph (c) is applicable and if the banking or financial organization
communicates in writing with the owner with regard to the property that
would otherwise be presumed unclaimed under this subsection at the address
to which communications regarding the other property regularly are sent; or

(e) Had another relationship with the banking or financial organization
concerning which the owner has:

1. Communicated in writing with the banking or financial organization; or
2. Otherwise indicated an interest as evidenced by a memorandum or other

record on file with the banking or financial organization and if the banking or
financial organization communicates in writing with the owner with regard to
the property that would otherwise be unclaimed under this subsection at the
address to which communications regarding the other relationship regularly
are sent.

(2) For purpose of paragraph (1)(a), property includes any interest or
dividends thereon.

(3) No holder may impose with respect to property described in



subsection (1) any charges due to dormancy or inactivity or cease payment
of interest unless:
(a) There is an enforceable written contract between the holder and the

owner of the property pursuant to which the holder may impose those charges
or cease payment of interest.

(b) For property in excess of $2, the holder, no more than 3 months prior to
the initial imposition of those charges or cessation of interest, has given
written notice to the owner of the amount of those charges at the last known
address of the owner stating that those charges shall be imposed or that
interest shall cease, but the notice provided in this section need not be given
with respect to charges imposed or interest ceased before July 1, 1987.

(c) The holder regularly imposes those charges or ceases payment of
interest and does not regularly reverse or otherwise cancel those charges or
retroactively credit interest with respect to such property.

(4) Any property described in subsection (1) that is automatically
renewable is matured for purposes of subsection (1) upon the expiration of
its initial time period except that, in the case of any renewal to which the
owner consents at or about the time of renewal by communicating in
writing with the banking or financial organization or otherwise indicating
consent as evidenced by a memorandum or other record on file prepared
by an employee of the organization, the property is matured upon the
expiration of the last time period for which consent was given. If, at the
time provided for delivery in s. 717.119, a penalty or forfeiture in the
payment of interest would result from the delivery of the property, the time
for delivery is extended until the time when no penalty or forfeiture would
result.

(5) If the documents establishing a deposit described in subsection (1)
state the address of a beneficiary of the deposit, and the account has a
value of at least $50, notice shall be given to the beneficiary as provided
for notice to the apparent owner under s. 717.117(4). This subsection shall
apply to accounts opened on or after October 1, 1990.

HISTORY:
S. 7, ch. 87-105; s. 2, ch. 90-113; s. 63, ch. 91-110; s. 3, ch. 96-301; s. 7,

ch. 2001-36; s. 111, ch. 2004-390; s. 2, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.107. 
Fla. Stat.  717.107

 717.107. Funds owing under life insurance policies, annuity contracts,
and retained asset accounts; fines, penalties, and interest; United
States Social Security Administration Death Master File.
(1) Funds held or owing under any life or endowment insurance policy

or annuity contract which has matured or terminated are presumed
unclaimed if unclaimed for more than 5 years after the date of death of the
insured, the annuitant, or the retained asset account holder, but property
described in paragraph (3)(d) is presumed unclaimed if such property is not
claimed for more than 2 years. The amount presumed unclaimed shall
include any amount due and payable under s. 627.4615.

(2) If a person other than the insured, the annuitant, or the retained asset
account holder is entitled to the funds and no address of the person is
known to the company or it is not definite and certain from the records of
the company who is entitled to the funds, it is presumed that the last known
address of the person entitled to the funds is the same as the last known
address of the insured, the annuitant, or the retained asset account holder
according to the records of the company.

(3) For purposes of this chapter, a life or endowment insurance policy or
annuity contract not matured by actual proof of the death of the insured,
the annuitant, or the retained asset account holder according to the records
of the company is deemed matured and the proceeds due and payable if
any of the following applies:
(a) The company knows that the insured, the annuitant, or the retained

asset account holder has died.
(b) A presumption of death made in accordance with paragraph (8)(c) has

not been rebutted.
(c) The policy or contract has reached its maturity date.
(d)1. The insured has attained, or would have attained if he or she were
living, the limiting age under the mortality table on which the reserve is
based;
2. The policy was in force at the time the insured attained, or would have



attained, the limiting age specified in subparagraph 1.; and
3. Neither the insured nor any other person appearing to have an interest in

the policy within the preceding 2 years, according to the records of the
company, has assigned, readjusted, or paid premiums on the policy; subjected
the policy to a loan; corresponded in writing with the company concerning
the policy; or otherwise indicated an interest as evidenced by a memorandum
or other record on file prepared by an employee of the company.

(4) For purposes of this chapter, the application of an automatic
premium loan provision or other nonforfeiture provision contained in an
insurance policy does not prevent the policy from being matured or
terminated under subsection (1) if the insured has died or the insured or the
beneficiaries of the policy otherwise have become entitled to the proceeds
thereof before the depletion of the cash surrender value of a policy by the
application of those provisions.

(5) If the laws of this state or the terms of the life insurance policy
require the company to give notice to the insured or owner that an
automatic premium loan provision or other nonforfeiture provision has
been exercised and the notice, given to an insured or owner whose last
known address according to the records of the company is in this state, is
undeliverable, the company shall make a reasonable search to ascertain the
policyholders correct address to which the notice must be mailed.

(6) Notwithstanding any other provision of law, if the company learns of
the death of the insured, the annuitant, or the retained asset account holder
and the beneficiary has not communicated with the insurer within 4 months
after the death, the company shall take reasonable steps to pay the proceeds
to the beneficiary.

(7) Commencing 2 years after July 1, 1987, every change of beneficiary
form issued by an insurance company under any life or endowment
insurance policy or annuity contract to an insured or owner who is a
resident of this state must request the following information:
(a) The name of each beneficiary, or if a class of beneficiaries is named,

the name of each current beneficiary in the class.
(b) The address of each beneficiary.
(c) The relationship of each beneficiary to the insured.



(8)(a) Notwithstanding any other provision of law, an insurer shall
compare the records of its insureds life or endowment insurance policies,
annuity contracts that provide a death benefit, and retained asset accounts
that were in force at any time on or after January 1, 1992, against the
United States Social Security Administration Death Master File once to
determine whether the death of an insured, an annuitant, or a retained asset
account holder is indicated and shall thereafter use the Death Master File
update files for future comparisons. The comparisons must use the name
and social security number or date of birth of the insured, the annuitant, or
the retained asset account holder. The comparisons must be made on at
least an annual basis before August 31 of each year. If an insurer performs
such comparisons regarding its annuities or other books of business more
frequently than once a year, the insurer must also make comparisons
regarding its life insurance policies, annuity contracts that provide a death
benefit, and retained asset accounts at the same frequency as is made
regarding its annuities or other books or lines of business. An insurer may
perform the comparisons required by this paragraph using any database or
service that the department determines is at least as comprehensive as the
United States Social Security Administration Death Master File for the
purpose of indicating that a person has died.
(b) However, an insurer that meets one of the following criteria as of June

30, 2016, shall conduct the comparison in paragraph (a) to all in-force
policies:

1. The insurer has entered into a regulatory settlement agreement with the
Office of Insurance Regulation; or

2. The insurer has received a targeted market conduct examination report
issued by the Office of Insurance Regulation regarding claims-handling
practices and the use of the Death Master File with no findings of violations
of law.

(c) An insured, an annuitant, or a retained asset account holder is presumed
deceased if the date of his or her death is indicated by the comparison
required under paragraph (a) unless the insurer has in its records competent
and substantial evidence that the person is living, including, but not limited
to, a contact made by the insurer with such person or his or her legal
representative. The insurer shall account for common variations in data and



for any partial names, social security numbers, dates of birth, and addresses
of the insured, the annuitant, or the retained asset account holder which
would otherwise preclude an exact match.

(d) For purposes of this section, a policy, an annuity contract, or a retained
asset account is deemed to be in force if it has not lapsed, has not been
canceled, or has not been terminated at the time of death of the insured, the
annuitant, or the retained asset account holder.

(e) This subsection does not apply to an insurer with respect to benefits
payable under:

1. An annuity that is issued in connection with an employment-based plan
subject to the Employee Retirement Income Security Act of 1974 or that is
issued to fund an employment-based retirement plan, including any deferred
compensation plan.

2. A policy of credit life or accidental death insurance.
3. A joint and survivor annuity contract if an annuitant is still living.
4. A policy issued to a group master policy owner for which the insurer

does not perform recordkeeping functions. For purposes of this subparagraph,
the term recordkeeping means those circumstances under which the insurer
has agreed through a group policyholder to be responsible for obtaining,
maintaining, and administering, in its own or its agents systems, information
about each individual insured under a group insurance policy or a line of
coverage thereunder, including at least the following:

a. The social security number, or name and date of birth;
b. Beneficiary designation information;
c. Coverage eligibility;
d. The benefit amount; and
e. Premium payment status.
5. Any policy or certificate of life insurance that is assigned to a person

licensed under s. 497.452 to fund a preneed funeral merchandise or service
contract.

(9) No later than 120 days after learning of the death of an insured, an



annuitant, or a retained asset account holder through a comparison under
subsection (8), an insurer shall:
(a) Complete and document an effort to confirm the death of the insured,

the annuitant, or the retained asset account holder against other available
records and information.

(b) Review its records to determine whether the insured, the annuitant, or
the retained asset account holder purchased other products from the insurer.

(c) Determine whether benefits may be due under a policy, an annuity, or a
retained asset account.

(d) Complete and document an effort to locate and contact the beneficiary
or authorized representative under a policy, an annuity, or a retained asset
account if such person has not communicated with the insurer before the
expiration of the 120-day period. The effort must include:

1. Sending to the beneficiary or authorized representative information
concerning the claim process of the insurer.

2. Notice of any requirement to provide a certified original or copy of the
death certificate if applicable under the policy, annuity, or retained asset
account.

(10) An insurer may, to the extent permitted by law, disclose the
minimum necessary personal information about an insured, an annuitant, a
retained asset account owner, or a beneficiary to an individual or entity
reasonably believed by the insurer to possess the ability to assist the
insurer in locating the beneficiary or any other individual or entity that is
entitled to payment of the claim proceeds.

(11) An insurer, or any agent or third party that it engages or that works
on its behalf, may not charge insureds, annuitants, retained asset account
holders, beneficiaries, or the estates of insureds, annuitants, retained asset
account holders, or the beneficiaries of an estate any fees or costs
associated with any search, verification, claim, or delivery of funds
conducted pursuant to this section.

HISTORY:
S. 8, ch. 87-105; s. 849, ch. 97-102; s. 8, ch. 2001-36; s. 112, ch. 2004-390;



s. 1, ch. 2016-219, effective April 12, 2016.

Editors Notes
Section 2, ch. 2016-219, provides: The amendments made by this act are

remedial in nature and apply retroactively. Fines, penalties, or additional
interest, pursuant to chapter 717, Florida Statutes, may not be imposed due to
the failure to report and remit an unclaimed life or an endowment insurance
policy, a retained asset account, or an annuity contract with a death benefit if
any unclaimed life or endowment insurance policy, retained asset account, or
annuity contract proceeds are reported and remitted to the Department of
Financial Services on or before May 1, 2021.



 Title XL. ,  Ch. 717. ,   717.1071. 
Fla. Stat.  717.1071

 717.1071. Lost owners of unclaimed demutualization, rehabilitation, or
related reorganization proceeds.
(1) Property distributable in the course of a demutualization,

rehabilitation, or related reorganization of an insurance company is deemed
abandoned 2 years after the date the property is first distributable if, at the
time of the first distribution, the last known address of the owner on the
books and records of the holder is known to be incorrect or the distribution
or statements are returned by the post office as undeliverable; and the
owner has not communicated in writing with the holder or its agent
regarding the interest or otherwise communicated with the holder
regarding the interest as evidenced by a memorandum or other record on
file with the holder or its agent.

(2) Property distributable in the course of demutualization,
rehabilitation, or related reorganization of a mutual insurance company that
is not subject to subsection (1) shall be reportable as otherwise provided by
this chapter.

(3) Property subject to this section shall be reported and delivered no
later than May 1 as of the preceding December 31; however, the initial
report under this section shall be filed no later than November 1, 2003, as
of December 31, 2002.

HISTORY:
S. 2, ch. 2003-21; s. 75, ch. 2003-281.

Editors notes.
This section is set out as enacted by s. 75, ch. 2003-281. Section 717.1071

was also enacted by s. 2, ch. 2003-21, and that version read:
717.1071 Unclaimed demutualization proceeds.  Unclaimed property

payable or distributable in the course of a demutualization of an insurance
company is presumed unclaimed 5 years after the earlier of the date of last
contact with the policyholder or the date the property became payable or
distributable.



 Title XL. ,  Ch. 717. ,   717.108. 
Fla. Stat.  717.108

 717.108. Deposits held by utilities.
Any deposit, including any interest thereon, made by a subscriber with a

utility to secure payment or any sum paid in advance for utility services to be
furnished, less any lawful charges, that remains unclaimed by the owner for
more than 1 year after termination of the services for which the deposit or
advance payment was made is presumed unclaimed.

HISTORY:
S. 9, ch. 87-105; s. 4, ch. 96-301; s. 9, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.109. 
Fla. Stat.  717.109

 717.109. Refunds held by business associations.
Except as otherwise provided by law, any sum that a business association

has been ordered to refund by a court or administrative agency which has
been unclaimed by the owner for more than 1 year after it became payable in
accordance with the final determination or order providing for the refund,
regardless of whether the final determination or order requires any person
entitled to a refund to make a claim for it, is presumed unclaimed.

HISTORY:
S. 10, ch. 87-105; s. 10, ch. 2001-36; s. 113, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.1101. 
Fla. Stat.  717.1101

 717.1101. Unclaimed equity and debt of business associations.
(1)(a) Stock or other equity interest in a business association is presumed
unclaimed 3 years after the earliest of:
1. The date of the most recent dividend, stock split, or other distribution

unclaimed by the apparent owner;
2. The date of a statement of account or other notification or

communication that was returned as undeliverable; or
3. The date the holder discontinued mailings, notifications, or

communications to the apparent owner.
(b) Unmatured or unredeemed debt, other than a bearer bond or an original

issue discount bond, is presumed unclaimed 3 years after the date of the most
recent interest payment unclaimed by the owner.

(c) Matured or redeemed debt is presumed unclaimed 3 years after the date
of maturity or redemption.

(d) At the time property is presumed unclaimed under paragraph (a) or
paragraph (b), any other property right accrued or accruing to the owner as a
result of the property interest and not previously presumed unclaimed is also
presumed unclaimed.

(2) The running of such 3-year period ceases if the person:
(a)1. Communicates in writing with the association or its agent regarding
the interest or a dividend, distribution, or other sum payable as a result of
the interest; or
2. Otherwise communicates with the association regarding the interest or a

dividend, distribution, or other sum payable as a result of the interest, as
evidenced by a memorandum or other record on file with the association or
its agent.

(b) Presents an instrument issued to pay interest or a dividend or other cash
distribution. If any future dividend, distribution, or other sum payable to the
owner as a result of the interest is subsequently not claimed by the owner, a



new period in which the property is presumed unclaimed commences and
relates back only to the time a subsequent dividend, distribution, or other sum
became due and payable.

(3) At the same time any interest is presumed unclaimed under this
section, any dividend, distribution, or other sum then held for or owing to
the owner as a result of the interest, is presumed unclaimed.

(4) Any dividend, profit, distribution, interest redemption, payment on
principal, or other sum held or owing by a business association for or to a
shareholder, certificateholder, member, bondholder, or other security
holder, who has not claimed such amount or corresponded in writing with
the business association concerning such amount, within 3 years after the
date prescribed for payment or delivery, is presumed unclaimed.

HISTORY:
S. 11, ch. 87-105; s. 5, ch. 96-301; s. 11, ch. 2001-36; s. 3, ch. 2003-21; s.

3, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.111. 
Fla. Stat.  717.111

 717.111. Property of business associations held in course of dissolution.
All intangible property distributable in the course of a voluntary or

involuntary dissolution of a business association which is not claimed by the
owner for more than 6 months after the date specified for final distribution is
presumed unclaimed.

HISTORY:
S. 12, ch. 87-105; s. 12, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.112. 
Fla. Stat.  717.112

 717.112. Property held by agents and fiduciaries.
(1) Except as provided in ss. 717.1125 and 733.816, all intangible

property and any income or increment thereon held in a fiduciary capacity
for the benefit of another person is presumed unclaimed unless the owner
has within 5 years after it has become payable or distributable increased or
decreased the principal, accepted payment of principal or income,
communicated concerning the property, or otherwise indicated an interest
as evidenced by a memorandum or other record on file with the fiduciary.

(2) Funds in an individual retirement account or a retirement plan for
self-employed individuals or similar account or plan established pursuant
to the Internal Revenue laws of the United States are not payable or
distributable within the meaning of subsection (1) unless, under the terms
of the account or plan, distribution of all or part of the funds would then be
mandatory.

(3) For the purpose of this section, a person who holds property as an
agent for a business association is deemed to hold the property in a
fiduciary capacity for that business association alone, unless the agreement
between said person and the business association provides otherwise.

(4) For the purposes of this chapter, a person who is deemed to hold
property in a fiduciary capacity for a business association alone is the
holder of the property only insofar as the interest of the business
association in the property is concerned, and the business association is the
holder of the property insofar as the interest of any other person in the
property is concerned.

(5) All intangible property, and any income or increment thereon, issued
by a government or governmental subdivision or agency, public
corporation, or public authority and held in an agency capacity for the
governmental subdivision, agency, public corporation, or public authority
for the benefit of the owner of record, is presumed unclaimed unless the
owner has, within 1 year after such property has become payable or
distributable, increased or decreased the principal, accepted payment of the
principal or income, communicated concerning the property, or otherwise



indicated an interest in the property as evidenced by a memorandum or
other record on file with the fiduciary.

HISTORY:
S. 13, ch. 87-105; s. 6, ch. 96-301; s. 13, ch. 2001-36; s. 3, ch. 2013-172,

eff. Oct. 1, 2013.



 Title XL. ,  Ch. 717. ,   717.1125. 
Fla. Stat.  717.1125

 717.1125. Property held by fiduciaries under trust instruments.
All intangible property and any income or increment thereon held in a

fiduciary capacity for the benefit of another person under a trust instrument is
presumed unclaimed unless the owner has, within 2 years after it has become
payable or distributable, increased or decreased the principal, accepted
payment of principal or income, communicated concerning the property, or
otherwise indicated an interest as evidenced by a memorandum or other
record on file with the fiduciary.

HISTORY:
S. 4, ch. 2013-172, eff. Oct. 1, 2013.



 Title XL. ,  Ch. 717. ,   717.113. 
Fla. Stat.  717.113

 717.113. Property held by courts and public agencies.
All intangible property held for the owner by any court, government or

governmental subdivision or agency, public corporation, or public authority
that has not been claimed by the owner for more than 1 year after it became
payable or distributable is presumed unclaimed. Except as provided in s.
45.032 (3) (c), money held in the court registry and for which no court order
has been issued to determine an owner does not become payable or
distributable and is not subject to reporting under this chapter.
Notwithstanding the provisions of this section, funds deposited in the
Minerals Trust Fund pursuant to s. 377.247 are presumed unclaimed only if
the funds have not been claimed by the owner for more than 5 years after the
date of first production from the well.

HISTORY:
S. 14, ch. 87-105; s. 4, ch. 94-193; s. 71, ch. 96-321; s. 14, ch. 2001-36; s.

8, ch. 2018-71, effective July 1, 2019.



 Title XL. ,  Ch. 717. ,   717.115. 
Fla. Stat.  717.115

 717.115. Wages.
Unpaid wages, including wages represented by unpresented payroll

checks, owing in the ordinary course of the holders business that have not
been claimed by the owner for more than 1 year after becoming payable are
presumed unclaimed.

HISTORY:
S. 16, ch. 87-105; s. 15, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.116. 
Fla. Stat.  717.116

 717.116. Contents of safe-deposit box or other safekeeping repository.
All tangible and intangible property held by a banking or financial

organization in a safe-deposit box or any other safekeeping repository in this
state in the ordinary course of the holders business, and proceeds resulting
from the sale of the property permitted by law, that has not been claimed by
the owner for more than 3 years after the lease or rental period on the box or
other repository has expired are presumed unclaimed.

HISTORY:
S. 17, ch. 87-105; s. 8, ch. 96-301; s. 16, ch. 2001-36; s. 114, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.117. 
Fla. Stat.  717.117

 717.117. Report of unclaimed property.
(1) Every person holding funds or other property, tangible or intangible,

presumed unclaimed and subject to custody as unclaimed property under
this chapter shall report to the department on such forms as the department
may prescribe by rule. In lieu of forms, a report identifying 25 or more
different apparent owners must be submitted by the holder via electronic
medium as the department may prescribe by rule. The report must include:
(a) Except for travelers checks and money orders, the name, social

security number or taxpayer identification number, and date of birth, if
known, and last known address, if any, of each person appearing from the
records of the holder to be the owner of any property which is presumed
unclaimed and which has a value of $50 or more.

(b) For unclaimed funds which have a value of $50 or more held or owing
under any life or endowment insurance policy or annuity contract, the full
name, taxpayer identification number or social security number, date of birth,
if known, and last known address of the insured or annuitant and of the
beneficiary according to records of the insurance company holding or owing
the funds.

(c) For all tangible property held in a safe-deposit box or other safekeeping
repository, a description of the property and the place where the property is
held and may be inspected by the department, and any amounts owing to the
holder. Contents of a safe-deposit box or other safekeeping repository which
consist of documents or writings of a private nature and which have little or
no apparent value shall not be presumed unclaimed.

(d) The nature and identifying number, if any, or description of the
property and the amount appearing from the records to be due. Items of value
under $50 each may be reported in the aggregate.

(e) The date the property became payable, demandable, or returnable, and
the date of the last transaction with the apparent owner with respect to the
property.

(f) Any person or business association or public corporation holding funds



presumed unclaimed and having a total value of $10 or less may file a zero
balance report for that reporting period. The balance brought forward to the
new reporting period is zero.

(g) Such other information as the department may prescribe by rule as
necessary for the administration of this chapter.

(h) Credit balances, customer overpayments, security deposits, and refunds
having a value of less than $10 shall not be presumed unclaimed.

(2) If the holder of property presumed unclaimed and subject to custody
as unclaimed property is a successor holder or if the holder has changed
the holders name while in possession of the property, the holder shall file
with the holders report all known names and addresses of each prior
holder of the property. Compliance with this subsection means the holder
exercises reasonable and prudent efforts to determine the names of all prior
holders.

(3) The report must be filed before May 1 of each year. The report shall
apply to the preceding calendar year. The department may impose and
collect a penalty of $10 per day up to a maximum of $500 for the failure to
timely report or the failure to include in a report information required by
this chapter. The penalty shall be remitted to the department within 30 days
after the date of the notification to the holder that the penalty is due and
owing. As necessary for proper administration of this chapter, the
department may waive any penalty due with appropriate justification. On
written request by any person required to file a report and upon a showing
of good cause, the department may postpone the reporting date. The
department must provide information contained in a report filed with the
department to any person requesting a copy of the report or information
contained in a report, to the extent the information requested is not
confidential, within 45 days after the report has been processed and added
to the unclaimed property database subsequent to a determination that the
report is accurate and that the reported property is the same as the remitted
property.

(4) Holders of inactive accounts having a value of $50 or more shall use
due diligence to locate apparent owners. Not more than 120 days and not
less than 60 days prior to filing the report required by this section, the
holder in possession of property presumed unclaimed and subject to



custody as unclaimed property under this chapter shall send written notice
to the apparent owner at the apparent owners last known address
informing the apparent owner that the holder is in possession of property
subject to this chapter, if the holder has in its records an address for the
apparent owner which the holders records do not disclose to be inaccurate.

(5) Any holder of intangible property may file with the department a
petition for determination that the property is unclaimed requesting the
department to accept custody of the property. The petition shall state any
special circumstances that exist, contain the information required by
subsection (2), and show that a diligent search has been made to locate the
owner. If the department finds that the proof of diligent search is
satisfactory, it shall give notice as provided in s. 717.118 and accept
custody of the property.

(6) Upon written request by any entity or person required to file a report,
stating such entitys or persons justification for such action, the
department may place that entity or person in an inactive status as an
unclaimed property holder.
(7)(a) This section does not apply to the unclaimed patronage refunds as
provided for by contract or through bylaw provisions of entities organized
under chapter 425 or that are exempt from ad valorem taxation pursuant to
s. 196.2002.
(b) This section does not apply to intangible property held, issued, or

owing by a business association subject to the jurisdiction of the United
States Surface Transportation Board or its successor federal agency if the
apparent owner of such intangible property is a business association. The
holder of such property does not have any obligation to report, to pay, or to
deliver such property to the department.

(c) This section does not apply to credit balances, overpayments, refunds,
or outstanding checks owed by a health care provider to a managed care
payor with whom the health care provider has a managed care contract,
provided that the credit balances, overpayments, refunds, or outstanding
checks become due and owing pursuant to the managed care contract.

(8)(a) As used in this subsection, the term property identifier means the
descriptor used by the holder to identify the unclaimed property.



(b) Social security numbers and property identifiers contained in reports
required under this section, held by the department, are confidential and
exempt from s. 119.07(1) and s. 24(a), Art. I of the State Constitution.

(c) This exemption applies to social security numbers and property
identifiers held by the department before, on, or after the effective date of this
exemption.

HISTORY:
S. 18, ch. 87-105; s. 1, ch. 92-169; s. 30, ch. 92-319; s. 1, ch. 93-280; s. 9,

ch. 96-301; s. 1771, ch. 97-102; s. 17, ch. 2001-36; s. 1, ch. 2002-64; s. 1888,
ch. 2003-261; s. 115, ch. 2004-390; s. 4, ch. 2005-163; s. 1, ch. 2007-69, eff.
Oct. 1, 2007; s. 1, ch. 2012-227, eff. May 4, 2012; s. 2, ch. 2016-90, effective
July 1, 2016; s. 1, ch. 2017-33, effective October 1, 2017.

Editors notes.
Section 2, ch. 2007-69, provides: The Legislature finds that it is a public

necessity that property identifiers contained in reports of unclaimed property
be made confidential and exempt from public-records requirements. Property
identifiers, which are descriptors used by a holder to identify unclaimed
property, could be used to obtain fraudulently unclaimed funds or property.
Protection of property identifiers is a public necessity in order to prevent the
fraudulent use of such information for purposes of creating falsified or forged
documents that appear to demonstrate entitlement to unclaimed property.
Such use defrauds the rightful property owner or the State School Fund.
Furthermore, the release of property identifiers contained in reports of
unclaimed property hinders the effective and efficient administration of the
unclaimed property program.

Section 2, ch. 2012-227, provides: The Legislature finds that it is a public
necessity that social security numbers contained in reports of unclaimed
property remain confidential and exempt from public records requirements.
Social security numbers, which are used by a holder of unclaimed property to
identify such property, could be used to fraudulently obtain unclaimed
property. The release of social security numbers could also place owners of
unclaimed property at risk of identity theft. Therefore, the protection of social
security numbers is a public necessity in order to prevent the fraudulent use
of such information by creating falsified or forged documents that appear to



demonstrate entitlement to unclaimed property and to prevent opportunities
for identify theft. Such use defrauds the rightful owner or the State School
Fund, which is the depository for all remaining unclaimed funds.



 Title XL. ,  Ch. 717. ,   717.118. 
Fla. Stat.  717.118

 717.118. Notification of apparent owners of unclaimed property.
(1) It is specifically recognized that the state has an obligation to make

an effort to notify owners of unclaimed property in a cost-effective
manner. In order to provide all the citizens of this state an effective and
efficient program for the recovery of unclaimed property, the department
shall use cost-effective means to make at least one active attempt to notify
owners of unclaimed property accounts valued at more than $250 with a
reported address or taxpayer identification number. Such active attempt to
notify apparent owners shall include any attempt by the department to
directly contact the owner. Other means of notification, such as publication
of the names of owners in the newspaper, on television, on the Internet, or
through other promotional efforts and items in which the department does
not directly attempt to contact the owner are expressly declared to be
passive attempts. Nothing in this subsection precludes other agencies or
entities of state government from notifying owners of the existence of
unclaimed property or attempting to notify apparent owners of unclaimed
property.

(2) Notification provided directly to individual apparent owners shall
consist of a description of the property and information regarding recovery
of unclaimed property from the department.

(3) This section is not applicable to sums payable on travelers checks,
money orders, and other written instruments presumed unclaimed under s.
717.104.

HISTORY:
S. 19, ch. 87-105; s. 2, ch. 88-256; s. 31, ch. 92-319; s. 2, ch. 93-280; s. 10,

ch. 96-301; s. 18, ch. 2001-36; s. 116, ch. 2004-390; s. 5, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.119. 
Fla. Stat.  717.119

 717.119. Payment or delivery of unclaimed property.
(1) Every person who is required to file a report under s. 717.117 shall

simultaneously pay or deliver to the department all unclaimed property
required to be reported. Such payment or delivery shall accompany the
report as required in this chapter for the preceding calendar year.

(2) Payment of unclaimed funds may be made to the department by
electronic funds transfer.

(3) If the owner establishes the right to receive the unclaimed property
to the satisfaction of the holder before the property has been delivered to
the department or it appears that for some other reason the presumption
that the property is unclaimed is erroneous, the holder need not pay or
deliver the property to the department. In lieu of delivery, the holder shall
file a verified written explanation of the proof of claim or of the error in
the presumption that the property was unclaimed.

(4) All stock or other intangible ownership interest reported under this
chapter on the annual report filing required in s. 717.117 shall be remitted
to the department with the report. Upon delivery of the stock or other
intangible ownership interest to the department, the holder and any transfer
agent, registrar, or other person acting for or on behalf of a holder is
relieved of all liability of every kind in accordance with the provisions of s.
717.1201 to every person for any losses or damages resulting to the person
by the delivery to the department of the stock or other intangible
ownership interest.

(5) All intangible and tangible property held in a safe-deposit box or any
other safekeeping repository reported under s. 717.117 shall not be
delivered to the department until 120 days after the report due date. The
delivery of the property, through the United States mail or any other
carrier, shall be insured by the holder at an amount equal to the estimated
value of the property. Each package shall be clearly marked on the outside
Deliver Unopened. A holders safe-deposit box contents shall be
delivered to the department in a single shipment. In lieu of a single
shipment, holders may provide the department with a single detailed



shipping schedule that includes package tracking information for all
packages being sent pursuant to this section.
(a) Holders may remit the value of cash and coins found in unclaimed safe-

deposit boxes to the department by cashiers check or by electronic funds
transfer, unless the cash or coins have a value above face value. The
department shall identify by rule those cash and coin items having a
numismatic value. Cash and coin items identified as having a numismatic
value shall be remitted to the department in their original form.

(b) Any firearm or ammunition found in an unclaimed safe-deposit box or
any other safekeeping repository shall be delivered by the holder to a law
enforcement agency for disposal pursuant to s. 705.103(2)(b) with the
balance of the proceeds deposited into the State School Fund if the firearm is
sold. However, the department is authorized to make a reasonable attempt to
ascertain the historical value to collectors of any firearm that has been
delivered to the department. Any firearm appearing to have historical value to
collectors may be sold by the department pursuant to s. 717.122 to a person
having a federal firearms license. Any firearm which is not sold pursuant to s.
717.122 shall be delivered by the department to a law enforcement agency in
this state for disposal pursuant to s. 705.103(2)(b) with the balance of the
proceeds deposited into the State School Fund if the firearm is sold. The
department shall not be administratively, civilly, or criminally liable for any
firearm delivered by the department to a law enforcement agency in this state
for disposal.

(c) If such property is not paid or delivered to the department on or before
the applicable payment or delivery date, the holder shall pay to the
department a penalty for each safe-deposit box shipment received late. The
penalty shall be $100 for a safe-deposit box shipment container that is late 30
days or less. Thereafter, the penalty shall be $500 for a safe-deposit box
shipment container that is late for each additional successive 30-day period.
The penalty assessed against a holder for a late safe-deposit box shipment
container shall not exceed $4,000 annually. The penalty shall be remitted to
the department within 30 days after the date of the notification to the holder
that the penalty is due and owing.

(d) The department may waive any penalty due with appropriate
justification, as provided by rule.



(e) If a will or trust instrument is included among the contents of a safe-
deposit box or other safekeeping repository delivered to the department, the
department must provide a copy of the will, trust, and any codicils or
amendments to such will or trust instrument, upon request, to anyone who
provides the department with evidence of the death of the testator or settlor.

(6) Any holder may request an extension in writing of up to 60 days for
the delivery of property if extenuating circumstances exist for the late
delivery of the property. Any such extension the department may grant
shall be in writing.

HISTORY:
S. 20, ch. 87-105; s. 11, ch. 96-301; s. 19, ch. 2001-36; s. 4, ch. 2003-21; s.

117, ch. 2004-390; s. 6, ch. 2005-163; s. 1, ch. 2021-144, effective June 21,
2021.



 Title XL. ,  Ch. 717. ,   717.1201. 
Fla. Stat.  717.1201

 717.1201. Custody by state; holder relieved from liability;
reimbursement of holder paying claim; reclaiming for owner;
defense of holder; payment of safe-deposit box or repository charges.
(1) Upon the payment or delivery of property to the department, the state

assumes custody and responsibility for the safekeeping of property. Any
person who pays or delivers property to the department in good faith is
relieved of all liability to the extent of the value of the property paid or
delivered for any claim then existing or which thereafter may arise or be
made in respect to the property.

(2) Any holder who has paid money to the department pursuant to this
chapter may make payment to any person appearing to be entitled to
payment and, upon filing proof that the payee is entitled thereto, the
department shall forthwith repay the holder without deduction of any fee or
other charges. If repayment is sought for a payment made on a negotiable
instrument, including a travelers check or money order, the holder must be
repaid under this subsection upon filing proof that the instrument was duly
presented and that the payee is entitled to payment. The holder shall be
repaid for payment made under this subsection even if the payment was
made to a person whose claim was barred under s. 717.129(1).

(3) Any holder who has delivered property, including a certificate of any
interest in a business association, other than money to the department
pursuant to this chapter may reclaim the property if still in the possession
of the department, without payment of any fee or other charges, upon filing
proof that the owner has claimed the property from the holder.

(4) The department may accept an affidavit of the holder stating the facts
that entitle the holder to recover money and property under this section as
sufficient proof.

(5) If the holder pays or delivers property to the department in good faith
and thereafter any other person claims the property from the holder paying
or delivering, or another state claims the money or property under that
states laws relating to escheat or abandoned or unclaimed property, the
department, upon written notice of the claim, shall defend the holder



against the claim and indemnify the holder against any liability on the
claim.

(6) For the purposes of this section, good faith means that:
(a) Payment or delivery was made in a reasonable attempt to comply with

this chapter.
(b) The person delivering the property was not a fiduciary then in breach of

trust in respect to the property and had a reasonable basis for believing, based
on the facts then known to that person, that the property was unclaimed for
the purposes of this chapter.

(c) There is no showing that the records pursuant to which the delivery was
made did not meet reasonable commercial standards of practice in the
industry.

(7) Property removed from a safe-deposit box or other safekeeping
repository is received by the department subject to the holders right under
this subsection to be reimbursed for the actual cost of the opening and to
any valid lien or contract providing for the holder to be reimbursed for
unpaid rent or storage charges. The department shall make the
reimbursement to the holder out of the proceeds remaining after the
deduction of the departments selling cost.

HISTORY:
S. 21, ch. 87-105; s. 20, ch. 2001-36; s. 118, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.121. 
Fla. Stat.  717.121

 717.121. Crediting of dividends, interest, or increments to owners
account.

Whenever property other than money is paid or delivered to the department
under this chapter, the owner is entitled to receive from the department any
dividends, interest, or other increments realized or accruing on the property at
or before liquidation or conversion thereof into money.

HISTORY:
S. 22, ch. 87-105.



 Title XL. ,  Ch. 717. ,   717.122. 
Fla. Stat.  717.122

 717.122. Public sale of unclaimed property.
(1) Except as provided in paragraph (2)(a), the department after the

receipt of unclaimed property shall sell it to the highest bidder at public
sale on the Internet or at a specified physical location wherever in the
judgment of the department the most favorable market for the property
involved exists. The department may decline the highest bid and reoffer
the property for sale if in the judgment of the department the bid is
insufficient. The department shall have the discretion to withhold from sale
any unclaimed property that the department deems to be of benefit to the
people of the state. If in the judgment of the department the probable cost
of sale exceeds the value of the property, it need not be offered for sale and
may be disposed of as the department determines appropriate. Any sale at a
specified physical location held under this section must be preceded by a
single publication of notice, at least 3 weeks in advance of sale, in a
newspaper of general circulation in the county in which the property is to
be sold. The department shall proportionately deduct auction fees,
preparation costs, and expenses from the amount posted to the owners
account when safe-deposit box contents are sold. No action or proceeding
may be maintained against the department for or on account of any
decision to decline the highest bid or withhold any unclaimed property
from sale.
(2)(a) Securities listed on an established stock exchange must be sold at
prices prevailing at the time of sale on the exchange. Other securities may
be sold over the counter at prices prevailing at the time of sale or by any
other method the department deems advisable. The department may
authorize the agent or broker acting on behalf of the department to deduct
fees from the proceeds of these sales at a rate agreed upon in advance by
the agent or broker and the department. The department shall reimburse
owners accounts for these brokerage fees from the State School Fund
unless the securities are sold at the owners request.
(b) Unless the department deems it to be in the public interest to do

otherwise, all securities presumed unclaimed and delivered to the department
may be sold upon receipt. Any person making a claim pursuant to this



chapter is entitled to receive either the securities delivered to the department
by the holder, if they still remain in the hands of the department, or the
proceeds received from sale, but no person has any claim under this chapter
against the state, the holder, any transfer agent, any registrar, or any other
person acting for or on behalf of a holder for any appreciation in the value of
the property occurring after delivery by the holder to the state.

(c) Certificates for unclaimed stock or other equity interest of business
associations that cannot be canceled and registered in the departments name
or that cannot be readily liquidated and converted into the currency of the
United States may be sold for the value of the certificate, if any, in
accordance with subsection (1) or may be destroyed in accordance with s.
717.128.

(3) The purchaser of property at any sale conducted by the department
pursuant to this chapter is entitled to ownership of the property purchased
free from all claims of the owner or previous holder thereof and of all
persons claiming through or under them. The department shall execute all
documents necessary to complete the transfer of ownership.

(4) The sale of unclaimed tangible personal property is not subject to tax
under chapter 212 when such property is sold by or on behalf of the
department pursuant to this section.

HISTORY:
S. 23, ch. 87-105; s. 3, ch. 90-113; s. 12, ch. 96-301; s. 21, ch. 2001-36; s.

119, ch. 2004-390; s. 7, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.123. 
Fla. Stat.  717.123

 717.123. Deposit of funds.
(1) All funds received under this chapter, including the proceeds from

the sale of unclaimed property under s. 717.122, shall forthwith be
deposited by the department in the Unclaimed Property Trust Fund. The
department shall retain, from funds received under this chapter, an amount
not exceeding $15 million from which the department shall make prompt
payment of claims allowed by the department and shall pay the costs
incurred by the department in administering and enforcing this chapter. All
remaining funds received by the department under this chapter shall be
deposited by the department into the State School Fund.

(2) The department shall record the name and last known address of
each person appearing from the holders reports to be entitled to the
unclaimed property in the total amounts of $5 or greater; the name and the
last known address of each insured person or annuitant; and with respect to
each policy or contract listed in the report of an insurance corporation, its
number, the name of the corporation, and the amount due.

HISTORY:
S. 24, ch. 87-105; s. 13, ch. 96-301; s. 22, ch. 2001-36; s. 120, ch. 2004-

390.



 Title XL. ,  Ch. 717. ,   717.1235. 
Fla. Stat.  717.1235

 717.1235. Dormant campaign accounts; report of unclaimed property.
Unclaimed funds reported in the name of a campaign for public office, for

any campaign that must dispose of surplus funds in its campaign account
pursuant to s. 106.141, after being reported to the department, shall be
deposited with the Chief Financial Officer to the credit of the State School
Fund.

HISTORY:
S. 3, ch. 2016-90, effective July 1, 2016.



 Title XL. ,  Ch. 717. ,   717.124. 
Fla. Stat.  717.124

 717.124. Unclaimed property claims.
(1) Any person, excluding another state, claiming an interest in any

property paid or delivered to the department under this chapter may file
with the department a claim on a form prescribed by the department and
verified by the claimant or the claimants representative. The claimants
representative must be an attorney licensed to practice law in this state, a
licensed Florida-certified public accountant, or a private investigator
licensed under chapter 493. The claimants representative must be
registered with the department under this chapter. The claimant, or the
claimants representative, shall provide the department with a legible copy
of a valid driver license of the claimant at the time the original claim form
is filed. If the claimant has not been issued a valid driver license at the time
the original claim form is filed, the department shall be provided with a
legible copy of a photographic identification of the claimant issued by the
United States, a state or territory of the United States, a foreign nation, or a
political subdivision or agency thereof or other evidence deemed
acceptable by the department by rule. In lieu of photographic
identification, a notarized sworn statement by the claimant may be
provided which affirms the claimants identity and states the claimants
full name and address. The claimant must produce to the notary
photographic identification of the claimant issued by the United States, a
state or territory of the United States, a foreign nation, or a political
subdivision or agency thereof or other evidence deemed acceptable by the
department by rule. The notary shall indicate the notarys full address on
the notarized sworn statement. Any claim filed without the required
identification or the sworn statement with the original claim form and the
original Unclaimed Property Recovery Agreement or Unclaimed Property
Purchase Agreement, if applicable, is void.
(a) Within 90 days after receipt of a claim, the department may return any

claim that provides for the receipt of fees and costs greater than that
permitted under this chapter or that contains any apparent errors or
omissions. The department may also request that the claimant or the
claimants representative provide additional information. The department



shall retain a copy or electronic image of the claim.
(b) A claim is considered to have been withdrawn by a claimant or the

claimants representative if the department does not receive a response to its
request for additional information within 60 days after the notification of any
apparent errors or omissions.

(c) Within 90 days after receipt of the claim, or the response of the
claimant or the claimants representative to the departments request for
additional information, whichever is later, the department shall determine
each claim. Such determination shall contain a notice of rights provided by
ss. 120.569 and 120.57. The 90-day period shall be extended by 60 days if
the department has good cause to need additional time or if the unclaimed
property:

1. Is owned by a person who has been a debtor in bankruptcy;
2. Was reported with an address outside of the United States;
3. Is being claimed by a person outside of the United States; or
4. Contains documents filed in support of the claim that are not in the

English language and have not been accompanied by an English language
translation.

(2) A claim for a cashiers check or a stock certificate without the
original instrument may require an indemnity bond equal to the value of
the claim to be provided prior to issue of the stock or payment of the claim
by the department.

(3) The department may require an affidavit swearing to the authenticity
of the claim, lack of documentation, and an agreement to allow the
department to provide the name and address of the claimant to subsequent
claimants coming forward with substantiated proof to claim the account.
This shall apply to claims equal to or less than $250. The exclusive remedy
of a subsequent claimant to the property shall be against the person who
received the property from the department.
(4)(a) Except as otherwise provided in this chapter, if a claim is determined
in favor of the claimant, the department shall deliver or pay over to the
claimant the property or the amount the department actually received or the
proceeds if it has been sold by the department, together with any additional



amount required by s. 717.121.
(b) If an owner authorizes an attorney licensed to practice law in this state,

a Florida-certified public accountant, or a private investigator licensed under
chapter 493, and registered with the department under this chapter, to claim
the unclaimed property on the owners behalf, the department is authorized to
make distribution of the property or money in accordance with the Unclaimed
Property Recovery Agreement or Unclaimed Property Purchase Agreement
under s. 717.135. The original Unclaimed Property Recovery Agreement or
Unclaimed Property Purchase Agreement must be executed by the claimant
or seller and must be filed with the department.

(c)1. Payments of approved claims for unclaimed cash accounts must be
made to the owner after deducting any fees and costs authorized by the
claimant under an Unclaimed Property Recovery Agreement. The contents
of a safe-deposit box must be delivered directly to the claimant.
2. Payments of fees and costs authorized under an Unclaimed Property

Recovery Agreement for approved claims must be made or issued to the law
firm of the designated attorney licensed to practice law in this state, the
public accountancy firm of the licensed Florida-certified public accountant,
or the designated employing private investigative agency licensed by this
state. Such payments shall be made by electronic funds transfer and may be
made on such periodic schedule as the department may define by rule,
provided the payment intervals do not exceed 31 days. Payment made to an
attorney licensed in this state, a Florida-certified public accountant, or a
private investigator licensed under chapter 493, operating individually or as a
sole practitioner, must be to the attorney, certified public accountant, or
private investigator.

(5) The department shall not be administratively, civilly, or criminally
liable for any property or funds distributed pursuant to this section,
provided such distribution is made in good faith.

(6) This section does not supersede the licensing requirements of chapter
493.

(7) The department may allow an apparent owner to electronically
submit a claim for unclaimed property to the department. If a claim is
submitted electronically for $2,000 or less, the department may use a



method of identity verification other than a copy of a valid driver license,
other government-issued photographic identification, or a sworn notarized
statement. The department may adopt rules to implement this subsection.

(8) Notwithstanding any other provision of this chapter, the department
may develop and implement an identification verification and
disbursement process by which an account valued at $2,000 or less, after
being received by the department and added to the unclaimed property
database, may be disbursed to an apparent owner after the department has
verified that the apparent owner is living and that the apparent owners
current address is correct. The department shall include with the payment a
notification and explanation of the dollar amount, the source, and the
property type of each account included in the disbursement. The
department shall adopt rules to implement this subsection.
(9)(a) Notwithstanding any other provision of this chapter, the department
may develop and implement a verification and disbursement process by
which an account, after being received by the department and added to the
unclaimed property database, for which the apparent owner entity is:
1. A state agency in this state or a subdivision or successor agency thereof;
2. A county government in this state or a subdivision thereof;
3. A public school district in this state or a subdivision thereof;
4. A municipality in this state or a subdivision thereof; or
5. A special taxing district or authority in this state,
may be disbursed to the apparent owner entity or successor entity. The

department shall include with the payment a notification and explanation of
the dollar amount, the source, and the property type of each account included
in the disbursement.

(b) The department may adopt rules to implement this subsection.
(10) Notwithstanding any other provision of this chapter, the department

may develop a process by which a claimants representative or a buyer of
unclaimed property may electronically submit to the department an
electronic image of a completed claim and claims-related documents under
this chapter, including an Unclaimed Property Recovery Agreement or
Unclaimed Property Purchase Agreement that has been signed and dated



by a claimant or seller under s. 717.135, after the claimants representative
or the buyer of unclaimed property receives the original documents
provided by the claimant or the seller for any claim. Each claim filed by a
claimants representative or a buyer of unclaimed property must include a
statement by the claimants representative or the buyer of unclaimed
property attesting that all documents are true copies of the original
documents and that all original documents are physically in the possession
of the claimants representative or the buyer of unclaimed property. All
original documents must be kept in the original form, by claim number,
under the secure control of the claimants representative or the buyer of
unclaimed property and must be available for inspection by the department
in accordance with s. 717.1315. The department may adopt rules to
implement this subsection.

(11) This section applies to all unclaimed property reported and remitted
to the Chief Financial Officer, including, but not limited to, property
reported pursuant to ss. 45.032, 732.107, 733.816, and 744.534.

HISTORY:
S. 25, ch. 87-105; s. 3, ch. 89-291; s. 8, ch. 89-299; s. 4, ch. 90-113; s. 14,

ch. 96-301; s. 295, ch. 96-410; s. 31, ch. 97-93; s. 1772, ch. 97-102; s. 23, ch.
2001-36; s. 121, ch. 2004-390; s. 8, ch. 2005-163; s. 1, ch. 2013-34, eff. July
1, 2013; s. 9, ch. 2018-71, effective July 1, 2019; s. 34, ch. 2019-140,
effective July 1, 2019; s. 2, ch. 2021-144, effective June 21, 2021.



 Title XL. ,  Ch. 717. ,   717.12403. 
Fla. Stat.  717.12403

 717.12403. Unclaimed demand, savings, or checking account in a
financial institution held in the name of more than one person.

(1)(a) If an unclaimed demand, savings, or checking account in a financial
institution is reported as an and account in the name of two or more
persons who are not beneficiaries, it is presumed that each person must
claim the account in order for the claim to be approved by the department.
This presumption may be rebutted by showing that entitlement to the
account has been transferred to another person or by clear and convincing
evidence demonstrating that the account should have been reported by the
financial institution as an or account.
(b) If an unclaimed demand, savings, or checking account in a financial

institution is reported as an and account and one of the persons on the
account is deceased, it is presumed that the account is a survivorship account.
This presumption may be rebutted by showing that entitlement to the account
has been transferred to another person or by clear and convincing evidence
demonstrating that the account is not a survivorship account.

(2) If an unclaimed demand, savings, or checking account in a financial
institution is reported as an or account in the name of two or more
persons who are not beneficiaries, it is presumed that either person listed
on the account may claim the entire amount held in the account. This
presumption may be rebutted by showing that entitlement to the account
has been transferred to another person or by clear and convincing evidence
demonstrating that the account should have been reported by the financial
institution as an and account.

(3) If an unclaimed demand, savings, or checking account in a financial
institution is reported in the name of two or more persons who are not
beneficiaries without identifying whether the account is an and account
or an or account, it is presumed that the account is an or account. This
presumption may be rebutted by showing that entitlement to the account
has been transferred to another person or by clear and convincing evidence
demonstrating that the account should have been reported by the financial
institution as an and account.



(4) The department shall be deemed to have made a distribution in good
faith if the department remits funds consistent with this section.

HISTORY:
S. 122, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.12404. 
Fla. Stat.  717.12404

 717.12404. Claims on behalf of a business entity or trust.
(1)(a) Claims on behalf of an active or dissolved corporation, for which the
last annual report is not available from the Department of State through the
Internet, must be accompanied by a microfiche copy of the records on file
with the Department of State or, if the corporation has not made a
corporate filing with the Department of State, the claim must be
accompanied by a uniform resource locator for the address of a free
Internet site operated by the state of incorporation of the corporation that
provides access to the last corporate filing identifying the officers and
directors of the corporation. If available, the claim must be accompanied
by a printout of the officers and directors from the Department of State
Internet site or the free Internet site operated by the state of incorporation
of the corporation. If the free Internet site is not available, the claim must
be accompanied by an authenticated copy of the last corporate filing
identifying the officers and directors from the appropriate authorized
official of the state of incorporation.
(b) A claim on behalf of a corporation must be made by an officer or

director identified on the last corporate filing.
(2) Claims on behalf of a dissolved corporation, a business entity other

than an active corporation, or a trust must include a legible copy of a valid
driver license of the person acting on behalf of the dissolved corporation,
business entity other than an active corporation, or trust. If the person has
not been issued a valid driver license, the department shall be provided
with a legible copy of a photographic identification of the person issued by
the United States, a foreign nation, or a political subdivision or agency
thereof. In lieu of photographic identification, a notarized sworn statement
by the person may be provided which affirms the persons identity and
states the persons full name and address. The person must produce his or
her photographic identification issued by the United States, a state or
territory of the United States, a foreign nation, or a political subdivision or
agency thereof or other evidence deemed acceptable by the department by
rule. The notary shall indicate the notarys full address on the notarized
sworn statement. Any claim filed without the required identification or the



sworn statement with the original claim form and the original Unclaimed
Property Recovery Agreement or Unclaimed Property Purchase
Agreement, if applicable, is void.

HISTORY:
S. 123, ch. 2004-390; s. 9, ch. 2005-163; s. 3, ch. 2021-144, effective June

21, 2021.



 Title XL. ,  Ch. 717. ,   717.12405. 
Fla. Stat.  717.12405

 717.12405. Claims by estates.
An estate or any person representing an estate or acting on behalf of an

estate may claim unclaimed property only after the heir or legatee of the
decedent entitled to the property has been located. Any estate, or any person
representing an estate or acting on behalf of an estate, that receives unclaimed
property before the heir or legatee of the decedent entitled to the property has
been located, is personally liable for the unclaimed property and must
immediately return the full amount of the unclaimed property or the value
thereof to the department in accordance with s. 717.1341.

HISTORY:
S. 124, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.12406. 
Fla. Stat.  717.12406

 717.12406. Joint ownership of unclaimed securities or dividends.
For the purpose of determining joint ownership of unclaimed securities or

dividends, the term:
(1) TEN COM means tenants in common.
(2) TEN ENT means tenants by the entireties.
(3) JT TEN or JT means joint tenants with the right of survivorship

and not as tenants in common.
(4) And means tenants in common with each person entitled to an

equal pro rata share.
(5) Or means that each person listed on the account is entitled to all of

the funds.

HISTORY:
S. 10, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.1241. 
Fla. Stat.  717.1241

 717.1241. Conflicting claims.
(1) When conflicting claims have been received by the department for

the same unclaimed property account or accounts, the property shall be
remitted in accordance with the claim filed by the person as follows,
notwithstanding the withdrawal of a claim:
(a) To the person submitting the first claim received by the Division of

Unclaimed Property of the department that is complete or made complete.
(b) If a claimants claim and a claimants representatives claim are

received by the Division of Unclaimed Property of the department on the
same day and both claims are complete, to the claimant.

(c) If a buyers claim and a claimants claim or a claimants
representatives claim are received by the Division of Unclaimed Property of
the department on the same day and the claims are complete, to the buyer.

(d) As between two or more claimants representatives claims received by
the Division of Unclaimed Property of the department that are complete or
made complete on the same day, to the claimants representative who has
agreed to receive the lowest fee. If the two or more claimants representatives
whose claims received by the Division of Unclaimed Property of the
department were complete or made complete on the same day are charging
the same lowest fee, the fee shall be divided equally between the claimants
representatives.

(e) If more than one buyers claim received by the Division of Unclaimed
Property of the department is complete or made complete on the same day,
the department shall remit the unclaimed property to the buyer who paid the
highest amount to the seller. If the buyers paid the same amount to the seller,
the department shall remit the unclaimed property to the buyers divided in
equal amounts.

(2) The purpose of this section is solely to provide guidance to the
department regarding to whom it should remit the unclaimed property and
is not intended to extinguish or affect any private cause of action that any
person may have against another person for breach of contract or other



statutory or common-law remedy. A buyers sole remedy, if any, shall be
against the claimants representative or the seller, or both. A claimants
representatives sole remedy, if any, shall be against the buyer or the seller,
or both. A claimants or sellers sole remedy, if any, shall be against the
buyer or the claimants representative, or both. Nothing in this section
forecloses the right of a person to challenge the departments determination
of completeness in a proceeding under ss. 120.569 and 120.57.

(3) A claim is complete when entitlement to the unclaimed property has
been established.

HISTORY:
S. 15, ch. 96-301; s. 24, ch. 2001-36; s. 125, ch. 2004-390; s. 11, ch. 2005-

163; s. 40, ch. 2016-165, effective July 1, 2016.



 Title XL. ,  Ch. 717. ,   717.1242. 
Fla. Stat.  717.1242

 717.1242. Restatement of jurisdiction of the circuit court sitting in
probate and the department.
(1) It is and has been the intent of the Legislature that, pursuant to s.

26.012(2)(b), circuit courts have jurisdiction of proceedings relating to the
settlement of the estates of decedents and other jurisdiction usually
pertaining to courts of probate. It is and has been the intent of the
Legislature that, pursuant to s. 717.124, the department determines the
merits of claims for property paid or delivered to the department under this
chapter. Consistent with this legislative intent, any estate or beneficiary, as
defined in s. 731.201, of an estate seeking to obtain property paid or
delivered to the department under this chapter must file a claim with the
department as provided in s. 717.124.

(2) If any estate or heir of an estate seeks or obtains an order from a
circuit court sitting in probate directing the department to pay or deliver to
any person property paid or delivered to the department under this chapter,
the estate or heir shall be ordered to pay the department reasonable costs
and attorneys fees in any proceeding brought by the department to oppose,
appeal, or collaterally attack the order if the department is the prevailing
party in any such proceeding.

HISTORY:
S. 16, ch. 96-301; s. 126, ch. 2004-390; s. 12, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.1243. 
Fla. Stat.  717.1243

 717.1243. Small estate accounts.
(1) A claim for unclaimed property made by a beneficiary, as defined in

s. 731.201, of a deceased owner need not be accompanied by an order of a
probate court if the claimant files with the department an affidavit, signed
by all beneficiaries, stating that all the beneficiaries have amicably agreed
among themselves upon a division of the estate and that all funeral
expenses, expenses of the last illness, and any other lawful claims have
been paid, and any additional information reasonably necessary to make a
determination of entitlement. If the owner died testate, the claim shall be
accompanied by a copy of the will.

(2) Each person receiving property under this section shall be personally
liable for all lawful claims against the estate of the owner, but only to the
extent of the value of the property received by such person under this
section, exclusive of the property exempt from claims of creditors under
the constitution and laws of this state.

(3) Any heir or devisee of the owner, who was lawfully entitled to share
in the property but did not receive his or her share of the property, may
enforce his or her rights in appropriate proceedings against those who
received the property and shall be awarded taxable costs as in chancery
actions, including attorneys fees.

(4) This section only applies if all of the unclaimed property held by the
department on behalf of the owner has an aggregate value of $10,000 or
less and no probate proceeding is pending.

(5) Nothing in this section shall be interpreted as precluding the use of
live testimony in order to establish entitlement.

HISTORY:
S. 17, ch. 96-301; s. 25, ch. 2001-36; s. 23, ch. 2003-154; s. 13, ch. 2005-

163; s. 4, ch. 2016-90, effective July 1, 2016.

Editors notes.



Section 23, ch. 2003-154 renacted (1) without change to incorporate
amendments to statutory sections referenced therein.



 Title XL. ,  Ch. 717. ,   717.1244. 
Fla. Stat.  717.1244

 717.1244. Determinations of unclaimed property claims.
In rendering a determination regarding the merits of an unclaimed property

claim, the department shall rely on the applicable statutory, regulatory,
common, and case law. Agency statements applying the statutory, regulatory,
common, and case law to unclaimed property claims are not agency
statements subject to s. 120.56(4).

HISTORY:
S. 127, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.1245. 
Fla. Stat.  717.1245

 717.1245. Garnishment of unclaimed property.
If any person files a petition for writ of garnishment seeking to obtain

property paid or delivered to the department under this chapter, the petitioner
shall be ordered to pay the department reasonable costs and attorneys fees in
any proceeding brought by the department to oppose, appeal, or collaterally
attack the petition or writ if the department is the prevailing party in any such
proceeding.

HISTORY:
S. 14, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.125. 
Fla. Stat.  717.125

 717.125. Claim of another state to recover property; procedure.
(1) At any time after property has been paid or delivered to the

department under this chapter, another state may recover the property if:
(a) The property was subjected to custody by this state because the records

of the holder did not reflect the last known address of the apparent owner
when the property was presumed unclaimed under this chapter, and the other
state establishes that the last known address of the apparent owner or other
person entitled to the property was in that state and under the laws of that
state the property escheated to or was subject to a claim of abandonment or
being unclaimed by that state;

(b) The last known address of the apparent owner or other person entitled
to the property, as reflected by the records of the holder, is in the other state
and under the laws of that state the property has escheated to or become
subject to a claim of abandonment by that state;

(c) The records of the holder were erroneous in that they did not accurately
reflect the actual owner of the property and the last known address of the
actual owner is in the other state and under laws of that state the property
escheated to or was subject to a claim of abandonment by that state;

(d) The property was subject to custody by this state under s. 717.103(6)
and under the laws of the state of domicile of the holder the property has
escheated to or become subject to a claim of abandonment by that state; or

(e) The property is the sum payable on a travelers check, money order, or
other similar instrument that was subjected to custody by this state under s.
717.104, and the instrument was purchased in the other state, and under the
laws of that state the property escheated to or became subject to a claim of
abandonment by that state.

(2) The claim of another state to recover escheated or unclaimed
property under this section must be presented in a form prescribed by the
department, and the department shall determine the claim within 90 days
after it is presented. Such determination shall contain a notice of rights
provided by ss. 120.569 and 120.57.



(3) The department shall require a state, prior to recovery of property
under this section, to indemnify this state and its officers and employees
against any liability on a claim for the property.

HISTORY:
S. 26, ch. 87-105; s. 296, ch. 96-410; s. 26, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.126. 
Fla. Stat.  717.126

 717.126. Administrative hearing; burden of proof; proof of
entitlement; venue.
(1) Any person aggrieved by a decision of the department may petition

for a hearing as provided in ss. 120.569 and 120.57. In any proceeding for
determination of a claim to property paid or delivered to the department
under this chapter, the burden shall be upon the claimant to establish
entitlement to the property by a preponderance of evidence. Having the
same name as that reported to the department is not sufficient, in the
absence of other evidence, to prove entitlement to unclaimed property.

(2) Unless otherwise agreed by the parties, venue shall be in
Tallahassee, Leon County, Florida. However, upon the request of a party,
the presiding officer may, in the presiding officers discretion, conduct the
hearing at an alternative remote video location.

HISTORY:
S. 27, ch. 87-105; s. 297, ch. 96-410; s. 128, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.1261. 
Fla. Stat.  717.1261

 717.1261. Death certificates.
Any person who claims entitlement to unclaimed property by means of the

death of one or more persons shall file a copy of the death certificate of the
decedent or decedents that has been certified as being authentic by the issuing
governmental agency.

HISTORY:
S. 129, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.1262. 
Fla. Stat.  717.1262

 717.1262. Court documents.
Any person who claims entitlement to unclaimed property by reason of a

court document shall file a certified copy of the court document with the
department. A certified copy of each pleading filed with the court to obtain a
court document establishing entitlement, filed within 180 days before the date
the claim form was signed by the claimant or claimants representative, must
also be filed with the department.

HISTORY:
S. 130, ch. 2004-390; s. 5, ch. 2016-90, effective July 1, 2016.



 Title XL. ,  Ch. 717. ,   717.127. 
Fla. Stat.  717.127

 717.127. Election to take payment or delivery.
The department may decline to receive any property reported under this

chapter that the department considers to have a value less than the expense of
giving notice and of sale. If the department elects not to receive custody of
the property, the holder shall be notified within 120 days after filing the
report required under s. 717.117 or remitting the property required under s.
717.119.

HISTORY:
S. 28, ch. 87-105; s. 18, ch. 96-301.



 Title XL. ,  Ch. 717. ,   717.128. 
Fla. Stat.  717.128

 717.128. Destruction or disposition of property having insubstantial
commercial value; immunity from liability.

If the department after investigation finds that any property delivered under
this chapter has insubstantial commercial value, the department may destroy
or otherwise dispose of the property. No action or proceeding may be
maintained against the state or any officer or against the holder for or on
account of any action taken by the department pursuant to this section with
respect to the property.

HISTORY:
S. 29, ch. 87-105.



 Title XL. ,  Ch. 717. ,   717.129. 
Fla. Stat.  717.129

 717.129. Periods of limitation.
(1) The expiration before or after July 1, 1987, of any period of time

specified by contract, statute, or court order, during which a claim for
money or property may be made or during which an action or proceeding
may be commenced or enforced to obtain payment of a claim for money or
to recover property, does not prevent the money or property from being
presumed unclaimed or affect any duty to file a report or to pay or deliver
unclaimed property to the department as required by this chapter.

(2) No action or proceeding may be commenced by the department with
respect to any duty of a holder under this chapter more than 10 years after
the duty arose.

HISTORY:
S. 30, ch. 87-105; s. 27, ch. 2001-36.



 Title XL. ,  Ch. 717. ,   717.1301. 
Fla. Stat.  717.1301

 717.1301. Investigations; examinations; subpoenas.
(1) The department may make investigations and examinations within or

outside this state of claims, reports, and other records as it deems necessary
to administer and enforce the provisions of this chapter. In such
investigations and examinations the department may administer oaths,
examine witnesses, issue subpoenas, and otherwise gather evidence. The
department may request any person who has not filed a report under s.
717.117 to file a verified report stating whether or not the person is holding
any unclaimed property reportable or deliverable under this chapter.

(2) Subpoenas for witnesses whose evidence is deemed material to any
investigation or examination under this section may be issued by the
department under seal of the department, or by any court of competent
jurisdiction, commanding such witnesses to appear before the department
at a time and place named and to bring such books, records, and documents
as may be specified or to submit such books, records, and documents to
inspection. Such subpoenas may be served by an authorized representative
of the department.

(3) If any person shall refuse to testify, produce books, records, and
documents, or otherwise refuse to obey a subpoena issued under this
section, the department may present its petition to a court of competent
jurisdiction in or for the county in which such person resides or has its
principal place of business, whereupon the court shall issue its rule nisi
requiring such person to obey forthwith the subpoena issued by the
department or show cause for failing to obey said subpoena. Unless said
person shows sufficient cause for failing to obey the subpoena, the court
shall forthwith direct such person to obey the same subject to such
punishment as the court may direct including, but not limited to, the
restraint, by injunction or by appointment of a receiver, of any transfer,
pledge, assignment, or other disposition of such persons assets or any
concealment, alteration, destruction, or other disposition of subpoenaed
books, records, or documents as the court deems appropriate, until such
person has fully complied with such subpoena and the department has
completed its investigation or examination. The department is entitled to



the summary procedure provided in s. 51.011, and the court shall advance
the cause on its calendar. Costs incurred by the department to obtain an
order granting, in whole or in part, its petition shall be taxed against the
subpoenaed person, and failure to comply with such order shall be a
contempt of court.

(4) Witnesses shall be entitled to the same fees and mileage as they may
be entitled by law for attending as witnesses in the circuit court, except
where such examination or investigation is held at the place of business or
residence of the witness.

(5) The material compiled by the department in an investigation or
examination under this chapter is confidential until the investigation or
examination is complete. The material compiled by the department in an
investigation or examination under this chapter remains confidential after
the departments investigation or examination is complete if the
department has submitted the material or any part of it to any law
enforcement agency or other administrative agency for further
investigation or for the filing of a criminal or civil prosecution and such
investigation has not been completed or become inactive.

(6) If an investigation or an examination of the records of any person
results in the disclosure of property reportable and deliverable under this
chapter, the department may assess the cost of investigation or the
examination against the holder at the rate of $100 per 8-hour day for each
investigator or examiner. Such fee shall be calculated on an hourly basis
and shall be rounded to the nearest hour. The person shall also pay the
travel expense and per diem subsistence allowance provided for state
employees in s. 112.061. The person shall not be required to pay a per
diem fee and expenses of an examination or investigation which shall
consume more than 30 worker-days in any one year unless such
examination or investigation is due to fraudulent practices of the person, in
which case such person shall be required to pay the entire cost regardless
of time consumed. The fee shall be remitted to the department within 30
days after the date of the notification that the fee is due and owing. Any
person who fails to pay the fee within 30 days after the date of the
notification that the fee is due and owing shall pay to the department
interest at the rate of 12 percent per annum on such fee from the date of the
notification.



HISTORY:
S. 31, ch. 87-105; s. 1, ch. 94-262; s. 131, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.1311. 
Fla. Stat.  717.1311

 717.1311. Retention of records.
(1) Every holder required to file a report under s. 717.117 shall maintain

a record of the specific type of property, amount, name, and last known
address of the owner for 5 years after the property becomes reportable,
except to the extent that a shorter time is provided in subsection (2) or by
rule of the department.

(2) Any business association that sells in this state its travelers checks,
money orders, or other similar written instruments, other than third-party
bank checks on which the business association is directly responsible, or
that provides such instruments to others for sale in this state, shall maintain
a record of those instruments while they remain outstanding, indicating the
state and date of issue for 3 years after the date the property is reportable.

HISTORY:
S. 32, ch. 87-105; s. 24, ch. 91-110; s. 19, ch. 96-301; s. 15, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.1315. 
Fla. Stat.  717.1315

 717.1315. Retention of records by claimants representatives and
buyers of unclaimed property.
(1) Every claimants representative and buyer of unclaimed property

shall keep and use in his or her business such books, accounts, and records
of the business conducted under this chapter to enable the department to
determine whether such person is complying with this chapter and the rules
adopted by the department under this chapter. Every claimants
representative and buyer of unclaimed property shall preserve such books,
accounts, and records, including every Unclaimed Property Recovery
Agreement or Unclaimed Property Purchase Agreement between the owner
and such claimants representative or buyer, for at least 3 years after the
date of the initial agreement.

(2) A claimants representative or buyer of unclaimed property,
operating at two or more places of business in this state, may maintain the
books, accounts, and records of all such offices at any one of such offices,
or at any other office maintained by such claimants representative or
buyer of unclaimed property, upon the filing of a written notice with the
department designating in the written notice the office at which such
records are maintained.

(3) A claimants representative or buyer of unclaimed property shall
make all books, accounts, and records available at a convenient location in
this state upon request of the department.

HISTORY:
S. 28, ch. 2001-36; s. 132, ch. 2004-390; s. 16, ch. 2005-163; s. 4, ch.

2021-144, effective June 21, 2021.



 Title XL. ,  Ch. 717. ,   717.132. 
Fla. Stat.  717.132

 717.132. Enforcement; cease and desist orders; fines.
(1) The department may bring an action in any court of competent

jurisdiction to enforce or administer any provision of this chapter, any rule
or order promulgated under this chapter, or any written agreement entered
into with the department.

(2) In addition to any other powers conferred upon it to enforce and
administer the provisions of this chapter, the department may issue and
serve upon a person an order to cease and desist and to take corrective
action whenever the department finds that such person is violating, has
violated, or is about to violate any provision of this chapter, any rule or
order promulgated under this chapter, or any written agreement entered
into with the department. For purposes of this subsection, the term
corrective action includes refunding excessive charges, requiring a
person to return unclaimed property, requiring a holder to remit unclaimed
property, and requiring a holder to correct a report that contains errors or
omissions. Any such order shall contain a notice of rights provided by ss.
120.569 and 120.57.

(3) In addition to any other powers conferred upon it to enforce and
administer the provisions of this chapter, the department or a court of
competent jurisdiction may impose fines against any person found to have
violated any provision of this chapter, any rule or order promulgated under
this chapter, or any written agreement entered into with the department in
an amount not to exceed $2,000 for each violation. All fines collected
under this subsection shall be deposited as received in the Unclaimed
Property Trust Fund.

HISTORY:
S. 33, ch. 87-105; s. 4, ch. 93-280; s. 20, ch. 96-301; s. 298, ch. 96-410; s.

29, ch. 2001-36; s. 133, ch. 2004-390; s. 17, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.1322. 
Fla. Stat.  717.1322

 717.1322. Administrative and civil enforcement.
(1) The following acts are violations of this chapter and constitute

grounds for an administrative enforcement action by the department in
accordance with the requirements of chapter 120 and for civil enforcement
by the department in a court of competent jurisdiction:
(a) Failure to comply with any provision of this chapter, any rule or order

adopted under this chapter, or any written agreement entered into with the
department.

(b) Fraud, misrepresentation, deceit, or gross negligence in any matter
within the scope of this chapter.

(c) Fraudulent misrepresentation, circumvention, or concealment of any
matter required to be stated or furnished to an owner or apparent owner under
this chapter, regardless of reliance by or damage to the owner or apparent
owner.

(d) Willful imposition of illegal or excessive charges in any unclaimed
property transaction.

(e) False, deceptive, or misleading solicitation or advertising within the
scope of this chapter.

(f) Failure to maintain, preserve, and keep available for examination all
books, accounts, or other documents required by this chapter, by any rule or
order adopted under this chapter, or by any agreement entered into with the
department under this chapter.

(g) Refusal to permit inspection of books and records in an investigation or
examination by the department or refusal to comply with a subpoena issued
by the department under this chapter.

(h) Criminal conduct in the course of a persons business.
(i) Failure to timely pay any fine imposed or assessed under this

chapter or any rule adopted under this chapter.
(j) Requesting or receiving compensation for notifying a person of his or



her unclaimed property or assisting another person in filing a claim for
unclaimed property, unless the person is an attorney licensed to practice law
in this state, a Florida-certified public accountant, or a private investigator
licensed under chapter 493, or entering into, or making a solicitation to enter
into, an agreement to file a claim for unclaimed property owned by another,
or a contract or agreement to purchase unclaimed property, unless such
person is registered with the department under this chapter and an attorney
licensed to practice law in this state in the regular practice of her or his
profession, a Florida-certified public accountant who is acting within the
scope of the practice of public accounting as defined in chapter 473, or a
private investigator licensed under chapter 493. This paragraph does not
apply to a person who has been granted a durable power of attorney to
convey and receive all of the real and personal property of the owner, is the
court-appointed guardian of the owner, has been employed as an attorney or
qualified representative to contest the departments denial of a claim, or has
been employed as an attorney to probate the estate of the owner or an heir or
legatee of the owner.

(k) Failure to authorize the release of records in the possession of a third
party after being requested to do so by the department regarding a pending
examination or investigation.

(l) Receipt or solicitation of consideration to be paid in advance of
the approval of a claim under this chapter.

(2) Upon a finding by the department that any person has committed any
of the acts set forth in subsection (1), the department may enter an order:
(a) Revoking for a minimum of 5 years or suspending for a maximum of 5

years a registration previously granted under this chapter during which time
the registrant may not reapply for a registration under this chapter;

(b) Placing a registrant or an applicant for a registration on probation for a
period of time and subject to such conditions as the department may specify;

(c) Placing permanent restrictions or conditions upon issuance or
maintenance of a registration under this chapter;

(d) Issuing a reprimand;
(e) Imposing an administrative fine not to exceed $2,000 for each such act;

or



(f) Prohibiting any person from being a director, officer, agent, employee,
or ultimate equitable owner of a 10-percent or greater interest in an employer
of a registrant.

(3) A registrant is subject to civil enforcement and the disciplinary
actions specified in subsection (2) for violations of subsection (1) by an
agent or employee of the registrants employer if the registrant knew or
should have known that such agent or employee was violating any
provision of this chapter.
(4)(a) The department shall adopt, by rule, and periodically review the
disciplinary guidelines applicable to each ground for disciplinary action
which may be imposed by the department under this chapter.
(b) The disciplinary guidelines shall specify a meaningful range of

designated penalties based upon the severity or repetition of specific offenses,
or both. It is the legislative intent that minor violations be distinguished from
more serious violations; that such guidelines consider the amount of the claim
involved, the complexity of locating the owner, the steps taken to ensure the
accuracy of the claim by the person filing the claim, the acts of commission
and omission of the ultimate owners in establishing themselves as rightful
owners of the funds, the acts of commission or omission of the agent or
employee of an employer in the filing of the claim, the actual knowledge of
the agent, employee, employer, or owner in the filing of the claim, the
departure, if any, by the agent or employee from the internal controls and
procedures established by the employer with regard to the filing of a claim,
the number of defective claims previously filed by the agent, employee,
employer, or owner; that such guidelines provide reasonable and meaningful
notice of likely penalties that may be imposed for proscribed conduct; and
that such penalties be consistently applied by the department.

(c) A specific finding of mitigating or aggravating circumstances shall
allow the department to impose a penalty other than that provided for in such
guidelines. The department shall adopt by rule disciplinary guidelines to
designate possible mitigating and aggravating circumstances and the
variation and range of penalties permitted for such circumstances. Such
mitigating and aggravating circumstances shall also provide for consideration
of, and be consistent with, the legislative intent expressed in paragraph (b).

(d) In any proceeding brought under this chapter, the administrative law



judge, in recommending penalties in any recommended order, shall follow
the penalty guidelines established by the department and shall state in writing
any mitigating or aggravating circumstances upon which the recommended
penalty is based.

(5) The department may seek any appropriate civil legal remedy
available to it by filing a civil action in a court of competent jurisdiction
against any person who has, directly or through a claimants
representative, wrongfully submitted a claim as the ultimate owner of
property and improperly received funds from the department in violation
of this chapter.

HISTORY:
S. 134, ch. 2004-390; s. 18, ch. 2005-163; s. 5, ch. 2021-144, effective

June 21, 2021.



 Title XL. ,  Ch. 717. ,   717.1323. 
Fla. Stat.  717.1323

 717.1323. Prohibited practice.
A person may not knowingly enter false information onto the Internet

website of the Division of Unclaimed Property.

HISTORY:
S. 19, ch. 2005-163; s. 41, ch. 2016-165, effective July 1, 2016.



 Title XL. ,  Ch. 717. ,   717.133. 
Fla. Stat.  717.133

 717.133. Interstate agreements and cooperation; joint and reciprocal
actions with other states.
(1) The department may enter into agreements with other states to

exchange information needed to enable this or another state to audit or
otherwise determine unclaimed property that it or another state may be
entitled to subject to a claim of custody. The department may require the
reporting of information needed to enable compliance with agreements
made pursuant to this section and prescribe the form.

(2) The department may join with other states to seek enforcement of
this chapter against any person.

(3) At the request of another state, the department may bring an action in
the name of the other state in any court of competent jurisdiction to enforce
the unclaimed property laws of the other state against a holder in this state
of property subject to escheat or a claim of abandonment by the other state,
if the other state has agreed to pay expenses incurred in bringing the
action.

(4) The department may request that the attorney general of another state
or any other person bring an action in the name of the department in the
other state. The department may pay all expenses including attorneys fees
in any action under this subsection.

(5) As necessary for proper administration of this chapter, the
department may enter into contracts for the location or collection of
property subject to payment or delivery to the department under this
chapter.

HISTORY:
S. 34, ch. 87-105.



 Title XL. ,  Ch. 717. ,   717.1331. 
Fla. Stat.  717.1331

 717.1331. Actions against holders.
The department may initiate, or cause to be initiated, an action against a

holder to enforce a subpoena or recover unclaimed property. If the
department prevails in a civil or administrative action to enforce a subpoena
or recover unclaimed property initiated by or on behalf of the department, the
holder shall be ordered to pay the department reasonable costs and attorneys
fees.

HISTORY:
S. 135, ch. 2004-390; s. 20, ch. 2005-163.



 Title XL. ,  Ch. 717. ,   717.1333. 
Fla. Stat.  717.1333

 717.1333. Evidence; estimations; audit reports, examiners worksheets,
investigative reports, other related documents.
(1) In any proceeding involving a holder under ss. 120.569 and 120.57

in which an auditor, examiner, or investigator acting under authority of this
chapter is available for cross-examination, any official written report,
worksheet, or other related paper, or copy thereof, compiled, prepared,
drafted, or otherwise made or received by the auditor, examiner, or
investigator, after being duly authenticated by the auditor, examiner, or
investigator, may be admitted as competent evidence upon the oath of the
auditor, examiner, or investigator that the report, worksheet, or related
paper was prepared or received as a result of an audit, examination, or
investigation of the books and records of the person audited, examined, or
investigated, or the agent thereof.

(2) If the records of the holder that are available for the periods subject
to this chapter are insufficient to permit the preparation of a report of the
unclaimed property due and owing by a holder, or if the holder fails to
provide records after being requested to do so, the amount due to the
department may be reasonably estimated.

HISTORY:
S. 136, ch. 2004-390; s. 21, ch. 2005-163; s. 6, ch. 2016-90, effective July

1, 2016.



 Title XL. ,  Ch. 717. ,   717.134. 
Fla. Stat.  717.134

 717.134. Penalties and interest.
(1) The department may impose and collect a penalty of $500 per day up

to a maximum of $5,000 and 25 percent of the value of property not
reported until a report is rendered for any person who willfully fails to
render any report required under this chapter. Upon a holders showing of
good cause, the department may waive said penalty or any portion thereof.
If the holder acted in good faith and without negligence, the department
shall waive the penalty provided herein.

(2) The department may impose and collect a penalty of $500 per day up
to a maximum of $5,000 and 25 percent of the value of property not paid
or delivered until the property is paid or delivered for any person who
willfully refuses to pay or deliver abandoned property to the department as
required under this chapter.

(3) Any person who willfully or fraudulently conceals, destroys,
damages, or makes unlawful disposition of any property or of the books,
records, or accounts pertaining to property which is subject to the
provisions of this chapter is guilty of a misdemeanor of the second degree,
punishable as provided in s. 775.082 or s. 775.083.

(4) In addition to any damages, penalties, or fines for which a person
may be liable under any other provision of law, any person who fails to
report or pay or deliver unclaimed property within the time prescribed by
this chapter shall pay to the department interest at the rate of 12 percent per
annum on such property, or value thereof, from the date such property
shall have been paid or delivered. The department may waive any penalty
due under this subsection with appropriate justification.

(5) The department may impose and collect a penalty of $500 per day up
to a maximum of $5,000 and 25 percent of the value of property willfully
not reported with all of the information required by this chapter. Upon a
holders showing of good cause, the department may waive the penalty or
any portion thereof. If the holder acted in good faith and without
negligence, the department shall waive the penalty provided herein.



HISTORY:
S. 35, ch. 87-105; s. 21, ch. 96-301; s. 137, ch. 2004-390.



 Title XL. ,  Ch. 717. ,   717.1341. 
Fla. Stat.  717.1341

 717.1341. Invalid claims, recovery of property, interest and penalties.
(1)(a) No person shall receive unclaimed property that the person is not
entitled to receive. Any person who receives, or assists another person to
receive, unclaimed property that the person is not entitled to receive is
strictly, jointly, personally, and severally liable for the unclaimed property
and shall immediately return the property, or the reasonable value of the
property if the property has been damaged or disposed of, to the
department plus interest at the rate set in accordance with s. 55.03(1).
Assisting another person to receive unclaimed property includes executing
a claim form on the persons behalf.
(b)1. In the case of stocks or bonds which have been sold, the proceeds
from the sale shall be returned to the department plus any dividends or
interest received thereon plus an amount equal to the brokerage fee plus
interest at a rate set in accordance with s. 55.03(1) on the proceeds from
the sale of the stocks or bonds, the dividends or interest received, and the
brokerage fee.
2. In the case of stocks or bonds which have not been sold, the stocks or

bonds and any dividends or interest received thereon shall be returned to the
department, together with interest on the dividends or interest received, at a
rate set in accordance with s. 55.03(1) of the value of the property.

(2) The department may maintain a civil or administrative action:
(a) To recover unclaimed property that was paid or remitted to a person

who was not entitled to the unclaimed property or to offset amounts owed to
the department against amounts owed to an owner representative;

(b) Against a person who assists another person in receiving, or attempting
to receive, unclaimed property that the person is not entitled to receive; or

(c) Against a person who attempts to receive unclaimed property that the
person is not entitled to receive.

(3) If the department prevails in any proceeding under subsection (2), a
fine not to exceed three times the value of the property received or sought
to be received may be imposed on any person who knowingly, or with



reckless disregard or deliberate ignorance of the truth, violated this section.
If the department prevails in a civil or administrative proceeding under
subsection (2), the person who violated subsection (1) shall be ordered to
pay the department reasonable costs and attorneys fees.

(4) No person shall knowingly file, knowingly conspire to file, or
knowingly assist in filing, a claim for unclaimed property the person is not
entitled to receive. Any person who violates this subsection regarding
unclaimed property of an aggregate value:
(a) Greater than $50,000, is guilty of a felony of the first degree,

punishable as provided in s. 775.082, s. 775.083, or s. 775.084;
(b) Greater than $10,000 up to $50,000, is guilty of a felony of the second

degree, punishable as provided in s. 775.082, s. 775.083, or s. 775.084;
(c) Greater than $250 up to $10,000, is guilty of a felony of the third

degree, punishable as provided in s. 775.082, s. 775.083, or s. 775.084;
(d) Greater than $50 up to $250, is guilty of a misdemeanor of the first

degree, punishable as provided in s. 775.082 or s. 775.083; or
(e) Up to $50, is guilty of a misdemeanor of the second degree, punishable

as provided in s. 775.082 or s. 775.083.

HISTORY:
S. 138, ch. 2004-390; s. 2, ch. 2011-169, eff. July 1, 2011.



 Title XL. ,  Ch. 717. ,   717.135. 
Fla. Stat.  717.135

 717.135. Recovery agreements and purchase agreements for claims
filed by a claimants representative; fees and costs.
(1) In order to protect the interests of owners of unclaimed property, the

department shall adopt by rule a form entitled Unclaimed Property
Recovery Agreement and a form entitled Unclaimed Property Purchase
Agreement.

(2) The Unclaimed Property Recovery Agreement and the Unclaimed
Property Purchase Agreement must include and disclose all of the
following:
(a) The total dollar amount of unclaimed property accounts claimed or

sold.
(b) The total percentage of all authorized fees and costs to be paid to the

claimants representative or the percentage of the value of the property to be
paid as net gain to the purchasing claimants representative.

(c) The total dollar amount to be deducted and received from the claimant
as fees and costs by the claimants representative or the total net dollar
amount to be received by the purchasing claimants representative.

(d) The net dollar amount to be received by the claimant or the seller.
(e) For each account claimed, the unclaimed property account number.
(f) For the Unclaimed Property Purchase Agreement, a statement that the

amount of the purchase price will be remitted to the seller by the purchaser
within 30 days after the execution of the agreement by the seller.

(g) The name, address, e-mail address, phone number, and license number
of the claimants representative.

(h)1. The manual signature of the claimant or seller and the date signed,
affixed on the agreement by the claimant or seller.
2. Notwithstanding any other provision of this chapter to the contrary, the

department may allow an apparent owner, who is also the claimant, to sign
the agreement electronically for claims of $2,000 or less. All electronic



signatures on the Unclaimed Property Recovery Agreement and the
Unclaimed Property Purchase Agreement must be affixed on the agreement
by the claimant or seller using the specific, exclusive eSignature product and
protocol authorized by the department.

(i) The social security number or taxpayer identification number of
the claimant or seller, if a number has been issued to the claimant or
seller.

(j) The total fees and costs, or the total discount in the case of a purchase
agreement, which may not exceed 30 percent of the claimed amount. If the
total fees and costs exceed 30 percent, the fees and costs shall be reduced to
30 percent and the net balance shall be remitted directly by the department to
the claimant.

(3) For an Unclaimed Property Purchase Agreement form, proof that the
purchaser has made payment must be filed with the department along with
the claim. If proof of payment is not provided, the claim is void.

(4) A claimants representative must use the Unclaimed Property
Recovery Agreement or the Unclaimed Property Purchase Agreement as
the exclusive means of engaging with a claimant or seller to file a claim
with the department.

(5) Fees and costs may be owed or paid to, or received by, a claimants
representative only after a filed claim has been approved and if the
claimants representative used an agreement authorized by this section.

(6) A claimants representative may not use or distribute any other
agreement, form, or other media with respect to the claimant or seller
which relates, directly or indirectly, to unclaimed property accounts held
by the department or the Chief Financial Officer other than the agreements
authorized by this section. Any engagement, authorization, recovery, or fee
agreement that is not authorized by this section is void. A claimants
representative is subject to administrative and civil enforcement under s.
717.1322 if he or she uses an agreement that is not authorized by this
section.

(7) The Unclaimed Property Recovery Agreement and the Unclaimed
Property Purchase Agreement may not contain language that makes the
agreement irrevocable or that creates an assignment of any portion of



unclaimed property held by the department.
(8) When a claim is approved, the department may pay any additional

account that is owned by the claimant but has not been claimed at the time
of approval, provided that a subsequent claim has not been filed or is not
pending for the claimant at the time of approval.

(9) This section does not supersede s. 717.1241.

HISTORY:
S. 36, ch. 87-105; s. 1, ch. 91-261; s. 2, ch. 94-191; s. 22, ch. 96-301; s. 30,

ch. 2001-36; s. 1889, ch. 2003-261; s. 139, ch. 2004-390; s. 22, ch. 2005-163;
s. 7, ch. 2016-90, effective July 1, 2016; s. 42, ch. 2016-165, effective July 1,
2016; s. 6, ch. 2021-144, effective June 21, 2021.



 Title XL. ,  Ch. 717. ,   717.1351. 
Fla. Stat.  717.1351

 717.1351. Acquisition of unclaimed property. [Repealed]

HISTORY:
S. 140, ch. 2004-390; s. 23, ch. 2005-163; s. 8, ch. 2016-90, effective July

1, 2016; s. 43, ch. 2016-165, effective July 1, 2016; repealed by s. 7, ch.
2021-144, effective June 21, 2021.



 Title XL. ,  Ch. 717. ,   717.1355. 
Fla. Stat.  717.1355

 717.1355. Theme park and entertainment complex tickets.
This chapter does not apply to any tickets for admission to a theme park or

entertainment complex as defined in s. 509.013(9), or to any tickets to a
permanent exhibition or recreational activity within such theme park or
entertainment complex.

HISTORY:
S. 23, ch. 96-301.



 Title XL. ,  Ch. 717. ,   717.136. 
Fla. Stat.  717.136

 717.136. Foreign transactions.
This chapter does not apply to any property held, due, and owing in a

foreign country and arising out of foreign transaction.

HISTORY:
S. 37, ch. 87-105.



 Title XL. ,  Ch. 717. ,   717.138. 
Fla. Stat.  717.138

 717.138. Rulemaking authority.
The department shall administer and provide for the enforcement of this

chapter. The department has authority to adopt rules pursuant to ss. 120.536
(1) and 120.54 to implement the provisions of this chapter. The department
may adopt rules to allow for electronic filing of fees, forms, and reports
required by this chapter. The authority to adopt rules pursuant to this chapter
applies to all unclaimed property reported and remitted to the Chief Financial
Officer, including, but not limited to, property reported and remitted pursuant
to ss. 45.032, 732.107, 733.816, and 744.534.

HISTORY:
S. 39, ch. 87-105; s. 220, ch. 98-200; s. 31, ch. 2001-36; s. 1890, ch. 2003-

261; s. 27, ch. 2016-132, effective July 1, 2016; s. 10, ch. 2018-71, effective
July 1, 2019.



 Title XL. ,  Ch. 717. ,   717.1381. 
Fla. Stat.  717.1381

 717.1381. Void unclaimed property powers of attorney and purchase
agreements. [Repealed]

HISTORY:
S. 24, ch. 2005-163; repealed by s. 9, ch. 2016-90, effective July 1, 2016.



 Title XL. ,  Ch. 717. ,   717.1382. 
Fla. Stat.  717.1382

 717.1382. United States savings bond; unclaimed property;
escheatment; procedure.
(1) Notwithstanding any other provision of law, a United States savings

bond in possession of the department or registered to a person with a last
known address in the state, including a bond that is lost, stolen, or
destroyed, is presumed abandoned and unclaimed 5 years after the bond
reaches maturity and no longer earns interest and shall be reported and
remitted to the department by the financial institution or other holder in
accordance with ss. 717.117(1) and (3) and 717.119, if the department is
not in possession of the bond.
(2)(a) After a United States savings bond is abandoned and unclaimed in
accordance with subsection (1), the department may commence a civil
action in a court of competent jurisdiction in Leon County for a
determination that the bond shall escheat to the state. Upon determination
of escheatment, all property rights to the bond or proceeds from the bond,
including all rights, powers, and privileges of survivorship of an owner,
co-owner, or beneficiary, shall vest solely in the state.
(b) Service of process by publication may be made on a party in a civil

action pursuant to this section. A notice of action shall state the name of any
known owner of the bond, the nature of the action or proceeding in short and
simple terms, the name of the court in which the action or proceeding is
instituted, and an abbreviated title of the case.

(c) The notice of action shall require a person claiming an interest in the
bond to file a written defense with the clerk of the court and serve a copy of
the defense by the date fixed in the notice. The date must not be less than 28
or more than 60 days after the first publication of the notice.

(d) The notice of action shall be published once a week for 4 consecutive
weeks in a newspaper of general circulation published in Leon County. Proof
of publication shall be placed in the court file.

(e)1. If no person files a claim with the court for the bond and if the
department has substantially complied with the provisions of this section,
the court shall enter a default judgment that the bond, or proceeds from



such bond, has escheated to the state.
2. If a person files a claim for one or more bonds and, after notice and

hearing, the court determines that the claimant is not entitled to the bonds
claimed by such claimant, the court shall enter a judgment that such bonds, or
proceeds from such bonds, have escheated to the state.

3. If a person files a claim for one or more bonds and, after notice and
hearing, the court determines that the claimant is entitled to the bonds
claimed by such claimant, the court shall enter a judgment in favor of the
claimant.

(3) The department may redeem a United States savings bond escheated
to the state pursuant to this section or, in the event that the department is
not in possession of the bond, seek to obtain the proceeds from such bond.
Proceeds received by the department shall be deposited in accordance with
s. 717.123.

HISTORY:
S. 1, ch. 2015-152, effective July 1, 2015.

Editors Notes
Section 3, ch. 2015-152, provides: This act applies to any United States

savings bond that reaches maturity on, before, or after the effective date of
this act.



 Title XL. ,  Ch. 717. ,   717.1383. 
Fla. Stat.  717.1383

 717.1383. United States savings bond; claim for bond.
A person claiming a United States savings bond escheated to the state

under s. 717.1382, or for the proceeds from such bond, may file a claim with
the department. The department may approve the claim if the person is able
to provide sufficient proof of the validity of the persons claim. Once a bond,
or the proceeds from such bond, are remitted to a claimant, no action
thereafter may be maintained by any other person against the department, the
state, or any officer thereof, for or on account of such funds. The persons
sole remedy, if any, shall be against the claimant who received the bond or
the proceeds from such bond.

HISTORY:
S. 2, ch. 2015-152, effective July 1, 2015.

Editors Notes
Section 3, ch. 2015-152, provides: This act applies to any United States

savings bond that reaches maturity on, before, or after the effective date of
this act.



 Title XL. ,  Ch. 717. ,   717.139. 
Fla. Stat.  717.139

 717.139. Uniformity of application and construction.
(1) It is the public policy of the state to protect the interests of owners of

unclaimed property. It is declared to be in the best interests of owners of
unclaimed property that such owners receive the full amount of any
unclaimed property without any fee.

(2) This chapter shall be applied and construed as to effectuate its
general purpose of protecting the interest of missing owners of property,
while providing that the benefit of all unclaimed and abandoned property
shall go to all the people of the state, and to make uniform the law with
respect to the subject of this chapter among states enacting it.

HISTORY:
S. 40, ch. 87-105; s. 10, ch. 2016-90, effective July 1, 2016.



 Title XL. ,  Ch. 717. ,   717.1400. 
Fla. Stat.  717.1400

 717.1400. Registration.
(1) In order to file claims as a claimants representative, acquire

ownership of or entitlement to unclaimed property, receive a distribution of
fees and costs from the department, and obtain unclaimed property dollar
amounts and numbers of reported shares of stock held by the department, a
private investigator holding a Class C individual license under chapter
493 must register with the department on such form as the department
prescribes by rule and must be verified by the applicant. To register with
the department, a private investigator must provide:
(a) A legible copy of the applicants Class A business license under

chapter 493 or that of the applicants firm or employer which holds a Class
A business license under chapter 493.

(b) A legible copy of the applicants Class C individual license issued
under chapter 493.

(c) The business address and telephone number of the applicants private
investigative firm or employer.

(d) The names of agents or employees, if any, who are designated to act on
behalf of the private investigator, together with a legible copy of their photo
identification issued by an agency of the United States, or a state, or a
political subdivision thereof.

(e) Sufficient information to enable the department to disburse funds by
electronic funds transfer.

(f) The tax identification number of the private investigators firm or
employer which holds a Class A business license under chapter 493.

(2) In order to file claims as a claimants representative, acquire
ownership of or entitlement to unclaimed property, receive a distribution of
fees and costs from the department, and obtain unclaimed property dollar
amounts and numbers of reported shares of stock held by the department, a
Florida-certified public accountant must register with the department on
such form as the department prescribes by rule and must be verified by the
applicant. To register with the department, a Florida-certified public



accountant must provide:
(a) The applicants Florida Board of Accountancy number.
(b) A legible copy of the applicants current driver license showing the full

name and current address of such person. If a current driver license is not
available, another form of identification showing the full name and current
address of such person or persons shall be filed with the department.

(c) The business address and telephone number of the applicants public
accounting firm or employer.

(d) The names of agents or employees, if any, who are designated to act on
behalf of the Florida-certified public accountant, together with a legible copy
of their photo identification issued by an agency of the United States, or a
state, or a political subdivision thereof.

(e) Sufficient information to enable the department to disburse funds by
electronic funds transfer.

(f) The tax identification number of the accountants public accounting
firm employer.

(3) In order to file claims as a claimants representative, acquire
ownership of or entitlement to unclaimed property, receive a distribution of
fees and costs from the department, and obtain unclaimed property dollar
amounts and numbers of reported shares of stock held by the department,
an attorney licensed to practice in this state must register with the
department on such form as the department prescribes by rule and must be
verified by the applicant. To register with the department, such attorney
must provide:
(a) The applicants Florida Bar number.
(b) A legible copy of the applicants current driver license showing the full

name and current address of such person. If a current driver license is not
available, another form of identification showing the full name and current
address of such person or persons shall be filed with the department.

(c) The business address and telephone number of the applicants firm or
employer.

(d) The names of agents or employees, if any, who are designated to act on



behalf of the attorney, together with a legible copy of their photo
identification issued by an agency of the United States, or a state, or a
political subdivision thereof.

(e) Sufficient information to enable the department to disburse funds by
electronic funds transfer.

(f) The tax identification number of the attorneys firm or employer.
(4) Information and documents already on file with the department

before the effective date of this provision need not be resubmitted in order
to complete the registration.

(5) If a material change in the status of a registration occurs, a registrant
must, within 30 days, provide the department with the updated
documentation and information in writing. Material changes include, but
are not limited to: a designated agent or employee ceasing to act on behalf
of the designating person, a surrender, suspension, or revocation of a
license, or a license renewal.
(a) If a designated agent or employee ceases to act on behalf of the person

who has designated the agent or employee to act on such persons behalf, the
designating person must, within 30 days, inform the Division of Unclaimed
Property in writing of the termination of agency or employment.

(b) If a registrant surrenders the registrants license or the license is
suspended or revoked, the registrant must, within 30 days, inform the
division in writing of the surrender, suspension, or revocation.

(c) If a private investigators Class C individual license under chapter
493 or a private investigators employers Class A business license under
chapter 493 is renewed, the private investigator must provide a copy of the
renewed license to the department within 30 days after the receipt of the
renewed license by the private investigator or the private investigators
employer.

(6) A registrants firm or employer may not have a name that might lead
another person to conclude that the registrants firm or employer is
affiliated or associated with the United States, or an agency thereof, or a
state or an agency or political subdivision of a state. The department shall
deny an application for registration or revoke a registration if the
applicants or registrants firm or employer has a name that might lead



another person to conclude that the firm or employer is affiliated or
associated with the United States, or an agency thereof, or a state or an
agency or political subdivision of a state. Names that might lead another
person to conclude that the firm or employer is affiliated or associated with
the United States, or an agency thereof, or a state or an agency or political
subdivision of a state, include, but are not limited to, the words United
States, Florida, state, bureau, division, department, or government.

(7) The licensing and other requirements of this section must be
maintained as a condition of registration with the department.

HISTORY:
S. 141, ch. 2004-390; s. 133, ch. 2005-2; s. 25, ch. 2005-163; s. 11, ch.

2016-90, effective July 1, 2016; s. 44, ch. 2016-165, effective July 1, 2016.



 Title XL. ,  Ch. 717. ,   717.1401. 
Fla. Stat.  717.1401

 717.1401. Repeal.
This chapter shall not repeal, but shall be additional and supplemental to

the existing provisions of ss. 43.18 and 402.17 and chapter 716.

HISTORY:
S. 41, ch. 87-105; s. 62, ch. 92-348; s. 11, ch. 2018-71, effective July 1,

2019.



 Title XLII. 
Fla. Stat. Title XLII

TITLE XLII.
ESTATES AND TRUSTS.

________
 Title XLII. ,  Ch. 731. 

Fla. Stat. Title XLII, Ch. 731



CHAPTER 731.
PROBATE CODE: GENERAL PROVISIONS.

 Title XLII. ,  Ch. 731. ,  Pt. I. 
Fla. Stat. Title XLII, Ch. 731, Pt. I



PART I.
SHORT TITLE; CONSTRUCTION.

 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.005. 
Fla. Stat.  731.005

 731.005. Short title.
Chapters 731-735 shall be known and may be cited as the Florida Probate

Code and referred to as the code.

HISTORY:
S. 1, ch. 74-106; s. 1, ch. 75-220; s. 4, ch. 2001-226.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.011. 
Fla. Stat.  731.011

 731.011. Determination of substantive rights; procedures.
The code became effective on January 1, 1976. The substantive rights of

all persons that vested prior to January 1, 1976, shall be determined as
provided in former chapters 731-737 and 744-746. The procedures for the
enforcement of vested substantive rights shall be as provided in the Florida
Probate Rules.

HISTORY:
S. 4, ch. 74-106; ss. 2, 113, ch. 75-220; s. 5, ch. 2001-226.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.102. 
Fla. Stat.  731.102

 731.102. Construction against implied repeal.
This code is intended as unified coverage of its subject matter. No part of it

shall be impliedly repealed by subsequent legislation if that construction can
reasonably be avoided.

HISTORY:
S. 1, ch. 74-106; s. 2, ch. 75-220.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.103. 
Fla. Stat.  731.103

 731.103. Evidence as to death or status.
In proceedings under this code and under chapter 736, the following

additional rules relating to determination of death and status are applicable:
(1) An authenticated copy of a death certificate issued by an official or

agency of the place where the death purportedly occurred is prima facie
proof of the fact, place, date, and time of death and the identity of the
decedent.

(2) A copy of any record or report of a governmental agency, domestic
or foreign, that a person is alive, missing, detained, or, from the facts
related, presumed dead is prima facie evidence of the status and of the
dates, circumstances, and places disclosed by the record or report.

(3) A person who is absent from the place of his or her last known
domicile for a continuous period of 5 years and whose absence is not
satisfactorily explained after diligent search and inquiry is presumed to be
dead. The persons death is presumed to have occurred at the end of the
period unless there is evidence establishing that death occurred earlier.
Evidence showing that the absent person was exposed to a specific peril of
death may be a sufficient basis for the court determining at any time after
such exposure that he or she died less than 5 years after the date on which
his or her absence commenced. A petition for this determination shall be
filed in the county in Florida where the decedent maintained his or her
domicile or in any county of this state if the decedent was not a resident of
Florida at the time his or her absence commenced.

(4) This section does not preclude the establishment of death by direct or
circumstantial evidence prior to expiration of the 5-year time period set
forth in subsection (3).

HISTORY:
S. 1, ch. 74-106; s. 2, ch. 75-220; s. 946, ch. 97-102; s. 1, ch. 2003-154; s.

27, ch. 2006-217, eff. July 1, 2007.

Editors notes.



Created from former s. 734.34.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.1035. 
Fla. Stat.  731.1035

 731.1035. Applicable rules of evidence.
In proceedings under this code, the rules of evidence in civil actions are

applicable unless specifically changed by the code.

HISTORY:
S. 28, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.104. 
Fla. Stat.  731.104

 731.104. Verification of documents.
When verification of a document is required in this code or by rule, the

document filed shall include an oath or affirmation as provided in the Florida
Probate Rules. Any person who willfully includes a false statement in the
document shall be guilty of perjury.

HISTORY:
S. 1, ch. 74-106; s. 2, ch. 75-220; s. 6, ch. 2001-226.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.105. 
Fla. Stat.  731.105

 731.105. In rem proceeding.
Probate proceedings are in rem proceedings.

HISTORY:
S. 3, ch. 75-220.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.1055. 
Fla. Stat.  731.1055

 731.1055. Disposition of real property.
The validity and effect of a disposition, whether intestate or testate, of real

property in this state shall be determined by Florida law.

HISTORY:
S. 1, ch. 2016-189, effective July 1, 2016.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.106. 
Fla. Stat.  731.106

 731.106. Assets of nondomiciliaries.
(1) A debt in favor of a nondomiciliary, other than one evidenced by

investment or commercial paper or other instrument, is located in the
county where the debtor resides or, if the debtor is not an individual, at the
place where the debtor has its principal office. Commercial paper,
investment paper, and other instruments are located where the instrument
is at the time of death.

(2) When a nonresident decedent, whether or not a citizen of the United
States, provides by will that the testamentary disposition of tangible or
intangible personal property having a situs within this state shall be
construed and regulated by the laws of this state, the validity and effect of
the dispositions shall be determined by Florida law. The court may, and in
the case of a decedent who was at the time of death a resident of a foreign
country the court shall, direct the personal representative appointed in this
state to make distribution directly to those designated by the decedents
will as beneficiaries of the tangible or intangible property or to the persons
entitled to receive the decedents personal estate under the laws of the
decedents domicile.

HISTORY:
S. 3, ch. 75-220; s. 1, ch. 77-174; s. 947, ch. 97-102; s. 7, ch. 2001-226; s.

2, ch. 2016-189, effective July 1, 2016.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.1065. 
Fla. Stat.  731.1065

 731.1065. Precious metals.
(1) For the purposes of the code, precious metals in any tangible form,

such as bullion or coins kept and acquired for their historical, artistic,
collectable, or investment value apart from their normal use as legal tender
for payment, are tangible personal property.

(2) This section is intended to clarify existing law and applies
retroactively to all written instruments executed before, on, or after July 1,
2020, as well as all proceedings pending or commenced before, on, or after
July 1, 2020, in which the disposition of precious metals in any tangible
form has not been finally determined.

History.
S. 1, ch. 2020-67, effective July 1, 2020.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.109. 
Fla. Stat.  731.109

 731.109. Seal of the court.
For the purposes of this code, the seal of the clerk of the circuit court is the

seal of the court.

HISTORY:
S. 3, ch. 75-220.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.110. 
Fla. Stat.  731.110

 731.110. Caveat; proceedings.
(1) Any interested person who is apprehensive that an estate, either

testate or intestate, will be administered or that a will may be admitted to
probate without that persons knowledge may file a caveat with the court.
The caveat of the interested person, other than a creditor, may be filed
before or after the death of the person for whom the estate will be, or is
being, administered. The caveat of a creditor may be filed only after the
persons death.

(2) If the caveator is a nonresident and is not represented by an attorney
admitted to practice in this state who has signed the caveat, the caveator
must designate some person residing in the county in which the caveat is
filed as the agent of the caveator, upon whom service may be made;
however, if the caveator is represented by an attorney admitted to practice
in this state who has signed the caveat, it is not necessary to designate a
resident agent.

(3) If a caveat has been filed by an interested person other than a
creditor, the court may not admit a will of the decedent to probate or
appoint a personal representative until formal notice of the petition for
administration has been served on the caveator or the caveators designated
agent and the caveator has had the opportunity to participate in
proceedings on the petition, as provided by the Florida Probate Rules. This
subsection does not require a caveator to be served with formal notice of
its own petition for administration.

(4) A caveat filed before the death of the person for whom the estate will
be administered expires 2 years after filing.

HISTORY:
S. 3, ch. 75-220; s. 2, ch. 77-87; s. 1, ch. 85-79; s. 2, ch. 92-200; s. 948, ch.

97-102; s. 9, ch. 2001-226; s. 2, ch. 2007-74, eff. July 1, 2007; s. 3, ch. 2010-
132, eff. Oct. 1, 2010; s. 5, ch. 2013-172, eff. Oct. 1, 2013.



 Title XLII. ,  Ch. 731. ,  Pt. I. ,   731.155. 
Fla. Stat.  731.155

 731.155. Applicability.
This act shall take effect January 1, 2002. The substantive rights of all

persons that have vested prior to January 1, 2002, shall be determined as
provided in former chapters 63, 215, 409, 660, and 731-737 as they existed
prior to January 1, 2002. The procedures for the enforcement of substantive
rights which have vested prior to January 1, 2002, shall be as provided in this
act, except that any Family Administration filed before January 1, 2002, may
be completed as a Family Administration.

HISTORY:
S. 195, ch. 2001-226.



 Title XLII. ,  Ch. 731. ,  Pt. II. 
Fla. Stat. Title XLII, Ch. 731, Pt. II



PART II.
DEFINITIONS.

 Title XLII. ,  Ch. 731. ,  Pt. II. ,   731.201. 
Fla. Stat.  731.201

 731.201. General definitions.
Subject to additional definitions in subsequent chapters that are applicable

to specific chapters or parts, and unless the context otherwise requires, in this
code, in s. 409.9101, and in chapters 736, 738, 739, and 744, the term:

(1) Authenticated, when referring to copies of documents or judicial
proceedings required to be filed with the court under this code, means a
certified copy or a copy authenticated according to the Federal Rules of
Civil Procedure.

(2) Beneficiary means heir at law in an intestate estate and devisee in
a testate estate. The term beneficiary does not apply to an heir at law or a
devisee after that persons interest in the estate has been satisfied. In the
case of a devise to an existing trust or trustee, or to a trust or trustee
described by will, the trustee is a beneficiary of the estate. Except as
otherwise provided in this subsection, the beneficiary of the trust is not a
beneficiary of the estate of which that trust or the trustee of that trust is a
beneficiary. However, if each trustee is also a personal representative of
the estate, each qualified beneficiary of the trust as defined in s. 736.0103
shall be regarded as a beneficiary of the estate.

(3) Child includes a person entitled to take as a child under this code
by intestate succession from the parent whose relationship is involved, and
excludes any person who is only a stepchild, a foster child, a grandchild, or
a more remote descendant.

(4) Claim means a liability of the decedent, whether arising in
contract, tort, or otherwise, and funeral expense. The term does not include
an expense of administration or estate, inheritance, succession, or other
death taxes.

(5) Clerk means the clerk or deputy clerk of the court.
(6) Collateral heir means an heir who is related to the decedent



through a common ancestor but who is not an ancestor or descendant of the
decedent.

(7) Court means the circuit court.
(8) Curator means a person appointed by the court to take charge of

the estate of a decedent until letters are issued.
(9) Descendant means a person in any generational level down the

applicable individuals descending line and includes children,
grandchildren, and more remote descendants. The term descendant is
synonymous with the terms lineal descendant and issue but excludes
collateral heirs.

(10) Devise, when used as a noun, means a testamentary disposition of
real or personal property and, when used as a verb, means to dispose of
real or personal property by will or trust. The term includes gift, give,
bequeath, bequest, and legacy. A devise is subject to charges for
debts, expenses, and taxes as provided in this code, the will, or the trust.

(11) Devisee means a person designated in a will or trust to receive a
devise. Except as otherwise provided in this subsection, in the case of a
devise to an existing trust or trustee, or to a trust or trustee of a trust
described by will, the trust or trustee, rather than the beneficiaries of the
trust, is the devisee. However, if each trustee is also a personal
representative of the estate, each qualified beneficiary of the trust as
defined in s. 736.0103 shall be regarded as a devisee.

(12) Distributee means a person who has received estate property
from a personal representative or other fiduciary other than as a creditor or
purchaser. A testamentary trustee is a distributee only to the extent of
distributed assets or increments to them remaining in the trustees hands. A
beneficiary of a testamentary trust to whom the trustee has distributed
property received from a personal representative is a distributee. For
purposes of this provision, testamentary trustee includes a trustee to
whom assets are transferred by will, to the extent of the devised assets.

(13) Domicile means a persons usual place of dwelling and shall be
synonymous with residence.

(14) Estate means the property of a decedent that is the subject of
administration.



(15) Exempt property means the property of a decedents estate which
is described in s. 732.402.

(16) File means to file with the court or clerk.
(17) Foreign personal representative means a personal representative

of another state or a foreign country.
(18) Formal notice means a form of notice that is described in and

served by a method of service provided under rule 5.040(a) of the Florida
Probate Rules.

(19) Grantor means one who creates or adds to a trust and includes
settlor or trustor and a testator who creates or adds to a trust.

(20) Heirs or heirs at law means those persons, including the
surviving spouse, who are entitled under the statutes of intestate succession
to the property of a decedent.

(21) Incapacitated means a judicial determination that a person lacks
the capacity to manage at least some of the persons property or to meet at
least some of the persons essential health and safety requirements. A
minor shall be treated as being incapacitated.

(22) Informal notice or notice means a method of service for
pleadings or papers as provided under rule 5.040(b) of the Florida Probate
Rules.

(23) Interested person means any person who may reasonably be
expected to be affected by the outcome of the particular proceeding
involved. In any proceeding affecting the estate or the rights of a
beneficiary in the estate, the personal representative of the estate shall be
deemed to be an interested person. In any proceeding affecting the
expenses of the administration and obligations of a decedents estate, or
any claims described in s. 733.702(1), the trustee of a trust described in s.
733.707(3) is an interested person in the administration of the grantors
estate. The term does not include a beneficiary who has received complete
distribution. The meaning, as it relates to particular persons, may vary
from time to time and must be determined according to the particular
purpose of, and matter involved in, any proceedings.

(24) Letters means authority granted by the court to the personal



representative to act on behalf of the estate of the decedent and refers to
what has been known as letters testamentary and letters of administration.
All letters shall be designated letters of administration.

(25) Minor means a person under 18 years of age whose disabilities
have not been removed by marriage or otherwise.

(26) Other state means any state of the United States other than
Florida and includes the District of Columbia, the Commonwealth of
Puerto Rico, and any territory or possession subject to the legislative
authority of the United States.

(27) Parent excludes any person who is only a stepparent, foster
parent, or grandparent.

(28) Personal representative means the fiduciary appointed by the
court to administer the estate and refers to what has been known as an
administrator, administrator cum testamento annexo, administrator de
bonis non, ancillary administrator, ancillary executor, or executor.

(29) Petition means a written request to the court for an order.
(30) Power of appointment means an authority, other than as an

incident of the beneficial ownership of property, to designate recipients of
beneficial interests in property.

(31) Probate of will means all steps necessary to establish the validity
of a will and to admit a will to probate.

(32) Property means both real and personal property or any interest in
it and anything that may be the subject of ownership, including causes of
action of the estate and causes of action the decedent had at the time of
death.

(33) Protected homestead means the property described in s. 4(a)(1),
Art. X of the State Constitution on which at the death of the owner the
exemption inures to the owners surviving spouse or heirs under s. 4(b),
Art. X of the State Constitution. For purposes of the code, real property
owned in tenancy by the entireties or in joint tenancy with rights of
survivorship is not protected homestead.

(34) Residence means a persons place of dwelling.



(35) Residuary devise means a devise of the assets of the estate which
remain after the provision for any devise which is to be satisfied by
reference to a specific property or type of property, fund, sum, or statutory
amount. If the will contains no devise which is to be satisfied by reference
to a specific property or type of property, fund, sum, or statutory amount,
residuary devise or residue means a devise of all assets remaining after
satisfying the obligations of the estate.

(36) Security means a security as defined in s. 517.021.
(37) Security interest means a security interest as defined in s.

671.201.
(38) Trust means an express trust, private or charitable, with additions

to it, wherever and however created. It also includes a trust created or
determined by a judgment or decree under which the trust is to be
administered in the manner of an express trust. Trust excludes other
constructive trusts, and it excludes resulting trusts; conservatorships;
custodial arrangements pursuant to the Florida Uniform Transfers to
Minors Act; business trusts providing for certificates to be issued to
beneficiaries; common trust funds; land trusts under s. 689.071, except to
the extent provided in s. 689.071(7); trusts created by the form of the
account or by the deposit agreement at a financial institution; voting trusts;
security arrangements; liquidation trusts; trusts for the primary purpose of
paying debts, dividends, interest, salaries, wages, profits, pensions, or
employee benefits of any kind; and any arrangement under which a person
is nominee or escrowee for another.

(39) Trustee includes an original, additional, surviving, or successor
trustee, whether or not appointed or confirmed by court.

(40) Will means a testamentary instrument, including a codicil,
executed by a person in the manner prescribed by this code, which
disposes of the persons property on or after his or her death and includes
an instrument which merely appoints a personal representative or guardian
or revokes or revises another will. The term includes an electronic will as
defined in s. 732.521.

HISTORY:
S. 1, ch. 74-106; s. 4, ch. 75-220; s. 1, ch. 77-174; s. 2, ch. 85-79; s. 66, ch.



87-226; s. 1, ch. 88-340; s. 7, ch. 93-257; s. 6, ch. 95-401; s. 949, ch. 97-102;
s. 52, ch. 98-421; s. 11, ch. 2001-226; s. 106, ch. 2002-1; s. 2, ch. 2003-154;
s. 2, ch. 2005-108; s. 29, ch. 2006-217, eff. July 1, 2007; s. 3, ch. 2007-74,
eff. July 1, 2007; s. 1, ch. 2009-115, eff. July 1, 2009; s. 4, ch. 2010-132, eff.
Oct. 1, 2010; s. 1, ch. 2012-109, eff. July 1, 2012; s. 16, ch. 2013-172, eff.
Oct. 1, 2013; s. 30, ch. 2019-71, effective January 1, 2020; s. 2, ch. 2020-67,
effective October 1, 2020.

Editors notes.
Created from former s. 731.03.
The introductory language of s. 1, ch. 2012-109, provides: Effective July

1, 2012, and applicable to proceedings pending before or commenced on or
after July 1, 2012, subsection (33) of section 731.201, Florida Statutes, is
amended to read.



 Title XLII. ,  Ch. 731. ,  Pt. III. 
Fla. Stat. Title XLII, Ch. 731, Pt. III



PART III.
NOTICE AND REPRESENTATION.

 Title XLII. ,  Ch. 731. ,  Pt. III. ,   731.301. 
Fla. Stat.  731.301

 731.301. Notice.
(1) If notice to an interested person of a petition or other proceeding is

required, the notice shall be given to the interested person or that persons
attorney as provided in the code or the Florida Probate Rules.

(2) In a probate proceeding, formal notice to a person is sufficient notice
for the court to exercise its in rem jurisdiction over the persons interest in
the estate property or in the decedents protected homestead. The court
does not acquire personal jurisdiction over a person by service of formal
notice.

(3) Persons given proper notice of a proceeding are bound by all orders
entered in that proceeding.

HISTORY:
S. 1, ch. 74-106; s. 5, ch. 75-220; s. 3, ch. 77-87; s. 1, ch. 77-174; s. 1, ch.

93-257; s. 64, ch. 95-211; s. 950, ch. 97-102; s. 12, ch. 2001-226; s. 5, ch.
2010-132, eff. Oct. 1, 2010; s. 3, ch. 2020-67, effective October 1, 2020.

Editors notes.
Created from former s. 732.28.



 Title XLII. ,  Ch. 731. ,  Pt. III. ,   731.302. 
Fla. Stat.  731.302

 731.302. Waiver and consent by interested person.
Subsequent to the filing of a petition for administration, an interested

person, including a guardian ad litem, administrator ad litem, guardian of the
property, personal representative, trustee, or other fiduciary, or a sole holder
or all coholders of a power of revocation or a power of appointment, may
waive, to the extent of that persons interest or the interest which that person
represents, subject to the provisions of ss. 731.303 and 733.604, any right or
notice or the filing of any document, exhibit, or schedule required to be filed
and may consent to any action or proceeding which may be required or
permitted by this code.

HISTORY:
S. 1, ch. 74-106; s. 6, ch. 75-220; s. 4, ch. 77-87; s. 267, ch. 79-400; s. 3,

ch. 84-106; s. 25, ch. 2003-154.

Editors notes.
Section 25, ch. 2003-154 reenacted 731.302 without change to incorporate

amendments to statutory sections referenced therein.
Created from former s. 732.28.



 Title XLII. ,  Ch. 731. ,  Pt. III. ,   731.303. 
Fla. Stat.  731.303

 731.303. Representation.
In the administration of or in judicial proceedings involving estates of

decedents, the following apply:
(1) Persons are bound by orders binding others in the following cases:

(a)1. Orders binding the sole holder or all coholders of a power of
revocation or a general, special, or limited power of appointment,
including one in the form of a power of amendment or revocation to the
extent that the power has not become unexercisable in fact, bind all
persons to the extent that their interests, as persons who may take by virtue
of the exercise or nonexercise of the power, are subject to the power.
2. Subparagraph 1. does not apply to:
a. Any matter determined by the court to involve fraud or bad faith by the

trustee;
b. A power of a trustee to distribute trust property; or
c. A power of appointment held by a person while the person is the sole

trustee.
(b) To the extent there is no conflict of interest between them or among the

persons represented:
1. Orders binding a guardian of the property bind the ward.
2. Orders binding a trustee bind beneficiaries of the trust in proceedings to

probate a will, in establishing or adding to a trust, in reviewing the acts or
accounts of a prior fiduciary, and in proceedings involving creditors or other
third parties. However, for purposes of this section, a conflict of interest shall
be deemed to exist when each trustee of a trust that is a beneficiary of the
estate is also a personal representative of the estate.

3. Orders binding a personal representative bind persons interested in the
undistributed assets of a decedents estate, in actions or proceedings by or
against the estate.

(c) An unborn or unascertained person, or a minor or any other person



under a legal disability, who is not otherwise represented is bound by an
order to the extent that persons interest is represented by another party
having the same or greater quality of interest in the proceeding.

(2) Orders binding a guardian of the person shall not bind the ward.
(3) In proceedings involving the administration of estates, notice is

required as follows:
(a) Notice as prescribed by law shall be given to every interested person, or

to one who can bind the interested person as described in paragraph (1)(a) or
paragraph (1)(b). Notice may be given both to the interested person and to
another who can bind him or her.

(b) Notice is given to unborn or unascertained persons who are not
represented pursuant to paragraph (1)(a) or paragraph (1)(b) by giving notice
to all known persons whose interests in the proceedings are the same as, or of
a greater quality than, those of the unborn or unascertained persons.

(4) If the court determines that representation of the interest would
otherwise be inadequate, the court may, at any time, appoint a guardian ad
litem to represent the interests of an incapacitated person, an unborn or
unascertained person, a minor or any other person otherwise under a legal
disability, or a person whose identity or address is unknown. If not
precluded by conflict of interest, a guardian ad litem may be appointed to
represent several persons or interests.

(5) The holder of a power of appointment over property not held in trust
may represent and bind persons whose interests, as permissible appointees,
takers in default, or otherwise, are subject to the power. Representation
under this subsection does not apply to:
(a) Any matter determined by the court to involve fraud or bad faith by the

trustee;
(b) A power of a trustee to distribute trust property; or
(c) A power of appointment held by a person while the person is the sole

trustee.

HISTORY:
S. 1, ch. 74-106; s. 7, ch. 75-220; s. 5, ch. 77-87; s. 1, ch. 77-174; s. 1, ch.



88-217; s. 3, ch. 92-200; s. 951, ch. 97-102; s. 13, ch. 2001-226; s. 3, ch.
2002-82; s. 3, ch. 2003-154; s. 30, ch. 2006-217, eff. July 1, 2007; s. 9, ch.
2007-153, eff. July 1, 2007.



 Title XLII. ,  Ch. 731. ,  Pt. III. ,   731.401. 
Fla. Stat.  731.401

 731.401. Arbitration of disputes.
(1) A provision in a will or trust requiring the arbitration of disputes,

other than disputes of the validity of all or a part of a will or trust, between
or among the beneficiaries and a fiduciary under the will or trust, or any
combination of such persons or entities, is enforceable.

(2) Unless otherwise specified in the will or trust, a will or trust
provision requiring arbitration shall be presumed to require binding
arbitration under chapter 682, the Revised Florida Arbitration Code. If an
arbitration enforceable under this section is governed under chapter 682,
the arbitration provision in the will or trust shall be treated as an agreement
for the purposes of applying chapter 682.

HISTORY:
S. 4, ch. 2007-74, eff. July 1, 2007; s. 37, ch. 2013-232, eff. July 1, 2013.



 Title XLII. ,  Ch. 732. 
Fla. Stat. Title XLII, Ch. 732



CHAPTER 732.
PROBATE CODE: INTESTATE SUCCESSION AND WILLS.

 Title XLII. ,  Ch. 732. ,  Pt. I. 
Fla. Stat. Title XLII, Ch. 732, Pt. I



PART I.
INTESTATE SUCCESSION.

 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.101. 
Fla. Stat.  732.101

 732.101. Intestate estate.
(1) Any part of the estate of a decedent not effectively disposed of by

will passes to the decedents heirs as prescribed in the following sections
of this code.

(2) The decedents death is the event that vests the heirs right to the
decedents intestate property.

HISTORY:
S. 1, ch. 74-106; s. 8, ch. 75-220; s. 14, ch. 2001-226.

Editors notes.
Created from former s. 731.23.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.102. 
Fla. Stat.  732.102

 732.102. Spouses share of intestate estate.
The intestate share of the surviving spouse is:

(1) If there is no surviving descendant of the decedent, the entire
intestate estate.

(2) If the decedent is survived by one or more descendants, all of whom
are also descendants of the surviving spouse, and the surviving spouse has
no other descendant, the entire intestate estate.

(3) If there are one or more surviving descendants of the decedent who
are not lineal descendants of the surviving spouse, one-half of the intestate
estate.

(4) If there are one or more surviving descendants of the decedent, all of
whom are also descendants of the surviving spouse, and the surviving
spouse has one or more descendants who are not descendants of the
decedent, one-half of the intestate estate.

HISTORY:
S. 1, ch. 74-106; s. 8, ch. 75-220; s. 15, ch. 2001-226; s. 5, ch. 2007-74,

eff. July 1, 2007; s. 2, ch. 2011-183, eff. Oct. 1, 2011.

Editors notes.
Created from former s. 731.23.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.

Section 2, ch. 2012-109, provides: Notwithstanding section 2 or section
14 of chapter 2011-183, Laws of Florida, the amendments to section 732.102,
Florida Statutes, made by section 2 of that act apply only to the estates of
decedents dying on or after October 1, 2011.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.103. 
Fla. Stat.  732.103

 732.103. Share of other heirs.
The part of the intestate estate not passing to the surviving spouse under s.

732.102, or the entire intestate estate if there is no surviving spouse, descends
as follows:

(1) To the descendants of the decedent.
(2) If there is no descendant, to the decedents father and mother

equally, or to the survivor of them.
(3) If there is none of the foregoing, to the decedents brothers and

sisters and the descendants of deceased brothers and sisters.
(4) If there is none of the foregoing, the estate shall be divided, one-half

of which shall go to the decedents paternal, and the other half to the
decedents maternal, kindred in the following order:
(a) To the grandfather and grandmother equally, or to the survivor of them.
(b) If there is no grandfather or grandmother, to uncles and aunts and

descendants of deceased uncles and aunts of the decedent.
(c) If there is either no paternal kindred or no maternal kindred, the estate

shall go to the other kindred who survive, in the order stated above.
(5) If there is no kindred of either part, the whole of the property shall

go to the kindred of the last deceased spouse of the decedent as if the
deceased spouse had survived the decedent and then died intestate entitled
to the estate.

(6) If none of the foregoing, and if any of the descendants of the
decedents great-grandparents were Holocaust victims as defined in s.
626.9543(3)(a), including such victims in countries cooperating with the
discriminatory policies of Nazi Germany, then to the descendants of the
great-grandparents. The court shall allow any such descendant to meet a
reasonable, not unduly restrictive, standard of proof to substantiate his or
her lineage. This subsection only applies to escheated property and shall
cease to be effective for proceedings filed after December 31, 2004.



HISTORY:
S. 1, ch. 74-106; s. 8, ch. 75-220; s. 1, ch. 77-174; s. 16, ch. 2001-226; s.

145, ch. 2004-390; s. 102, ch. 2006-1, eff. July 4, 2006; s. 6, ch. 2007-74, eff.
July 1, 2007.

Editors notes.
Created from former s. 731.23.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.104. 
Fla. Stat.  732.104

 732.104. Inheritance per stirpes.
Descent shall be per stirpes, whether to descendants or to collateral heirs.

HISTORY:
S. 1, ch. 74-106; s. 9, ch. 75-220; s. 7, ch. 2007-74, eff. July 1, 2007.

Editors notes.
Created from former s. 731.25.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.105. 
Fla. Stat.  732.105

 732.105. Half blood.
When property descends to the collateral kindred of the intestate and part

of the collateral kindred are of the whole blood to the intestate and the other
part of the half blood, those of the half blood shall inherit only half as much
as those of the whole blood; but if all are of the half blood they shall have
whole parts.

HISTORY:
S. 1, ch. 74-106; s. 10, ch. 75-220.

Editors notes.
Created from former s. 731.24.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.106. 
Fla. Stat.  732.106

 732.106. Afterborn heirs.
Heirs of the decedent conceived before his or her death, but born

thereafter, inherit intestate property as if they had been born in the decedents
lifetime.

HISTORY:
S. 1, ch. 74-106; s. 10, ch. 75-220; s. 6, ch. 77-87; s. 952, ch. 97-102.

Editors notes.
Created from former s. 731.11.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.107. 
Fla. Stat.  732.107

 732.107. Escheat.
(1) When a person dies leaving an estate without being survived by any

person entitled to a part of it, that part shall escheat to the state.
(2) Property that escheats shall be sold as provided in the Florida

Probate Rules and the proceeds paid to the Chief Financial Officer of the
state and deposited in the State School Fund.

(3) At any time within 10 years after the payment to the Chief Financial
Officer, a person claiming to be entitled to the proceeds may reopen the
administration to assert entitlement to the proceeds. If no claim is timely
asserted, the states rights to the proceeds shall become absolute.

(4) The Department of Legal Affairs shall represent the state in all
proceedings concerning escheated estates.
(5)(a) If a person entitled to the proceeds assigns the rights to receive
payment to an attorney, Florida-certified public accountant, or private
investigative agency which is duly licensed to do business in this state
pursuant to a written agreement with that person, the Department of
Financial Services is authorized to make distribution in accordance with
the assignment.
(b) Payments made to an attorney, Florida-certified public accountant, or

private investigative agency shall be promptly deposited into a trust or
escrow account which is regularly maintained by the attorney, Florida-
certified public accountant, or private investigative agency in a financial
institution authorized to accept such deposits and located in this state.

(c) Distribution by the attorney, Florida-certified public accountant, or
private investigative agency to the person entitled to the proceeds shall be
made within 10 days following final credit of the deposit into the trust or
escrow account at the financial institution, unless a party to the agreement
protests the distribution in writing before it is made.

(d) The department shall not be civilly or criminally liable for any proceeds
distributed pursuant to this subsection, provided such distribution is made in
good faith.



HISTORY:
S. 1, ch. 74-106; s. 10, ch. 75-220; s. 4, ch. 89-291; s. 9, ch. 89-299; s. 953,

ch. 97-102; s. 32, ch. 2001-36; s. 17, ch. 2001-226; s. 1896, ch. 2003-261.

Editors notes.
Created from former s. 731.33.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.108. 
Fla. Stat.  732.108

 732.108. Adopted persons and persons born out of wedlock.
(1) For the purpose of intestate succession by or from an adopted person,

the adopted person is a descendant of the adopting parent and is one of the
natural kindred of all members of the adopting parents family, and is not a
descendant of his or her natural parents, nor is he or she one of the kindred
of any member of the natural parents family or any prior adoptive parents
family, except that:
(a) Adoption of a child by the spouse of a natural parent has no effect on

the relationship between the child and the natural parent or the natural
parents family.

(b) Adoption of a child by a natural parents spouse who married the
natural parent after the death of the other natural parent has no effect on the
relationship between the child and the family of the deceased natural parent.

(c) Adoption of a child by a close relative, as defined in s. 63.172(2), has
no effect on the relationship between the child and the families of the
deceased natural parents.

(2) For the purpose of intestate succession in cases not covered by
subsection (1), a person born out of wedlock is a descendant of his or her
mother and is one of the natural kindred of all members of the mothers
family. The person is also a descendant of his or her father and is one of
the natural kindred of all members of the fathers family, if:
(a) The natural parents participated in a marriage ceremony before or after

the birth of the person born out of wedlock, even though the attempted
marriage is void.

(b) The paternity of the father is established by an adjudication before or
after the death of the father. Chapter 95 shall not apply in determining heirs
in a probate proceeding under this paragraph.

(c) The paternity of the father is acknowledged in writing by the father.

HISTORY:



S. 1, ch. 74-106; s. 11, ch. 75-220; s. 7, ch. 77-87; s. 1, ch. 77-174; s. 2, ch.
87-27; s. 954, ch. 97-102; s. 8, ch. 2007-74, eff. July 1, 2007; s. 2, ch. 2009-
115, eff. July 1, 2009.

Editors notes.
Created from former ss. 731.29, 731.30.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.1081. 
Fla. Stat.  732.1081

 732.1081. Termination of parental rights.
For the purpose of intestate succession by a natural or adoptive parent, a

natural or adoptive parent is barred from inheriting from or through a child if
the natural or adoptive parents parental rights were terminated pursuant to
chapter 39 prior to the death of the child, and the natural or adoptive parent
shall be treated as if the parent predeceased the child.

HISTORY:
S. 4, ch. 2012-109, eff. July 1, 2012.

Editors notes.
The introductory language of s. 4, ch. 2012-109, provides: Effective July

1, 2012, and applicable only to estates of persons dying on or after July 1,
2012, section 732.1081, Florida Statutes, is created to read.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.109. 
Fla. Stat.  732.109

 732.109. Debts to decedent.
A debt owed to the decedent shall not be charged against the intestate share

of any person except the debtor. If the debtor does not survive the decedent,
the debt shall not be taken into account in computing the intestate share of the
debtors heirs.

HISTORY:
S. 1, ch. 74-106; s. 11, ch. 75-220.

Editors notes.
Created from former s. 736.01.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.1101. 
Fla. Stat.  732.1101

 732.1101. Aliens.
Aliens shall have the same rights of inheritance as citizens.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 955, ch. 97-102; s. 18, ch. 2001-226.

Editors notes.
Created from former s. 731.28.



 Title XLII. ,  Ch. 732. ,  Pt. I. ,   732.111. 
Fla. Stat.  732.111

 732.111. Dower and curtesy abolished.
Dower and curtesy are abolished.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220.



 Title XLII. ,  Ch. 732. ,  Pt. II. 
Fla. Stat. Title XLII, Ch. 732, Pt. II



PART II.
ELECTIVE SHARE OF SURVIVING SPOUSE; RIGHTS IN

COMMUNITY PROPERTY.
 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.201. 

Fla. Stat.  732.201

 732.201. Right to elective share.
The surviving spouse of a person who dies domiciled in Florida has the

right to a share of the elective estate of the decedent as provided in this part,
to be designated the elective share. The election does not reduce what the
spouse receives if the election were not made and the spouse is not treated as
having predeceased the decedent.

HISTORY:
S. 1, ch. 74-106; s. 13, ch. 75-220; s. 1, ch. 99-343; s. 3, ch. 2016-189,

effective July 1, 2016.

Editors notes.
Created from former s. 731.34.
Section 4, ch. 2016-189, provides: It is the intent of the Legislature that

the amendment to s. 732.201, Florida Statutes, made by this act is to clarify
existing law.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2025. 
Fla. Stat.  732.2025

 732.2025. Definitions.
As used in ss. 732.2025-732.2155, the term:

(1) Direct recipient means the decedents probate estate and any other
person who receives property included in the elective estate by transfer
from the decedent, including transfers described in s. 732.2035(9), by right
of survivorship, or by beneficiary designation under a governing
instrument. For this purpose, a beneficiary of an insurance policy on the
decedents life, the net cash surrender value of which is included in the
elective estate, is treated as having received property included in the
elective estate. In the case of property held in trust, direct recipient
includes the trustee but excludes the beneficiaries of the trust.

(2) Elective share trust means a trust under which:
(a) The surviving spouse is entitled for life to the use of the property or to

all of the income payable at least as often as annually;
(b) The surviving spouse has the right under the terms of the trust or state

law to require the trustee either to make the property productive or to convert
it within a reasonable time; and

(c) During the spouses life, no person other than the spouse has the power
to distribute income or principal to anyone other than the spouse.

As used in this subsection, the term income has the same meaning as that
provided in s. 643(b) of the Internal Revenue Code, as amended, and
regulations adopted under that section.

(3) General power of appointment means a power of appointment
under which the holder of the power, whether or not the holder has the
capacity to exercise it, has the power to create a present or future interest in
the holder, the holders estate, or the creditors of either. The term includes
a power to consume or invade the principal of a trust, but only if the power
is not limited by an ascertainable standard relating to the holders health,
education, support, or maintenance.

(4) Governing instrument means a deed; will; trust; insurance or



annuity policy; account with payable-on-death designation; security
registered in beneficiary form (TOD); pension, profit-sharing, retirement,
or similar benefit plan; an instrument creating or exercising a power of
appointment or a power of attorney; or a dispositive, appointive, or
nominative instrument of any similar type.

(5) Payor means an insurer, business entity, employer, government,
governmental agency or subdivision, or any other person, other than the
decedents personal representative or a trustee of a trust created by the
decedent, authorized or obligated by law or a governing instrument to
make payments.

(6) Person includes an individual, trust, estate, partnership,
association, company, or corporation.

(7) Probate estate means all property wherever located that is subject
to estate administration in any state of the United States or in the District of
Columbia.

(8) Qualifying special needs trust or supplemental needs trust means
a trust established for an ill or disabled surviving spouse with court
approval before or after a decedents death, if, commencing on the
decedents death:
(a) The income and principal are distributable to or for the benefit of the

spouse for life in the discretion of one or more trustees less than half of
whom are ineligible family trustees. For purposes of this paragraph, ineligible
family trustees include the decedents grandparents and any descendants of
the decedents grandparents who are not also descendants of the surviving
spouse; and

(b) During the spouses life, no person other than the spouse has the power
to distribute income or principal to anyone other than the spouse.

The requirement for court approval shall not apply if the aggregate value of
all property in all qualifying special needs trusts for the spouse is less than
$100,000. For purposes of this subsection, value is determined on the
applicable valuation date as defined in s. 732.2095(1)(a).

(9) Revocable trust means a trust that is includable in the elective
estate under s. 732.2035(5).



(10) Transfer in satisfaction of the elective share means an irrevocable
transfer by the decedent during life to an elective share trust.

(11) Transfer tax value means the value the interest would have for
purposes of the United States estate and gift tax laws if it passed without
consideration to an unrelated person on the applicable valuation date.

HISTORY:
S. 2, ch. 99-343; s. 19, ch. 2001-226; s. 2, ch. 2002-82; s. 151, ch. 2004-5;

s. 9, ch. 2007-74, eff. July 1, 2007; s. 3, ch. 2009-115, eff. July 1, 2009; s. 1,
ch. 2017-121, effective July 1, 2017.

Editors notes.
Section 643(b) of the Internal Revenue Code, referred to in this section, is

codified as 26 U.S.C.S.  643(b).



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2035. 
Fla. Stat.  732.2035

 732.2035. Property entering into elective estate.
Except as provided in s. 732.2045, the elective estate consists of the sum of

the values as determined under s. 732.2055 of the following property
interests:

(1) The decedents probate estate.
(2) The decedents interest in property which constitutes the protected

homestead of the decedent.
(3) The decedents ownership interest in accounts or securities registered

in Pay On Death, Transfer On Death, In Trust For, or co-ownership
with right of survivorship form. For this purpose, decedents ownership
interest means, in the case of accounts or securities held in tenancy by the
entirety, one-half of the value of the account or security, and in all other
cases, that portion of the accounts or securities which the decedent had,
immediately before death, the right to withdraw or use without the duty to
account to any person.

(4) The decedents fractional interest in property, other than property
described in subsection (3) or subsection (8), held by the decedent in joint
tenancy with right of survivorship or in tenancy by the entirety. For this
purpose, decedents fractional interest in property means the value of the
property divided by the number of tenants.

(5) That portion of property, other than property described in
subsections (2) and (3), transferred by the decedent to the extent that at the
time of the decedents death the transfer was revocable by the decedent
alone or in conjunction with any other person. This subsection does not
apply to a transfer that is revocable by the decedent only with the consent
of all persons having a beneficial interest in the property.
(6)(a) That portion of property, other than property described in subsection
(2), subsection (4), subsection (5), or subsection (8), transferred by the
decedent to the extent that at the time of the decedents death:
1. The decedent possessed the right to, or in fact enjoyed the possession or

use of, the income or principal of the property; or



2. The principal of the property could, in the discretion of any person other
than the spouse of the decedent, be distributed or appointed to or for the
benefit of the decedent.

In the application of this subsection, a right to payments under a
commercial or private annuity, an annuity trust, a unitrust, or a similar
arrangement shall be treated as a right to that portion of the income of the
property necessary to equal the annuity, unitrust, or other payment.

(b) The amount included under this subsection is:
1. With respect to subparagraph (a)1., the value of the portion of the

property to which the decedents right or enjoyment related, to the extent the
portion passed to or for the benefit of any person other than the decedents
probate estate; and

2. With respect to subparagraph (a)2., the value of the portion subject to
the discretion, to the extent the portion passed to or for the benefit of any
person other than the decedents probate estate.

(c) This subsection does not apply to any property if the decedents only
interests in the property are that:

1. The property could be distributed to or for the benefit of the decedent
only with the consent of all persons having a beneficial interest in the
property; or

2. The income or principal of the property could be distributed to or for the
benefit of the decedent only through the exercise or in default of an exercise
of a general power of appointment held by any person other than the
decedent; or

3. The income or principal of the property is or could be distributed in
satisfaction of the decedents obligation of support; or

4. The decedent had a contingent right to receive principal, other than at
the discretion of any person, which contingency was beyond the control of
the decedent and which had not in fact occurred at the decedents death.

(7) The decedents beneficial interest in the net cash surrender value
immediately before death of any policy of insurance on the decedents life.

(8) The value of amounts payable to or for the benefit of any person by



reason of surviving the decedent under any public or private pension,
retirement, or deferred compensation plan, or any similar arrangement,
other than benefits payable under the federal Railroad Retirement Act or
the federal Social Security System. In the case of a defined contribution
plan as defined in s. 414(i) of the Internal Revenue Code of 1986, as
amended, this subsection shall not apply to the excess of the proceeds of
any insurance policy on the decedents life over the net cash surrender
value of the policy immediately before the decedents death.

(9) Property that was transferred during the 1-year period preceding the
decedents death as a result of a transfer by the decedent if the transfer was
either of the following types:
(a) Any property transferred as a result of the termination of a right or

interest in, or power over, property that would have been included in the
elective estate under subsection (5) or subsection (6) if the right, interest, or
power had not terminated until the decedents death.

(b) Any transfer of property to the extent not otherwise included in the
elective estate, made to or for the benefit of any person, except:

1. Any transfer of property for medical or educational expenses to the
extent it qualifies for exclusion from the United States gift tax under s.
2503(e) of the Internal Revenue Code, as amended; and

2. After the application of subparagraph 1., the first annual exclusion
amount of property transferred to or for the benefit of each donee during the
1-year period, but only to the extent the transfer qualifies for exclusion from
the United States gift tax under s. 2503(b) or (c) of the Internal Revenue
Code, as amended. For purposes of this subparagraph, the term annual
exclusion amount means the amount of one annual exclusion under s.
2503(b) or (c) of the Internal Revenue Code, as amended.

(c) Except as provided in paragraph (d), for purposes of this subsection:
1. A termination with respect to a right or interest in property occurs

when the decedent transfers or relinquishes the right or interest, and, with
respect to a power over property, a termination occurs when the power
terminates by exercise, release, lapse, default, or otherwise.

2. A distribution from a trust the income or principal of which is subject to
subsection (5), subsection (6), or subsection (10) shall be treated as a transfer



of property by the decedent and not as a termination of a right or interest in,
or a power over, property.

(d) Notwithstanding anything in paragraph (c) to the contrary:
1. A termination with respect to a right or interest in property does not

occur when the right or interest terminates by the terms of the governing
instrument unless the termination is determined by reference to the death of
the decedent and the court finds that a principal purpose for the terms of the
instrument relating to the termination was avoidance of the elective share.

2. A distribution from a trust is not subject to this subsection if the
distribution is required by the terms of the governing instrument unless the
event triggering the distribution is determined by reference to the death of the
decedent and the court finds that a principal purpose of the terms of the
governing instrument relating to the distribution is avoidance of the elective
share.

(10) Property transferred in satisfaction of the elective share.

HISTORY:
S. 15, ch. 75-220; s. 3, ch. 99-343; s. 20, ch. 2001-226; s. 10, ch. 2007-74,

eff. July 1, 2007; s. 2, ch. 2017-121, effective July 1, 2017.

Editors notes.
Former s. 732.206.
Sections 414(i) and 2503 of the Internal Revenue Code, referred to in this

section, are codified as 26 U.S.C.S. n 414(i) and 2503, respectively.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2045. 
Fla. Stat.  732.2045

 732.2045. Exclusions and overlapping application.
(1) Exclusions.  Section 732.2035 does not apply to:

(a) Except as provided in s. 732.2155(4), any transfer of property by the
decedent to the extent the transfer is irrevocable before the effective date of
this subsection or after that date but before the date of the decedents
marriage to the surviving spouse.

(b) Any transfer of property by the decedent to the extent the decedent
received adequate consideration in money or moneys worth for the transfer.

(c) Any transfer of property by the decedent made with the written consent
of the decedents spouse. For this purpose, spousal consent to split-gift
treatment under the United States gift tax laws does not constitute written
consent to the transfer by the decedent.

(d) The proceeds of any policy of insurance on the decedents life in excess
of the net cash surrender value of the policy whether payable to the
decedents estate, a trust, or in any other manner.

(e) Any policy of insurance on the decedents life maintained pursuant to a
court order.

(f) The decedents one-half of the property to which ss. 732.216-732.228,
or any similar provisions of law of another state, apply and real property that
is community property under the laws of the jurisdiction where it is located.

(g) Property held in a qualifying special needs trust on the date of the
decedents death.

(h) Property included in the gross estate of the decedent for federal estate
tax purposes solely because the decedent possessed a general power of
appointment.

(i) Property which constitutes the protected homestead of the
decedent if the surviving spouse validly waived his or her homestead
rights as provided under s. 732.702, or otherwise under applicable
law, and such spouse did not receive any interest in the protected
homestead upon the decedents death.



(2) Overlapping application.  If s. 732.2035(1) and any other
subsection of s. 732.2035 apply to the same property interest, the amount
included in the elective estate under other subsections is reduced by the
amount included under subsection (1). In all other cases, if more than one
subsection of s. 732.2035 applies to a property interest, only the subsection
resulting in the largest elective estate shall apply.

HISTORY:
S. 4, ch. 99-343; s. 21, ch. 2001-226; s. 4, ch. 2009-115, eff. July 1, 2009;

s. 3, ch. 2017-121, effective July 1, 2017.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2055. 
Fla. Stat.  732.2055

 732.2055. Valuation of the elective estate. 
For purposes of s. 732.2035, value means:
(1)(a) In the case of protected homestead:
1. If the surviving spouse receives a fee simple interest, the fair market

value of the protected homestead on the date of the decedents death.
2. If the spouse takes a life estate as provided in s. 732.401(1), or validly

elects to take an undivided one-half interest as a tenant in common as
provided in s. 732.401(2), one-half of the fair market value of the protected
homestead on the date of the decedents death.

3. If the surviving spouse validly waived his or her homestead rights as
provided under s. 732.702 or otherwise under applicable law, but
nevertheless receives an interest in the protected homestead, other than an
interest described in s. 732.401, including an interest in trust, the value of the
spouses interest is determined as property interests that are not protected
homestead.

(b) For purposes of this subsection, fair market value shall be calculated by
deducting from the total value of the property all mortgages, liens, and
security interests to which the protected homestead is subject and for which
the decedent is liable, but only to the extent that such amount is not otherwise
deducted as a claim paid or payable from the elective estate.

(2) In the case of any policy of insurance on the decedents life
includable under s. 732.2035(5), (6), or (7), the net cash surrender value of
the policy immediately before the decedents death.

(3) In the case of any policy of insurance on the decedents life
includable under s. 732.2035(9), the net cash surrender value of the policy
on the date of the termination or transfer.

(4) In the case of amounts includable under s. 732.2035(8), the transfer
tax value of the amounts on the date of the decedents death.

(5) In the case of other property included under s. 732.2035(9), the fair
market value of the property on the date of the termination or transfer,



computed after deducting any mortgages, liens, or security interests on the
property as of that date.

(6) In the case of all other property, the fair market value of the property
on the date of the decedents death, computed after deducting from the
total value of the property:
(a) All claims paid or payable from the elective estate; and
(b) To the extent they are not deducted under paragraph (a), all mortgages,

liens, or security interests on the property.

HISTORY:
S. 5, ch. 99-343; s. 22, ch. 2001-226; s. 4, ch. 2017-121, effective July 1,

2017.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2065. 
Fla. Stat.  732.2065

 732.2065. Amount of the elective share.
The elective share is an amount equal to 30 percent of the elective estate.

HISTORY:
S. 15, ch. 75-220; s. 1, ch. 81-27; s. 6, ch. 99-343.

Editors notes.
Former s. 732.207.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2075. 
Fla. Stat.  732.2075

 732.2075. Sources from which elective share payable; abatement.
(1) Unless otherwise provided in the decedents will or, in the absence

of a provision in the decedents will, in a trust referred to in the decedents
will, the following are applied first to satisfy the elective share:
(a) Property interests included in the elective estate that pass or have

passed to or for the benefit of the surviving spouse, including interests that
are contingent upon making the election, but only to the extent that such
contingent interests do not diminish other property interests that would be
applied to satisfy the elective share in the absence of the contingent interests.

(b) To the extent paid to or for the benefit of the surviving spouse, amounts
payable under any plan or arrangement described in s. 732.2035(8).

(c) To the extent paid to or for the benefit of the surviving spouse, the
decedents one-half of any property described in s. 732.2045(1)(f).

(d) To the extent paid to or for the benefit of the surviving spouse, the
proceeds of any term or other policy of insurance on the decedents life if, at
the time of decedents death, the policy was owned by any person other than
the surviving spouse.

(e) Property held for the benefit of the surviving spouse in a qualifying
special needs trust.

(f) Property interests that would have satisfied the elective share under any
preceding paragraph of this subsection but were disclaimed.

(2) If, after the application of subsection (1), the elective share is not
fully satisfied, the unsatisfied balance shall be allocated entirely to one
class of direct recipients of the remaining elective estate and apportioned
among those recipients, and if the elective share amount is not fully
satisfied, to the next class of direct recipients, in the following order of
priority, until the elective share amount is satisfied:
(a) Class 1. The decedents probate estate and revocable trusts.
(b) Class 2. Recipients of property interests, other than protected charitable

interests, included in the elective estate under s. 732.2035(3), (4), or (7) and,



to the extent the decedent had at the time of death the power to designate the
recipient of the property, property interests, other than protected charitable
interests, included under s. 732.2035(6) and (8).

(c) Class 3. Recipients of all other property interests, other than protected
charitable interests, included in the elective estate.

For purposes of this subsection, a protected charitable interest is any
interest for which a charitable deduction with respect to the transfer of the
property was allowed or allowable to the decedent or the decedents spouse
under the United States gift or income tax laws.

(3) If, after the application of subsections (1) and (2), the elective share
amount is not fully satisfied, the additional amount due to the surviving
spouse shall be determined and satisfied as follows:
(a) The remaining unsatisfied balance shall be satisfied from property

described in paragraphs (1)(a) and (b) which passes or which has passed in a
trust in which the surviving spouse has a beneficial interest, other than an
elective share trust or a qualified special needs trust.

(b) In determining the amount of the remaining unsatisfied balance, the
effect, if any, of any change caused by the operation of this subsection in the
value of the spouses beneficial interests in property described in paragraphs
(1)(a) and (b) shall be taken into account, including, if necessary, further
recalculations of the value of those beneficial interests.

(c) If there is more than one trust to which this subsection could apply,
unless otherwise provided in the decedents will or, in the absence of a
provision in the decedents will, in a trust referred to in the decedents will,
the unsatisfied balance shall be apportioned pro rata to all such trusts in
proportion to the value, as determined under s. 732.2095(2)(f), of the
surviving spouses beneficial interests in the trusts.

(4) If, after the application of subsections (1), (2), and (3), the elective
share is not fully satisfied, any remaining unsatisfied balance shall be
satisfied from direct recipients of protected charitable lead interests, but
only to the extent and at such times that contribution is permitted without
disqualifying the charitable interest in that property for a deduction under
the United States gift tax laws. For purposes of this subsection, a protected
charitable lead interest is a protected charitable interest as defined in



subsection (2) in which one or more deductible interests in charity precede
some other nondeductible interest or interests in the property.

(5) The contribution required of the decedents probate estate and
revocable trusts may be made in cash or in kind. In the application of this
subsection, subsections (6) and (7) are to be applied to charge contribution
for the elective share to the beneficiaries of the probate estate and
revocable trusts as if all beneficiaries were taking under a common
governing instrument.

(6) Unless otherwise provided in the decedents will or, in the absence
of a provision in the decedents will, in a trust referred to in the decedents
will, any amount to be satisfied from the decedents probate estate, other
than from property passing to an inter vivos trust, shall be paid from the
assets of the probate estate in the order prescribed in s. 733.805.

(7) Unless otherwise provided in the trust instrument or, in the
decedents will if there is no provision in the trust instrument, any amount
to be satisfied from trust property shall be paid from the assets of the trust
in the order provided for claims under s. 736.05053(2) and (3). A direction
in the decedents will is effective only for revocable trusts.

HISTORY:
S. 15, ch. 75-220; s. 7, ch. 99-343; s. 23, ch. 2001-226; s. 4, ch. 2002-82; s.

31, ch. 2006-217, eff. July 1, 2007; s. 11, ch. 2007-74, eff. July 1, 2007; s. 5,
ch. 2009-115, eff. July 1, 2009; s. 5, ch. 2017-121, effective July 1, 2017.

Editors notes.
Former s. 732.209.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2085. 
Fla. Stat.  732.2085

 732.2085. Liability of direct recipients and beneficiaries.
(1) Only direct recipients of property included in the elective estate and

the beneficiaries of the decedents probate estate or of any trust that is a
direct recipient, are liable to contribute toward satisfaction of the elective
share.
(a) Within each of the classes described in s. 732.2075(2)(b) and (c), each

direct recipient is liable in an amount equal to the value, as determined under
s. 732.2055, of the proportional part of the liability for all members of the
class.

(b) Trust and probate estate beneficiaries who receive a distribution of
principal after the decedents death are liable in an amount equal to the value
of the principal distributed to them multiplied by the contribution percentage
of the distributing trust or estate. For this purpose, contribution percentage
means the remaining unsatisfied balance of the trust or estate at the time of
the distribution divided by the value of the trust or estate as determined under
s. 732.2055. Remaining unsatisfied balance means the amount of liability
initially apportioned to the trust or estate reduced by amounts or property
previously contributed by any person in satisfaction of that liability.

(2) In lieu of paying the amount for which they are liable, beneficiaries
who have received a distribution of property included in the elective estate
and direct recipients other than the decedents probate estate or revocable
trusts, may:
(a) Contribute a proportional part of all property received; or
(b) With respect to any property interest received before the date of the

courts order of contribution:
1. Contribute all of the property; or
2. If the property has been sold or exchanged prior to the date on which the

spouses election is filed, pay an amount equal to the value of the property,
less reasonable costs of sale, on the date it was sold or exchanged.

In the application of paragraph (a), the proportional part of all property



received is determined separately for each class of priority under s.
732.2075(2).

(3) If a person pays the value of the property on the date of a sale or
exchange or contributes all of the property received, as provided in
paragraph (2)(b):
(a) No further contribution toward satisfaction of the elective share shall be

required with respect to that property. However, if a persons required
contribution is not fully paid by 2 years after the date of the death of the
decedent, such person must also pay interest at the statutory rate on any
portion of the required contribution that remains unpaid.

(b) Any unsatisfied contribution is treated as additional unsatisfied balance
and reapportioned to other recipients as provided in s. 732.2075 and this
section.

(4) If any part of s. 732.2035 or s. 732.2075 is preempted by federal law
with respect to a payment, an item of property, or any other benefit
included in the elective estate, a person who, not for value, receives the
payment, item of property, or any other benefit is obligated to return the
payment, item of property, or benefit, or is personally liable for the amount
of the payment or the value of that item of property or benefit, as provided
in ss. 732.2035 and 732.2075, to the person who would have been entitled
to it were that section or part of that section not preempted.

HISTORY:
S. 8, ch. 99-343; s. 24, ch. 2001-226; s. 6, ch. 2009-115, eff. July 1, 2009;

s. 6, ch. 2017-121, effective July 1, 2017.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2095. 
Fla. Stat.  732.2095

 732.2095. Valuation of property used to satisfy elective share.
(1) Definitions.  As used in this section, the term:

(a) Applicable valuation date means:
1. In the case of transfers in satisfaction of the elective share, the date of

the decedents death.
2. In the case of property held in a qualifying special needs trust on the

date of the decedents death, the date of the decedents death.
3. In the case of other property irrevocably transferred to or for the benefit

of the surviving spouse during the decedents life, the date of the transfer.
4. In the case of property distributed to the surviving spouse by the

personal representative, the date of distribution.
5. Except as provided in subparagraphs 1., 2., and 3., in the case of

property passing in trust for the surviving spouse, the date or dates the trust is
funded in satisfaction of the elective share.

6. In the case of property described in s. 732.2035(2), (3), or (4), the date
of the decedents death.

7. In the case of proceeds of any policy of insurance payable to the
surviving spouse, the date of the decedents death.

8. In the case of amounts payable to the surviving spouse under any plan or
arrangement described in s. 732.2035(8), the date of the decedents death.

9. In all other cases, the date of the decedents death or the date the
surviving spouse first comes into possession of the property, whichever
occurs later.

(b) Qualifying power of appointment means a general power of
appointment that is exercisable alone and in all events by the decedents
spouse in favor of the spouse or the spouses estate. For this purpose, a
general power to appoint by will is a qualifying power of appointment if the
power may be exercised by the spouse in favor of the spouses estate without
the consent of any other person.



(c) Qualifying invasion power means a power held by the surviving
spouse or the trustee of an elective share trust to invade trust principal for the
health, support, and maintenance of the spouse. The power may, but need not,
provide that the other resources of the spouse are to be taken into account in
any exercise of the power.

(2) Except as provided in this subsection, the value of property for
purposes of s. 732.2075 is the fair market value of the property on the
applicable valuation date.
(a) If the surviving spouse has a life interest in property not in trust that

entitles the spouse to the use of the property for life, including, without
limitation, a life estate in protected homestead as provided in s. 732.401(1),
the value of the spouses interest is one-half of the value of the property on
the applicable valuation date.

(b) If the surviving spouse elects to take an undivided one-half interest in
protected homestead as a tenant in common as provided in s. 732.401(2), the
value of the spouses interest is one-half of the value of the property on the
applicable valuation date.

(c) If the surviving spouse validly waived his or her homestead rights as
provided in s. 732.702 or otherwise under applicable law but nevertheless
receives an interest in protected homestead, other than an interest described in
s. 732.401, including, without limitation, an interest in trust, the value of the
spouses interest is determined as property interests that are not protected
homestead.

(d) If the surviving spouse has an interest in a trust, or portion of a trust,
which meets the requirements of an elective share trust, the value of the
spouses interest is a percentage of the value of the principal of the trust, or
trust portion, on the applicable valuation date as follows:

1. One hundred percent if the trust instrument includes both a qualifying
invasion power and a qualifying power of appointment.

2. Eighty percent if the trust instrument includes a qualifying invasion
power but no qualifying power of appointment.

3. Fifty percent in all other cases.
(e) If the surviving spouse is a beneficiary of a trust, or portion of a trust,



which meets the requirements of a qualifying special needs trust, the value of
the principal of the trust, or trust portion, on the applicable valuation date.

(f) If the surviving spouse has an interest in a trust that does not meet the
requirements of either an elective share trust or a qualifying special needs
trust, the value of the spouses interest is the transfer tax value of the interest
on the applicable valuation date; however, the aggregate value of all of the
spouses interests in the trust shall not exceed one-half of the value of the
trust principal on the applicable valuation date.

(g) In the case of any policy of insurance on the decedents life the
proceeds of which are payable outright or to a trust described in paragraph
(d), paragraph (e), or paragraph (f), the value of the policy for purposes of s.
732.2075 and paragraphs (d), (e), and (f) is the net proceeds.

(h) In the case of a right to one or more payments from an annuity or under
a similar contractual arrangement or under any plan or arrangement described
in s. 732.2035(8), the value of the right to payments for purposes of s.
732.2075 and paragraphs (d), (e), and (f) is the transfer tax value of the right
on the applicable valuation date.

HISTORY:
S. 9, ch. 99-343; s. 25, ch. 2001-226; s. 7, ch. 2017-121, effective July 1,

2017.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2105. 
Fla. Stat.  732.2105

 732.2105. Effect of election on other interests.
The elective share shall be in addition to homestead, exempt property, and

allowances as provided in part IV.

HISTORY:
S. 15, ch. 75-220; s. 10, ch. 99-343; s. 26, ch. 2001-226.

Editors notes.
Former s. 732.208.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2115. 
Fla. Stat.  732.2115

 732.2115. Protection of payors and other third parties. 
Although a property interest is included in the decedents elective estate

under s. 732.2035(3)-(9), a payor or other third party is not liable for paying,
distributing, or transferring the property to a beneficiary designated in a
governing instrument, or for taking any other action in good faith reliance on
the validity of a governing instrument.

HISTORY:
S. 11, ch. 99-343; s. 8, ch. 2017-121, effective July 1, 2017.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2125. 
Fla. Stat.  732.2125

 732.2125. Right of election; by whom exercisable.
The right of election may be exercised:

(1) By the surviving spouse.
(2) With approval of the court having jurisdiction of the probate

proceeding by an attorney in fact or a guardian of the property of the
surviving spouse. Before approving the election, the court shall determine
that the election is in the best interests of the surviving spouse during the
spouses probable lifetime.

HISTORY:
S. 15, ch. 75-220; s. 12, ch. 99-343; s. 27, ch. 2001-226; s. 6, ch. 2010-132,

eff. Oct. 1, 2010.

Editors notes.
Former s. 732.210.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2135. 
Fla. Stat.  732.2135

 732.2135. Time of election; extensions; withdrawal.
(1) Except as provided in subsection (2), the election must be filed on or

before the earlier of the date that is 6 months after the date of service of a
copy of the notice of administration on the surviving spouse, or an attorney
in fact or guardian of the property of the surviving spouse, or the date that
is 2 years after the date of the decedents death.

(2) Within the period provided in subsection (1), or 40 days after the
date of termination of any proceeding which affects the amount the spouse
is entitled to receive under s. 732.2075(1), whichever is later, but no more
than 2 years after the decedents death, the surviving spouse or an attorney
in fact or guardian of the property of the surviving spouse may petition the
court for an extension of time for making an election. For good cause
shown, the court may extend the time for election. If the court grants the
petition for an extension, the election must be filed within the time allowed
by the extension.

(3) The surviving spouse or an attorney in fact, guardian of the property,
or personal representative of the surviving spouse may withdraw an
election at any time within 8 months after the decedents death and before
the courts order of contribution.

(4) A petition for an extension of the time for making the election or for
approval to make the election shall toll the time for making the election.

HISTORY:
S. 15, ch. 75-220; s. 13, ch. 99-343; s. 28, ch. 2001-226; s. 4, ch. 2006-134,

eff. July 1, 2006; s. 7, ch. 2009-115, eff. July 1, 2009; s. 9, ch. 2017-121,
effective July 1, 2017.

Editors notes.
Former s. 732.212.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2145. 
Fla. Stat.  732.2145

 732.2145. Order of contribution; personal representatives duty to
collect contribution.
(1) The court shall determine the elective share and contribution. Any

amount of the elective share not satisfied within 2 years of the date of
death of the decedent shall bear interest at the statutory rate until fully
satisfied, even if an order of contribution has not yet been entered.
Contributions shall bear interest at the statutory rate beginning 90 days
after the order of contribution. The order is prima facie correct in
proceedings in any court or jurisdiction.

(2) Except as provided in subsection (3), the personal representative
shall collect contribution from the recipients of the elective estate as
provided in the courts order of contribution.
(a) If property within the possession or control of the personal

representative is distributable to a beneficiary or trustee who is required to
contribute in satisfaction of the elective share, the personal representative
shall withhold from the distribution the contribution required of the
beneficiary or trustee.

(b) If, after the order of contribution, the personal representative brings an
action to collect contribution from property not within the personal
representatives control, the judgment shall include the personal
representatives costs and reasonable attorneys fees. The personal
representative is not required to seek collection of any portion of the elective
share from property not within the personal representatives control until after
the entry of the order of contribution.

(3) A personal representative who has the duty under this section of
enforcing contribution may be relieved of that duty by an order of the court
finding that it is impracticable to enforce contribution in view of the
improbability of obtaining a judgment or the improbability of collection
under any judgment that might be obtained, or otherwise. The personal
representative shall not be liable for failure to attempt collection if the
attempt would have been economically impracticable.

(4) Nothing in this section limits the independent right of the surviving



spouse to collect the elective share as provided in the order of contribution,
and that right is hereby conferred. If the surviving spouse brings an action
to enforce the order, the judgment shall include the surviving spouses
costs and reasonable attorneys fees.

HISTORY:
S. 14, ch. 99-343; s. 29, ch. 2001-226; s. 10, ch. 2017-121, effective July 1,

2017.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2151. 
Fla. Stat.  732.2151

 732.2151. Award of fees and costs in elective share proceedings.
(1) The court may award taxable costs as in chancery actions, including

attorney fees, in any proceeding under this part in which there is an
objection to or dispute over:
(a) The entitlement to or the amount of the elective share;
(b) The property interests included in the elective estate, or its value; or
(c) The satisfaction of the elective share.

(2) When awarding taxable costs or attorney fees, the court may do one
or more of the following:
(a) Direct payment from the estate.
(b) Direct payment from a partys interest in the elective share or the

elective estate.
(c) Enter a judgment that can be satisfied from other property of the party.

(3) In addition to any of the fees that may be awarded under subsections
(1) and (2), if the personal representative does not file a petition to
determine the amount of the elective share as required by the Florida
Probate Rules, the electing spouse or the attorney in fact, guardian of the
property, or personal representative of the electing spouse may be awarded
from the estate reasonable costs, including attorney fees, incurred in
connection with the preparation and filing of the petition.

(4) This section applies to all proceedings commenced on or after July 1,
2017, without regard to the date of the decedents death.

HISTORY:
S. 11, ch. 2017-121, effective July 1, 2017.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.2155. 
Fla. Stat.  732.2155

 732.2155. Effective date; effect of prior waivers; transition rules.
(1) Sections 732.201-732.2155 are effective on October 1, 1999, for all

decedents dying on or after October 1, 2001. The law in effect prior to
October 1, 1999, applies to decedents dying before October 1, 2001.

(2) Nothing in ss. 732.201-732.2155 modifies or applies to the rights of
spouses under chapter 61.

(3) A waiver of elective share rights before the effective date of this
section which is otherwise in compliance with the requirements of s.
732.702 is a waiver of all rights under ss. 732.201-732.2145.

(4) Notwithstanding anything in s. 732.2045(1)(a) to the contrary, any
trust created by the decedent before the effective date of ss. 732.201-
732.2145 that meets the requirements of an elective share trust is treated as
if the decedent created the trust after the effective date of these sections
and in satisfaction of the elective share.

(5) Sections 732.201-732.2155 do not affect any interest in contracts
entered into for adequate consideration in money or moneys worth before
October 1, 1999, to the extent that the contract was irrevocable at all times
from October 1, 1999, until the date of the decedents death.

(6) Sections 732.201-732.2155 do not affect any interest in property
held, as of the decedents death, in a trust, whether revocable or
irrevocable, if:
(a) The property was an asset of the trust at all times between October 1,

1999, and the date of the decedents death;
(b) The decedent was not married to the decedents surviving spouse when

the property was transferred to the trust; and
(c) The property was a nonmarital asset as defined in s. 61.075

immediately prior to the decedents death.

HISTORY:
S. 15, ch. 99-343; s. 30, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.216. 
Fla. Stat.  732.216

 732.216. Short title.
Sections 732.216-732.228 may be cited as the Florida Uniform

Disposition of Community Property Rights at Death Act.

HISTORY:
S. 4, ch. 92-200.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.217. 
Fla. Stat.  732.217

 732.217. Application.
Sections 732.216-732.228 apply to the disposition at death of the following

property acquired by a married person:
(1) Personal property, wherever located, which:

(a) Was acquired as, or became and remained, community property under
the laws of another jurisdiction;

(b) Was acquired with the rents, issues, or income of, or the proceeds from,
or in exchange for, community property; or

(c) Is traceable to that community property.
(2) Real property, except real property held as tenants by the entirety,

which is located in this state, and which:
(a) Was acquired with the rents, issues, or income of, the proceeds from, or

in exchange for, property acquired as, or which became and remained,
community property under the laws of another jurisdiction; or

(b) Is traceable to that community property.

HISTORY:
S. 5, ch. 92-200; s. 4, ch. 2003-154.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.218. 
Fla. Stat.  732.218

 732.218. Rebuttable presumptions.
In determining whether ss. 732.216-732.228 apply to specific property, the

following rebuttable presumptions apply:
(1) Property acquired during marriage by a spouse of that marriage

while domiciled in a jurisdiction under whose laws property could then be
acquired as community property is presumed to have been acquired as, or
to have become and remained, property to which these sections apply.

(2) Real property located in this state, other than homestead and real
property held as tenants by the entirety, and personal property wherever
located acquired by a married person while domiciled in a jurisdiction
under whose laws property could not then be acquired as community
property and title to which was taken in a form which created rights of
survivorship are presumed to be property to which these sections do not
apply.

HISTORY:
S. 6, ch. 92-200; s. 31, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.219. 
Fla. Stat.  732.219

 732.219. Disposition upon death.
Upon the death of a married person, one-half of the property to which ss.

732.216-732.228 apply is the property of the surviving spouse and is not
subject to testamentary disposition by the decedent or distribution under the
laws of succession of this state. One-half of that property is the property of
the decedent and is subject to testamentary disposition or distribution under
the laws of succession of this state. The decedents one-half of that property
is not in the elective estate.

HISTORY:
S. 7, ch. 92-200; s. 32, ch. 2001-226; s. 107, ch. 2002-1.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.221. 
Fla. Stat.  732.221

 732.221. Perfection of title of personal representative or beneficiary.
If the title to any property to which ss. 732.216-732.228 apply is held by

the surviving spouse at the time of the decedents death, the personal
representative or a beneficiary of the decedent may institute an action to
perfect title to the property. The personal representative has no duty to
discover whether any property held by the surviving spouse is property to
which ss. 732.216-732.228 apply, unless a written demand is made by a
beneficiary within 3 months after service of a copy of the notice of
administration on the beneficiary or by a creditor within 3 months after the
first publication of the notice to creditors.

HISTORY:
S. 8, ch. 92-200; s. 33, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.222. 
Fla. Stat.  732.222

 732.222. Purchaser for value or lender.
(1) If a surviving spouse has apparent title to property to which ss.

732.216-732.228 apply, a purchaser for value or a lender taking a security
interest in the property takes the interest in the property free of any rights
of the personal representative or a beneficiary of the decedent.

(2) If a personal representative or a beneficiary of the decedent has
apparent title to property to which ss. 732.216-732.228 apply, a purchaser
for value or a lender taking a security interest in the property takes that
interest in the property free of any rights of the surviving spouse.

(3) A purchaser for value or a lender need not inquire whether a vendor
or borrower acted properly.

(4) The proceeds of a sale or creation of a security interest must be
treated as the property transferred to the purchaser for value or a lender.

HISTORY:
S. 9, ch. 92-200; s. 956, ch. 97-102; s. 34, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.223. 
Fla. Stat.  732.223

 732.223. Perfection of title of surviving spouse.
If the title to any property to which ss. 732.216-732.228 apply was held by

the decedent at the time of the decedents death, title of the surviving spouse
may be perfected by an order of the probate court or by execution of an
instrument by the personal representative or the beneficiaries of the decedent
with the approval of the probate court. The probate court in which the
decedents estate is being administered has no duty to discover whether
property held by the decedent is property to which ss. 732.216-732.228
apply. The personal representative has no duty to discover whether property
held by the decedent is property to which ss. 732.216-732.228 apply unless a
written demand is made by the surviving spouse or the spouses successor in
interest within 3 months after service of a copy of the notice of administration
on the surviving spouse or the spouses successor in interest.

HISTORY:
S. 10, ch. 92-200; s. 957, ch. 97-102; s. 35, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.224. 
Fla. Stat.  732.224

 732.224. Creditors rights.
Sections 732.216-732.228 do not affect rights of creditors with respect to

property to which ss. 732.216-732.228 apply.

HISTORY:
S. 11, ch. 92-200.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.225. 
Fla. Stat.  732.225

 732.225. Acts of married persons.
Sections 732.216-732.228 do not prevent married persons from severing or

altering their interests in property to which these sections apply. The
reinvestment of any property to which these sections apply in real property
located in this state which is or becomes homestead property creates a
conclusive presumption that the spouses have agreed to terminate the
community property attribute of the property reinvested.

HISTORY:
S. 12, ch. 92-200.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.226. 
Fla. Stat.  732.226

 732.226. Limitations on testamentary disposition.
Sections 732.216-732.228 do not authorize a person to dispose of property

by will if it is held under limitations imposed by law preventing testamentary
disposition by that person.

HISTORY:
S. 13, ch. 92-200.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.227. 
Fla. Stat.  732.227

 732.227. Homestead defined.
For purposes of ss. 732.216-732.228, the term homestead refers only to

property the descent and devise of which is restricted by s. 4(c), Art. X of the
State Constitution.

HISTORY:
S. 14, ch. 92-200.



 Title XLII. ,  Ch. 732. ,  Pt. II. ,   732.228. 
Fla. Stat.  732.228

 732.228. Uniformity of application and construction.
Sections 732.216-732.228 are to be so applied and construed as to

effectuate their general purpose to make uniform the law with respect to the
subject of these sections among those states which enact them.

HISTORY:
S. 15, ch. 92-200.



 Title XLII. ,  Ch. 732. ,  Pt. III. 
Fla. Stat. Title XLII, Ch. 732, Pt. III



PART III.
PRETERMITTED SPOUSE AND CHILDREN.

 Title XLII. ,  Ch. 732. ,  Pt. III. ,   732.301. 
Fla. Stat.  732.301

 732.301. Pretermitted spouse.
When a person marries after making a will and the spouse survives the

testator, the surviving spouse shall receive a share in the estate of the testator
equal in value to that which the surviving spouse would have received if the
testator had died intestate, unless:

(1) Provision has been made for, or waived by, the spouse by prenuptial
or postnuptial agreement;

(2) The spouse is provided for in the will; or
(3) The will discloses an intention not to make provision for the spouse.

The share of the estate that is assigned to the pretermitted spouse shall be
obtained in accordance with s. 733.805.

HISTORY:
S. 1, ch. 74-106; s. 16, ch. 75-220; s. 9, ch. 77-87.

Editors notes.
Created from former s. 731.10.



 Title XLII. ,  Ch. 732. ,  Pt. III. ,   732.302. 
Fla. Stat.  732.302

 732.302. Pretermitted children.
When a testator omits to provide by will for any of his or her children born

or adopted after making the will and the child has not received a part of the
testators property equivalent to a childs part by way of advancement, the
child shall receive a share of the estate equal in value to that which the child
would have received if the testator had died intestate, unless:

(1) It appears from the will that the omission was intentional; or
(2) The testator had one or more children when the will was executed

and devised substantially all the estate to the other parent of the
pretermitted child and that other parent survived the testator and is entitled
to take under the will.
The share of the estate that is assigned to the pretermitted child shall be
obtained in accordance with s. 733.805.

HISTORY:
S. 1, ch. 74-106; s. 16, ch. 75-220; s. 958, ch. 97-102; s. 36, ch. 2001-226.

Editors notes.
Created from former s. 731.11.



 Title XLII. ,  Ch. 732. ,  Pt. IV. 
Fla. Stat. Title XLII, Ch. 732, Pt. IV



PART IV.
EXEMPT PROPERTY AND ALLOWANCES.

 Title XLII. ,  Ch. 732. ,  Pt. IV. ,   732.401. 
Fla. Stat.  732.401

 732.401. Descent of homestead.
(1) If not devised as authorized by law and the constitution, the

homestead shall descend in the same manner as other intestate property;
but if the decedent is survived by a spouse and one or more descendants,
the surviving spouse shall take a life estate in the homestead, with a vested
remainder to the descendants in being at the time of the decedents death
per stirpes.

(2) In lieu of a life estate under subsection (1), the surviving spouse may
elect to take an undivided one-half interest in the homestead as a tenant in
common, with the remaining undivided one-half interest vesting in the
decedents descendants in being at the time of the decedents death, per
stirpes.
(a) The right of election may be exercised:
1. By the surviving spouse; or
2. With the approval of a court having jurisdiction of the real property, by

an attorney in fact or guardian of the property of the surviving spouse. Before
approving the election, the court shall determine that the election is in the
best interests of the surviving spouse during the spouses probable lifetime.

(b) The election must be made within 6 months after the decedents death
and during the surviving spouses lifetime. The time for making the election
may not be extended except as provided in paragraph (c).

(c) A petition by an attorney in fact or by a guardian of the property of the
surviving spouse for approval to make the election must be filed within 6
months after the decedents death and during the surviving spouses lifetime.
If the petition is timely filed, the time for making the election shall be
extended for at least 30 days after the rendition of the order allowing the
election.



(d) Once made, the election is irrevocable.
(e) The election must be made by filing a notice of election containing the

legal description of the homestead property for recording in the official
record books of the county or counties where the homestead property is
located. The notice must be in substantially the following form:

ELECTION OF SURVIVING SPOUSE TO TAKE A ONE-HALF
INTEREST OF DECEDENTS INTEREST IN HOMESTEAD PROPERTY

STATE OF ________________
COUNTY OF ________________

1. The decedent, ________________, died on ________. On the date of
the decedents death, The decedent was married to ________________, who
survived the decedent.

2. At the time of the decedents death, the decedent owned an interest in
real property that the affiant believes to be homestead property described in s.
4, Article X of the State Constitution, which real property being in
________________ County, Florida, and described as: (description of
homestead property).

3. Affiant elects to take one-half of decedents interest in the homestead as
a tenant in common in lieu of a life estate.

4. If affiant is not the surviving spouse, affiant is the surviving spouses
attorney in fact or guardian of the property, and an order has been rendered
by a court having jurisdiction of the real property authorizing the undersigned
to make this election.

_______________
(Affiant)

Sworn to (or affirmed) and subscribed before me by means of  physical
presence or  online notarization this ________ day of (month), (year), by
(affiant)
    
(Signature of Notary Public)
    



(Print, Type, or Stamp Commissioned Name of Notary Public)
    
Personally Known OR Produced Identification
    
(Type of Identification Produced)
    

(3) Unless and until an election is made under subsection (2), expenses
relating to the ownership of the homestead shall be allocated between the
surviving spouse, as life tenant, and the decedents descendants, as
remaindermen, in accordance with chapter 738. If an election is made,
expenses relating to the ownership of the homestead shall be allocated
between the surviving spouse and the descendants as tenants in common in
proportion to their respective shares, effective as of the date the election is
filed for recording.

(4) If the surviving spouses life estate created in subsection (1) is
disclaimed pursuant to chapter 739, the interests of the decedents
descendants may not be divested.

(5) This section does not apply to property that the decedent owned in
tenancy by the entireties or in joint tenancy with rights of survivorship.

HISTORY:
S. 1, ch. 74-106; s. 17, ch. 75-220; s. 37, ch. 2001-226; s. 12, ch. 2007-74,

eff. July 1, 2007; s. 7, ch. 2010-132, eff. Oct. 1, 2010; s. 3, ch. 2012-109, eff.
July 1, 2012; s. 4, ch. 2021-205, effective June 29, 2021.

Editors notes.
Created from former s. 731.27.
The introductory language of s. 3, ch. 2012-109, provides: Effective July

1, 2012, and applicable only to estates of persons dying on or after July 1,
2012, section 732.401, Florida Statutes, is amended to read.



 Title XLII. ,  Ch. 732. ,  Pt. IV. ,   732.4015. 
Fla. Stat.  732.4015

 732.4015. Devise of homestead.
(1) As provided by the Florida Constitution, the homestead shall not be

subject to devise if the owner is survived by a spouse or a minor child or
minor children, except that the homestead may be devised to the owners
spouse if there is no minor child or minor children.

(2) For the purposes of subsection (1), the term:
(a) Owner includes the grantor of a trust described in s. 733.707(3) that

is evidenced by a written instrument which is in existence at the time of the
grantors death as if the interest held in trust was owned by the grantor.

(b) Devise includes a disposition by trust of that portion of the trust
estate which, if titled in the name of the grantor of the trust, would be the
grantors homestead.

(3) If an interest in homestead has been devised to the surviving spouse
as authorized by law and the constitution, and the surviving spouses
interest is disclaimed, the disclaimed interest shall pass in accordance with
chapter 739.

HISTORY:
S. 1, ch. 74-106; ss. 18, 30, ch. 75-220; s. 16, ch. 92-200; s. 959, ch. 97-

102; s. 38, ch. 2001-226; s. 13, ch. 2007-74, eff. July 1, 2007; s. 8, ch. 2010-
132, eff. Oct. 1, 2010.



 Title XLII. ,  Ch. 732. ,  Pt. IV. ,   732.4017. 
Fla. Stat.  732.4017

 732.4017. Inter vivos transfer of homestead property.
(1) If the owner of homestead property transfers an interest in that

property, including a transfer in trust, with or without consideration, to one
or more persons during the owners lifetime, the transfer is not a devise for
purposes of s. 731.201(10) or s. 732.4015, and the interest transferred does
not descend as provided in s. 732.401 if the transferor fails to retain a
power, held in any capacity, acting alone or in conjunction with any other
person, to revoke or revest that interest in the transferor.

(2) As used in this section, the term transfer in trust refers to a trust
under which the transferor of the homestead property, alone or in
conjunction with another person, does not possess a right of revocation as
that term is defined in s. 733.707(3)(e). A power possessed by the
transferor which is exercisable during the transferors lifetime to alter the
beneficial use and enjoyment of the interest within a class of beneficiaries
identified only in the trust instrument is not a right of revocation if the
power may not be exercised in favor of the transferor, the transferors
creditors, the transferors estate, or the creditors of the transferors estate or
exercised to discharge the transferors legal obligations. This subsection
does not create an inference that a power not described in this subsection is
a power to revoke or revest an interest in the transferor.

(3) The transfer of an interest in homestead property described in
subsection (1) may not be treated as a devise of that interest even if:
(a) The transferor retains a separate legal or equitable interest in the

homestead property, directly or indirectly through a trust or other
arrangement such as a term of years, life estate, reversion, possibility of
reverter, or fractional fee interest;

(b) The interest transferred does not become a possessory interest until a
date certain or upon a specified event, the occurrence or nonoccurrence of
which does not constitute a power held by the transferor to revoke or revest
the interest in the transferor, including, without limitation, the death of the
transferor; or

(c) The interest transferred is subject to divestment, expiration, or lapse



upon a date certain or upon a specified event, the occurrence or
nonoccurrence of which does not constitute a power held by the transferor to
revoke or revest the interest in the transferor, including, without limitation,
survival of the transferor.

(4) It is the intent of the Legislature that this section clarify existing law.

HISTORY:
S. 9, ch. 2010-132, eff. Oct. 1, 2010.



 Title XLII. ,  Ch. 732. ,  Pt. IV. ,   732.402. 
Fla. Stat.  732.402

 732.402. Exempt property.
(1) If a decedent was domiciled in this state at the time of death, the

surviving spouse, or, if there is no surviving spouse, the children of the
decedent shall have the right to a share of the estate of the decedent as
provided in this section, to be designated exempt property.

(2) Exempt property shall consist of:
(a) Household furniture, furnishings, and appliances in the decedents

usual place of abode up to a net value of $20,000 as of the date of death.
(b) Two motor vehicles as defined in s. 316.003, which do not,

individually as to either such motor vehicle, have a gross vehicle weight in
excess of 15,000 pounds, held in the decedents name and regularly used by
the decedent or members of the decedents immediate family as their
personal motor vehicles.

(c) All qualified tuition programs authorized by s. 529 of the Internal
Revenue Code of 1986, as amended, including, but not limited to, the Florida
Prepaid College Trust Fund advance payment contracts under s. 1009.98 and
the Florida Prepaid College Trust Fund participation agreements under s.
1009.981.

(d) All benefits paid pursuant to s. 112.1915.
(3) Exempt property shall be exempt from all claims against the estate

except perfected security interests thereon.
(4) Exempt property shall be in addition to protected homestead,

statutory entitlements, and property passing under the decedents will or by
intestate succession.

(5) Property specifically or demonstratively devised by the decedents
will to any devisee shall not be included in exempt property. However,
persons to whom property has been specifically or demonstratively devised
and who would otherwise be entitled to it as exempt property under this
section may have the court determine the property to be exempt from
claims, except for perfected security interests thereon, after complying



with the provisions of subsection (6).
(6) Persons entitled to exempt property shall be deemed to have waived

their rights under this section unless a petition for determination of exempt
property is filed by or on behalf of the persons entitled to the exempt
property on or before the later of the date that is 4 months after the date of
service of the notice of administration or the date that is 40 days after the
date of termination of any proceeding involving the construction,
admission to probate, or validity of the will or involving any other matter
affecting any part of the estate subject to this section.

(7) Property determined as exempt under this section shall be excluded
from the value of the estate before residuary, intestate, or pretermitted or
elective shares are determined.

HISTORY:
S. 1, ch. 74-106; s. 19, ch. 75-220; s. 10, ch. 77-87; s. 1, ch. 77-174; s. 1,

ch. 81-238; s. 3, ch. 85-79; s. 67, ch. 87-226; s. 51, ch. 98-421; s. 3, ch. 99-
220; s. 3, ch. 2001-180; s. 39, ch. 2001-226; s. 1036, ch. 2002-387; s. 5, ch.
2006-134, eff. July 1, 2006; s. 5, ch. 2006-303, eff. July 1, 2006; s. 8, ch.
2009-115, eff. July 1, 2009; s. 81, ch. 2016-239, effective July 1, 2016.

Editors notes.
Created from former s. 734.08.
Section 8, ch. 85-79, provides in pertinent part that with respect to s. 3, ch.

85-79, the substantive rights of all persons which have vested prior to
October 1, 1985, shall be determined as provided in s. 732.402, Florida
Statutes, 1983.

Section 529 of the Internal Revenue Code, referred to in this section, is
codified as 26 U.S.C.S.  529.



 Title XLII. ,  Ch. 732. ,  Pt. IV. ,   732.403. 
Fla. Stat.  732.403

 732.403. Family allowance.
In addition to protected homestead and statutory entitlements, if the

decedent was domiciled in Florida at the time of death, the surviving spouse
and the decedents lineal heirs the decedent was supporting or was obligated
to support are entitled to a reasonable allowance in money out of the estate
for their maintenance during administration. The court may order this
allowance to be paid as a lump sum or in periodic installments. The
allowance shall not exceed a total of $18,000. It shall be paid to the surviving
spouse, if living, for the use of the spouse and dependent lineal heirs. If the
surviving spouse is not living, it shall be paid to the lineal heirs or to the
persons having their care and custody. If any lineal heir is not living with the
surviving spouse, the allowance may be made partly to the lineal heir or
guardian or other person having the heirs care and custody and partly to the
surviving spouse, as the needs of the dependent heir and the surviving spouse
appear. The family allowance is not chargeable against any benefit or share
otherwise passing to the surviving spouse or to the dependent lineal heirs,
unless the will otherwise provides. The death of any person entitled to a
family allowance terminates the right to that part of the allowance not paid.
For purposes of this section, the term lineal heir or lineal heirs means
lineal ascendants and lineal descendants of the decedent.

HISTORY:
S. 1, ch. 74-106; s. 19, ch. 75-220; s. 960, ch. 97-102; s. 40, ch. 2001-226.

Editors notes.
Created from former s. 733.20.



 Title XLII. ,  Ch. 732. ,  Pt. V. 
Fla. Stat. Title XLII, Ch. 732, Pt. V



PART V.
WILLS.

 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.501. 
Fla. Stat.  732.501

 732.501. Who may make a will.
Any person who is of sound mind and who is either 18 or more years of

age or an emancipated minor may make a will.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 41, ch. 2001-226.

Editors notes.
Created from former s. 731.04.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.502. 
Fla. Stat.  732.502

 732.502. Execution of wills.
Every will must be in writing and executed as follows:
(1)(a) Testators signature.
1. The testator must sign the will at the end; or
2. The testators name must be subscribed at the end of the will by some

other person in the testators presence and by the testators direction.
(b) Witnesses. The testators:
1. Signing, or
2. Acknowledgment:
a. That he or she has previously signed the will, or
b. That another person has subscribed the testators name to it,
must be in the presence of at least two attesting witnesses.
(c) Witnesses signatures. The attesting witnesses must sign the will in

the presence of the testator and in the presence of each other.
(2) Any will, other than a holographic or nuncupative will, executed by

a nonresident of Florida, either before or after this law takes effect, is valid
as a will in this state if valid under the laws of the state or country where
the will was executed. A will in the testators handwriting that has been
executed in accordance with subsection (1) shall not be considered a
holographic will.

(3) Any will executed as a military testamentary instrument in
accordance with 10 U.S.C. s. 1044d, Chapter 53, by a person who is
eligible for military legal assistance is valid as a will in this state.

(4) No particular form of words is necessary to the validity of a will if it
is executed with the formalities required by law.

(5) A codicil shall be executed with the same formalities as a will.

HISTORY:



S. 1, ch. 74-106; s. 21, ch. 75-220; s. 11, ch. 77-87; s. 961, ch. 97-102; s.
42, ch. 2001-226; s. 5, ch. 2003-154.

Editors notes.
Created from former s. 731.07.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.503. 
Fla. Stat.  732.503

 732.503. Self-proof of will.
(1) A will or codicil executed in conformity with s. 732.502 may be

made self-proved at the time of its execution or at any subsequent date by
the acknowledgment of it by the testator and the affidavits of the witnesses,
made before an officer authorized to administer oaths and evidenced by the
officers certificate attached to or following the will, in substantially the
following form:

STATE OF ........
COUNTY OF
I,, declare to the officer taking my acknowledgment of this

instrument, and to the subscribing witnesses, that I signed this
instrument as my will.

We, and, have been sworn by the officer signing below, and
declare to that officer on our oaths that the testator declared the
instrument to be the testators will and signed it in our presence
and that we each signed the instrument as a witness in the
presence of the testator and of each other.

Acknowledged and subscribed before me by means of 
physical presence or  online notarization by the testator, (type
or print testators name), who  is personally known to me or 
has produced (state type of identificationsee s. 117.05(5)(b)2.)
as identification, and sworn to and subscribed before me by each
of the following witnesses: (type or print name of first witness)



who  is personally known to me or  has produced (state type of
identificationsee s. 117.05(5)(b)2.) as identification, by means
of  physical presence or  online notarization; and (type or print
name of second witness) who  is personally known to me or 
has produced (state type of identificationsee s. 117.05(5)(b)2.)
as identification, by means of  physical presence or  online
notarization. Subscribed by me in the presence of the testator and
the subscribing witnesses, by the means specified herein, all on
(date).

(Print, type, or stamp commissioned name and affix official
seal)

(2) A will or codicil made self-proved under former law, or executed in
another state and made self-proved under the laws of that state, shall be
considered as self-proved under this section.

HISTORY:
S. 1, ch. 74-106; s. 21, ch. 75-220; s. 12, ch. 77-87; s. 8, ch. 93-62; s. 962,

ch. 97-102; s. 18, ch. 98-246; s. 43, ch. 2001-226; s. 5, ch. 2021-205,
effective June 29, 2021.

Editors notes.
Created from former s. 731.071.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.504. 
Fla. Stat.  732.504

 732.504. Who may witness.
(1) Any person competent to be a witness may act as a witness to a will.
(2) A will or codicil, or any part of either, is not invalid because the will

or codicil is signed by an interested witness.

HISTORY:
S. 1, ch. 74-106; s. 22, ch. 75-220; s. 1, ch. 77-174; s. 268, ch. 79-400.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.505. 
Fla. Stat.  732.505

 732.505. Revocation by writing.
A will or codicil, or any part of either, is revoked:

(1) By a subsequent inconsistent will or codicil, even though the
subsequent inconsistent will or codicil does not expressly revoke all
previous wills or codicils, but the revocation extends only so far as the
inconsistency.

(2) By a subsequent will, codicil, or other writing executed with the
same formalities required for the execution of wills declaring the
revocation.

HISTORY:
S. 1, ch. 74-106; s. 23, ch. 75-220; s. 13, ch. 77-87; s. 269, ch. 79-400; s.

44, ch. 2001-226.

Editors notes.
Created from former ss. 731.12, 731.13.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.506. 
Fla. Stat.  732.506

 732.506. Revocation by act. 
A will or codicil, other than an electronic will, is revoked by the testator, or

some other person in the testators presence and at the testators direction, by
burning, tearing, canceling, defacing, obliterating, or destroying it with the
intent, and for the purpose, of revocation. An electronic will or codicil is
revoked by the testator, or some other person in the testators presence and at
the testators direction, by deleting, canceling, rendering unreadable, or
obliterating the electronic will or codicil, with the intent, and for the purpose,
of revocation, as proved by clear and convincing evidence.

HISTORY:
S. 1, ch. 74-106; s. 23, ch. 75-220; s. 963, ch. 97-102; s. 31, ch. 2019-71,

effective January 1, 2020.

Editors notes.
Created from former s. 731.14.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.507. 
Fla. Stat.  732.507

 732.507. Effect of subsequent marriage, birth, adoption, or dissolution
of marriage.
(1) Neither subsequent marriage, birth, nor adoption of descendants shall

revoke the prior will of any person, but the pretermitted child or spouse
shall inherit as set forth in ss. 732.301 and 732.302, regardless of the prior
will.

(2) Any provision of a will that affects the testators spouse is void upon
dissolution of the marriage of the testator and the spouse, whether the
marriage occurred before or after the execution of such will. Upon
dissolution of marriage, the will shall be construed as if the spouse died at
the time of the dissolution of marriage.
(a) Dissolution of marriage occurs at the time the decedents marriage is

judicially dissolved or declared invalid by court order.
(b) This subsection does not invalidate a provision of a will:
1. Executed by the testator after the dissolution of the marriage;
2. If there is a specific intention to the contrary stated in the will; or
3. If the dissolution of marriage judgment expressly provides otherwise.

(3) This section applies to wills of decedents who die on or after the
effective date of this section.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 3, ch. 90-23; s. 45, ch. 2001-226; s.

14, ch. 2007-74, eff. July 1, 2007; s. 2, ch. 2021-183, effective June 29, 2021.

Editors notes.
Created from former ss. 731.10, 731.101, 731.11.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.508. 
Fla. Stat.  732.508

 732.508. Revival by revocation.
(1) The revocation by the testator of a will that revokes a former will

shall not revive the former will, even though the former will is in existence
at the date of the revocation of the subsequent will.

(2) The revocation of a codicil to a will does not revoke the will, and, in
the absence of evidence to the contrary, it shall be presumed that in
revoking the codicil the testator intended to reinstate the provisions of a
will or codicil that were changed or revoked by the revoked codicil, as if
the revoked codicil had never been executed.

HISTORY:
S. 1, ch. 74-106; s. 25, ch. 75-220.

Editors notes.
Created from former s. 731.15.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.509. 
Fla. Stat.  732.509

 732.509. Revocation of codicil.
The revocation of a will revokes all codicils to that will.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220.

Editors notes.
Created from former s. 731.16.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.5105. 
Fla. Stat.  732.5105

 732.5105. Republication of wills by codicil.
The execution of a codicil referring to a previous will has the effect of

republishing the will as modified by the codicil.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220.

Editors notes.
Created from former s. 731.17.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.511. 
Fla. Stat.  732.511

 732.511. Republication of wills by reexecution.
If a will has been revoked or if it is invalid for any other reason, it may be

republished and made valid by its reexecution or the execution of a codicil
republishing it with the formalities required by this law for the execution of
wills.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220.

Editors notes.
Created from former s. 731.18.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.512. 
Fla. Stat.  732.512

 732.512. Incorporation by reference.
(1) A writing in existence when a will is executed may be incorporated

by reference if the language of the will manifests this intent and describes
the writing sufficiently to permit its identification.

(2) A will may dispose of property by reference to acts and events which
have significance apart from their effect upon the dispositions made by the
will, whether they occur before or after the execution of the will or before
or after the testators death. The execution or revocation of a will or trust
by another person is such an event.

HISTORY:
S. 1, ch. 74-106; s. 27, ch. 75-220.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.513. 
Fla. Stat.  732.513

 732.513. Devises to trustee.
(1) A valid devise may be made to the trustee of a trust that is evidenced

by a written instrument in existence at the time of making the will, or by a
written instrument subscribed concurrently with making of the will, if the
written instrument is identified in the will.

(2) The devise shall not be invalid for any or all of the following
reasons:
(a) Because the trust is amendable or revocable, or both, by any person.
(b) Because the trust has been amended or revoked in part after execution

of the will or a codicil to it.
(c) Because the only res of the trust is the possible expectancy of receiving,

as a named beneficiary, a devise under a will or death benefits as described in
s. 733.808, and even though the testator or other person has reserved any or
all rights of ownership in the death benefit policy, contract, or plan, including
the right to change the beneficiary.

(d) Because of any of the provisions of s. 689.075.
(3) The devise shall dispose of property under the terms of the

instrument that created the trust as previously or subsequently amended.
(4) An entire revocation of the trust by an instrument in writing before

the testators death shall invalidate the devise or bequest.
(5) Unless the will provides otherwise, the property devised shall not be

held under a testamentary trust of the testator but shall become a part of the
principal of the trust to which it is devised.

HISTORY:
S. 1, ch. 74-106; s. 3, ch. 75-74; s. 113, ch. 75-220; s. 2, ch. 88-340; s. 46,

ch. 2001-226; s. 32, ch. 2006-217, eff. July 1, 2007.

Editors notes.
Created from former s. 736.17.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.514. 
Fla. Stat.  732.514

 732.514. Vesting of devises.
The death of the testator is the event that vests the right to devises unless

the testator in the will has provided that some other event must happen before
a devise vests.

HISTORY:
S. 1, ch. 74-106; ss. 28, 113, ch. 75-220; s. 964, ch. 97-102; s. 47, ch.

2001-226.

Editors notes.
Created from former ss. 731.21 and 733.102.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.515. 
Fla. Stat.  732.515

 732.515. Separate writing identifying devises of tangible property.
A written statement or list referred to in the decedents will shall dispose of

items of tangible personal property, other than property used in trade or
business, not otherwise specifically disposed of by the will. To be admissible
under this section as evidence of the intended disposition, the writing must be
signed by the testator and must describe the items and the devisees with
reasonable certainty. The writing may be prepared before or after the
execution of the will. It may be altered by the testator after its preparation. It
may be a writing that has no significance apart from its effect upon the
dispositions made by the will. If more than one otherwise effective writing
exists, then, to the extent of any conflict among the writings, the provisions
of the most recent writing revoke the inconsistent provisions of each prior
writing.

HISTORY:
S. 1, ch. 74-106; s. 29, ch. 75-220; s. 48, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.5165. 
Fla. Stat.  732.5165

 732.5165. Effect of fraud, duress, mistake, and undue influence.
A will is void if the execution is procured by fraud, duress, mistake, or

undue influence. Any part of the will is void if so procured, but the remainder
of the will not so procured shall be valid if it is not invalid for other reasons.
If the revocation of a will, or any part thereof, is procured by fraud, duress,
mistake, or undue influence, such revocation is void.

HISTORY:
S. 31, ch. 75-220; s. 6, ch. 2011-183, eff. June 21, 2011.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.517. 
Fla. Stat.  732.517

 732.517. Penalty clause for contest.
A provision in a will purporting to penalize any interested person for

contesting the will or instituting other proceedings relating to the estate is
unenforceable.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.518. 
Fla. Stat.  732.518

 732.518. Will contests.
An action to contest the validity of all or part of a will or the revocation of

all or part of a will may not be commenced before the death of the testator.

HISTORY:
S. 17, ch. 92-200; s. 7, ch. 2011-183, eff. June 21, 2011.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.521. 
Fla. Stat.  732.521

 732.521. Definitions.
As used in ss. 732.521-732.525, the term:

(1) Audio-video communication technology has the same meaning as
provided in s. 117.201.

(2) Electronic record has the same meaning as provided in s. 668.50.
(3) Electronic signature means an electronic mark visibly manifested

in a record as a signature and executed or adopted by a person with the
intent to sign the record.

(4) Electronic will means a testamentary instrument, including a
codicil, executed with an electronic signature by a person in the manner
prescribed by this code, which disposes of the persons property on or after
his or her death and includes an instrument which merely appoints a
personal representative or guardian or revokes or revises another will.

(5) Online notarization has the same meaning as provided in s.
117.201.

(6) Online notary public has the same meaning as provided in s.
117.201.

(7) Qualified custodian means a person who meets the requirements of
s. 732.524(1).

(8) Secure system means a system that satisfies the requirements of a
secure repository qualified to retain electronic journals of online notaries
public in accordance with s. 117.245 and any rules established under part
II of chapter 117.

HISTORY:
S. 32, ch. 2019-71, effective January 1, 2020; s. 6, ch. 2021-205, effective

June 29, 2021.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.522. 
Fla. Stat.  732.522

 732.522. Method and place of execution.
For purposes of the execution or filing of an electronic will, the

acknowledgment of an electronic will by the testator and the affidavits of
witnesses under s. 732.503, or any other instrument under the Florida Probate
Code:

(1) Any requirement that an instrument be signed may be satisfied by an
electronic signature.

(2) Any requirement that individuals sign an instrument in the presence
of one another may be satisfied by witnesses being present and
electronically signing by means of audio-video communication technology
that meets the requirements of part II of chapter 117 and any rules adopted
thereunder, if:
(a) The individuals are supervised by a notary public in accordance with s.

117.285;
(b) The individuals are authenticated and signing as part of an online

notarization session in accordance with s. 117.265;
(c) The witness hears the signer make a statement acknowledging that the

signer has signed the electronic record; and
(d) The signing and witnessing of the instrument complies with the

requirements of s. 117.285.
(3) Except as otherwise provided in this part, all questions as to the

force, effect, validity, and interpretation of an electronic will which comply
with this section must be determined in the same manner as in the case of a
will executed in accordance with s. 732.502.

(4) An instrument that is signed electronically is deemed to be executed
in this state if the instrument states that the person creating the instrument
intends to execute and understands that he or she is executing the
instrument in, and pursuant to the laws of, this state.

History.



S. 33, ch. 2019-71, effective July 1, 2020.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.523. 
Fla. Stat.  732.523

 732.523. Self-proof of electronic will.
An electronic will is self-proved if:

(1) The acknowledgment of the electronic will by the testator and the
affidavits of the witnesses are made in accordance with s. 732.503 and are
part of the electronic record containing the electronic will, or are attached
to, or are logically associated with, the electronic will;

(2) The electronic will designates a qualified custodian;
(3) The electronic record that contains the electronic will is held in the

custody of a qualified custodian at all times before being offered to the
court for probate; and

(4) The qualified custodian who has custody of the electronic will at the
time of the testators death certifies under oath that, to the best knowledge
of the qualified custodian, the electronic record that contains the electronic
will was at all times before being offered to the court in the custody of a
qualified custodian in compliance with s. 732.524 and that the electronic
will has not been altered in any way since the date of its execution.

History.
S. 34, ch. 2019-71, effective January 1, 2020.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.524. 
Fla. Stat.  732.524

 732.524. Qualified custodians.
(1) To serve as a qualified custodian of an electronic will, a person must

be:
(a) Domiciled in and a resident of this state; or
(b) Incorporated, organized, or have its principal place of business in this

state.
(2) A qualified custodian shall:

(a) In the course of maintaining custody of electronic wills, regularly
employ a secure system and store in such secure system electronic records
containing:

1. Electronic wills;
2. Records attached to or logically associated with electronic wills; and
3. Acknowledgments of the electronic wills by testators, affidavits of the

witnesses, and the records described in s. 117.245(1) and (2) which pertain to
the online notarization.

(b) Furnish for any court hearing involving an electronic will that is
currently or was previously stored by the qualified custodian any information
requested by the court pertaining to the qualified custodians qualifications,
policies, and practices related to the creation, sending, communication,
receipt, maintenance, storage, and production of electronic wills.

(c) Provide access to or information concerning the electronic will, or the
electronic record containing the electronic will, only:

1. To the testator;
2. To persons authorized by the testator in the electronic will or in written

instructions signed by the testator with the formalities required for the
execution of a will in this state;

3. After the death of the testator, to the testators nominated personal
representative; or



4. At any time, as directed by a court of competent jurisdiction.
(3) The qualified custodian of the electronic record of an electronic will

may elect to destroy such record, including any of the documentation
required to be created and stored under paragraph (2)(a), at any time after
the earlier of the fifth anniversary of the conclusion of the administration
of the estate of the testator or 20 years after the death of the testator.

(4) A qualified custodian who at any time maintains custody of the
electronic record of an electronic will may elect to cease serving in such
capacity by:
(a) Delivering the electronic will or the electronic record containing the

electronic will to the testator, if then living, or, after the death of the testator,
by filing the will with the court in accordance with s. 732.901; and

(b) If the outgoing qualified custodian intends to designate a successor
qualified custodian, by doing the following:

1. Providing written notice to the testator of the name, address, and
qualifications of the proposed successor qualified custodian. The testator
must provide written consent before the electronic record, including the
electronic will, is delivered to a successor qualified custodian;

2. Delivering the electronic record containing the electronic will to the
successor qualified custodian; and

3. Delivering to the successor qualified custodian an affidavit of the
outgoing qualified custodian stating that:

a. The outgoing qualified custodian is eligible to act as a qualified
custodian in this state;

b. The outgoing qualified custodian is the qualified custodian designated
by the testator in the electronic will or appointed to act in such capacity under
this paragraph;

c. The electronic will has at all times been in the custody of one or more
qualified custodians in compliance with this section since the time the
electronic record was created, and identifying such qualified custodians; and

d. To the best of the outgoing qualified custodians knowledge, the
electronic will has not been altered since the time it was created.



For purposes of making this affidavit, the outgoing qualified custodian
may rely conclusively on any affidavits delivered by a predecessor qualified
custodian in connection with its designation or appointment as qualified
custodian; however, all such affidavits must be delivered to the successor
qualified custodian.

(5) Upon the request of the testator which is made in writing signed with
the formalities required for the execution of a will in this state, a qualified
custodian who at any time maintains custody of the electronic record of the
testators electronic will must cease serving in such capacity and must
deliver to a successor qualified custodian designated in writing by the
testator the electronic record containing the electronic will and the affidavit
required in subparagraph (4)(b)3.

(6) A qualified custodian may not succeed to office as a qualified
custodian of an electronic will unless he or she agrees in writing to serve in
such capacity.

(7) If a qualified custodian is an entity, an affidavit, or an appearance by
the testator in the presence of a duly authorized officer or agent of such
entity, acting in his or her own capacity as such, shall constitute an
affidavit, or an appearance by the testator in the presence of the qualified
custodian.

(8) A qualified custodian must provide a paper copy of an electronic will
and the electronic record containing the electronic will to the testator
immediately upon request. For the first request, the testator may not be
charged a fee for being provided with these documents.

(9) The qualified custodian shall be liable for any damages caused by
the negligent loss or destruction of the electronic record, including the
electronic will, while it is in the possession of the qualified custodian. A
qualified custodian may not limit liability for such damages.

(10) A qualified custodian may not terminate or suspend access to, or
downloads of, the electronic will by the testator, provided that a qualified
custodian may charge a fee for providing such access and downloads.

(11) Upon receiving information that the testator is dead, a qualified
custodian must deposit the electronic will with the court in accordance
with s. 732.901. A qualified custodian may not charge a fee for depositing



the electronic will with the clerk, provided the affidavit is made in
accordance with s. 732.503, or furnishing in writing any information
requested by a court under paragraph (2)(b).

(12) Except as provided in this act, a qualified custodian must at all
times keep information provided by the testator confidential and may not
disclose such information to any third party.

(13) A contractual venue provision between a qualified custodian and a
testator is not valid or enforceable to the extent that it requires a specific
jurisdiction or venue for any proceeding relating to the probate of an estate
or the contest of a will.

History.
S. 35, ch. 2019-71, effective January 1, 2020.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.525. 
Fla. Stat.  732.525

 732.525. Liability coverage; receivership of qualified custodians.
(1) A qualified custodian shall:

(a) Post and maintain a blanket surety bond of at least $250,000 to secure
the faithful performance of all duties and obligations required under this part.
The bond must be made payable to the Governor and his or her successors in
office for the benefit of all persons who store electronic records with a
qualified custodian and their estates, beneficiaries, successors, and heirs, and
be conditioned on the faithful performance of all duties and obligations under
this chapter. The terms of the bond must cover the acts or omissions of the
qualified custodian and each agent or employee of the qualified custodian; or

(b) Maintain a liability insurance policy that covers any losses sustained by
any person who stores electronic records with a qualified custodian and their
estates, beneficiaries, successors, and heirs which are caused by errors or
omissions by the qualified custodian and each agent or employee of the
qualified custodian. The policy must cover losses of at least $250,000 in the
aggregate.

(2) The Attorney General may petition a court of competent jurisdiction
for the appointment of a receiver to manage the electronic records of a
qualified custodian for proper delivery and safekeeping if any of the
following conditions exist:
(a) The qualified custodian is ceasing operation;
(b) The qualified custodian intends to close the facility and adequate

arrangements have not been made for proper delivery of the electronic
records in accordance with this part;

(c) The Attorney General determines that conditions exist which present a
danger that electronic records will be lost or misappropriated; or

(d) The qualified custodian fails to maintain and post a surety bond or
maintain insurance as required in this section.

History.



S. 36, ch. 2019-71, effective January 1, 2020.



 Title XLII. ,  Ch. 732. ,  Pt. V. ,   732.526. 
Fla. Stat.  732.526

 732.526. Probate.
(1) An electronic will that is filed electronically with the clerk of the

court through the Florida Courts E-Filing Portal is deemed to have been
deposited with the clerk as an original of the electronic will.

(2) A paper copy of an electronic will which is certified by a notary
public to be a true and correct copy of the electronic will may be offered
for and admitted to probate and shall constitute an original of the electronic
will.

History.
S. 37, ch. 2019-71, effective January 1, 2020.



 Title XLII. ,  Ch. 732. ,  Pt. VI. 
Fla. Stat. Title XLII, Ch. 732, Pt. VI



PART VI.
RULES OF CONSTRUCTION.

 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.6005. 
Fla. Stat.  732.6005

 732.6005. Rules of construction and intention.
(1) The intention of the testator as expressed in the will controls the

legal effect of the testators dispositions. The rules of construction
expressed in this part shall apply unless a contrary intention is indicated by
the will.

(2) Subject to the foregoing, a will is construed to pass all property
which the testator owns at death, including property acquired after the
execution of the will.

HISTORY:
S. 1, ch. 74-106; ss. 33, 35, ch. 75-220; s. 965, ch. 97-102; s. 49, ch. 2001-

226.

Editors notes.
Created from former ss. 732.41 and 732.602.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.601. 
Fla. Stat.  732.601

 732.601. Simultaneous Death Law.
Unless a contrary intention appears in the governing instrument:

(1) When title to property or its devolution depends on priority of death
and there is insufficient evidence that the persons have died otherwise than
simultaneously, the property of each person shall be disposed of as if that
person survived.

(2) When two or more beneficiaries are designated to take successively
by reason of survivorship under another persons disposition of property
and there is insufficient evidence that the beneficiaries died otherwise than
simultaneously, the property thus disposed of shall be divided into as many
equal parts as there are successive beneficiaries and the parts shall be
distributed to those who would have taken if each designated beneficiary
had survived.

(3) When there is insufficient evidence that two joint tenants or tenants
by the entirety died otherwise than simultaneously, the property so held
shall be distributed one-half as if one had survived and one-half as if the
other had survived. If there are more than two joint tenants and all of them
so died, the property thus distributed shall be in the proportion that one
bears to the number of joint tenants.

(4) When the insured and the beneficiary in a policy of life or accident
insurance have died and there is insufficient evidence that they died
otherwise than simultaneously, the proceeds of the policy shall be
distributed as if the insured had survived the beneficiary.

HISTORY:
S. 1, ch. 74-106; s. 34, ch. 75-220; s. 966, ch. 97-102; s. 50, ch. 2001-226.

Editors notes.
Created from former s. 736.05.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.603. 
Fla. Stat.  732.603

 732.603. Antilapse; deceased devisee; class gifts.
(1) Unless a contrary intent appears in the will, if a devisee who is a

grandparent, or a descendant of a grandparent, of the testator:
(a) Is dead at the time of the execution of the will;
(b) Fails to survive the testator; or
(c) Is required by the will or by operation of law to be treated as having

predeceased the testator,
a substitute gift is created in the devisees surviving descendants who take
per stirpes the property to which the devisee would have been entitled had
the devisee survived the testator.

(2) When a power of appointment is exercised by will, unless a contrary
intent appears in the document creating the power of appointment or in the
testators will, if an appointee who is a grandparent, or a descendant of a
grandparent, of the donor of the power:
(a) Is dead at the time of the execution of the will or the creation of the

power;
(b) Fails to survive the testator; or
(c) Is required by the will, the document creating the power, or by

operation of law to be treated as having predeceased the testator,
a substitute gift is created in the appointees surviving descendants who
take per stirpes the property to which the appointee would have been
entitled had the appointee survived the testator. Unless the language
creating a power of appointment expressly excludes the substitution of the
descendants of an object of a power for the object, a surviving descendant
of a deceased object of a power of appointment may be substituted for the
object whether or not the descendant is an object of the power.

(3) In the application of this section:
(a) Words of survivorship in a devise or appointment to an individual, such

as if he survives me, if she survives me, or to my surviving children,



are a sufficient indication of an intent contrary to the application of
subsections (1) and (2). Words of survivorship used by the donor of the
power in a power to appoint to an individual, such as the term if he survives
the donee or if she survives the donee, or in a power to appoint to the
donees then surviving children, are a sufficient indication of an intent
contrary to the application of subsection (2).

(b) The term:
1. Appointment includes an alternative appointment and an appointment

in the form of a class gift.
2. Appointee includes:
a. A class member if the appointment is in the form of a class gift.
b. An individual or class member who was deceased at the time the testator

executed his or her will as well as an individual or class member who was
then living but who failed to survive the testator.

3. Devise also includes an alternative devise and a devise in the form of
a class gift.

4. Devisee also includes:
a. A class member if the devise is in the form of a class gift.
b. An individual or class member who was deceased at the time the testator

executed his or her will as well as an individual or class member who was
then living but who failed to survive the testator.

(4) This section applies only to outright devises and appointments.
Devises and appointments in trust, including to a testamentary trust, are
subject to s. 736.1106.

HISTORY:
S. 1, ch. 74-106; s. 36, ch. 75-220; s. 967, ch. 97-102; s. 51, ch. 2001-226;

s. 6, ch. 2003-154; s. 33, ch. 2006-217, eff. July 1, 2007; s. 159, ch. 2020-2,
effective May 18, 2020.

Editors notes.
Created from former s. 731.20.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.604. 
Fla. Stat.  732.604

 732.604. Failure of testamentary provision.
(1) Except as provided in s. 732.603, if a devise other than a residuary

devise fails for any reason, it becomes a part of the residue.
(2) Except as provided in s. 732.603, if the residue is devised to two or

more persons, the share of a residuary devisee that fails for any reason
passes to the other residuary devisee, or to the other residuary devisees in
proportion to the interests of each in the remaining part of the residue.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 968, ch. 97-102; s. 52, ch. 2001-226;

s. 29, ch. 2003-154; s. 34, ch. 2006-217, eff. July 1, 2007.

Editors notes.
Section 29, ch. 2003-154 reenacted 732.604 without change to incorporate

amendments to statutory sections referenced therein.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.605. 
Fla. Stat.  732.605

 732.605. Change in securities; accessions; nonademption.
(1) If the testator intended a specific devise of certain securities rather

than their equivalent value, the specific devisee is entitled only to:
(a) As much of the devised securities as is a part of the estate at the time of

the testators death.
(b) Any additional or other securities of the same entity owned by the

testator because of action initiated by the entity, excluding any acquired by
exercise of purchase options.

(c) Securities of another entity owned by the testator as a result of a
merger, consolidation, reorganization, or other similar action initiated by the
entity.

(d) Securities of the same entity acquired as a result of a plan of
reinvestment.

(2) Distributions before death with respect to a specifically devised
security, whether in cash or otherwise, which are not provided for in
subsection (1) are not part of the specific devise.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 53, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.606. 
Fla. Stat.  732.606

 732.606. Nonademption of specific devises in certain cases; sale by
guardian of the property; unpaid proceeds of sale, condemnation, or
insurance.
(1) If specifically devised property is sold by a guardian of the property

or if a condemnation award or insurance proceeds are paid to a guardian of
the property, the specific devisee has the right to a general pecuniary
devise equal to the net sale price, the condemnation award, or the
insurance proceeds. This subsection does not apply if, subsequent to the
sale, condemnation, or casualty, it is adjudicated that the disability of the
testator has ceased and the testator survives the adjudication by 1 year. The
right of the specific devisee under this subsection is reduced by any right
described in subsection (2).

(2) A specific devisee has the right to the remaining specifically devised
property and:
(a) Any balance of the purchase price owing from a purchaser to the

testator at death because of sale of the property plus any security interest.
(b) Any amount of a condemnation award for the taking of the property

unpaid at death.
(c) Any proceeds unpaid at death on fire or casualty insurance on the

property.
(d) Property owned by the testator at death as a result of foreclosure, or

obtained instead of foreclosure, of the security for the specifically devised
obligation.

HISTORY:
S. 1, ch. 74-106; s. 38, ch. 75-220; s. 969, ch. 97-102; s. 54, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.607. 
Fla. Stat.  732.607

 732.607. Exercise of power of appointment.
A general residuary clause in a will, or a will making general disposition of

all the testators property, does not exercise a power of appointment held by
the testator unless specific reference is made to the power or there is some
other indication of intent to include the property subject to the power.

HISTORY:
S. 1, ch. 74-106; s. 38, ch. 75-220.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.608. 
Fla. Stat.  732.608

 732.608. Construction of terms.
The laws used to determine paternity and relationships for the purposes of

intestate succession apply when determining whether class gift terminology
and terms of relationship include adopted persons and persons born out of
wedlock.

HISTORY:
S. 1, ch. 74-106; s. 38, ch. 75-220; s. 10, ch. 2010-132, eff. Oct. 1, 2010.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.609. 
Fla. Stat.  732.609

 732.609. Ademption by satisfaction.
Property that a testator gave to a person in the testators lifetime is treated

as a satisfaction of a devise to that person, in whole or in part, only if the will
provides for deduction of the lifetime gift, the testator declares in a
contemporaneous writing that the gift is to be deducted from the devise or is
in satisfaction of the devise, or the devisee acknowledges in writing that the
gift is in satisfaction. For purposes of part satisfaction, property given during
the testators lifetime is valued at the time the devisee came into possession
or enjoyment of the property or at the time of the death of the testator,
whichever occurs first.

HISTORY:
S. 1, ch. 74-106; s. 38, ch. 75-220.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.611. 
Fla. Stat.  732.611

 732.611. Devises to multigeneration classes to be per stirpes.
Unless the will provides otherwise, all devises to descendants, issue, and

other multigeneration classes shall be per stirpes.

HISTORY:
S. 1, ch. 74-106; s. 38, ch. 75-220; s. 35, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.615. 
Fla. Stat.  732.615

 732.615. Reformation to correct mistakes.
Upon application of any interested person, the court may reform the terms

of a will, even if unambiguous, to conform the terms to the testators intent if
it is proved by clear and convincing evidence that both the accomplishment
of the testators intent and the terms of the will were affected by a mistake of
fact or law, whether in expression or inducement. In determining the
testators original intent, the court may consider evidence relevant to the
testators intent even though the evidence contradicts an apparent plain
meaning of the will.

HISTORY:
S. 3, ch. 2011-183, eff. July 1, 2011.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLII. ,  Ch. 732. ,  Pt. VI. ,   732.616. 
Fla. Stat.  732.616

 732.616. Modification to achieve testators tax objectives.
Upon application of any interested person, to achieve the testators tax

objectives the court may modify the terms of a will in a manner that is not
contrary to the testators probable intent. The court may provide that the
modification has retroactive effect.

HISTORY:
S. 4, ch. 2011-183, eff. July 1, 2011.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLII. ,  Ch. 732. ,  Pt. VII. 
Fla. Stat. Title XLII, Ch. 732, Pt. VII



PART VII.
CONTRACTUAL ARRANGEMENTS RELATING TO

DEATH.
 Title XLII. ,  Ch. 732. ,  Pt. VII. ,   732.701. 

Fla. Stat.  732.701

 732.701. Agreements concerning succession.
(1) No agreement to make a will, to give a devise, not to revoke a will,

not to revoke a devise, not to make a will, or not to make a devise shall be
binding or enforceable unless the agreement is in writing and signed by the
agreeing party in the presence of two attesting witnesses. Such an
agreement executed by a nonresident of Florida, either before or after this
law takes effect, is valid in this state if valid when executed under the laws
of the state or country where the agreement was executed, whether or not
the agreeing party is a Florida resident at the time of death.

(2) The execution of a joint will or mutual wills neither creates a
presumption of a contract to make a will nor creates a presumption of a
contract not to revoke the will or wills.

HISTORY:
S. 1, ch. 74-106; s. 39, ch. 75-220; s. 55, ch. 2001-226.

Editors notes.
Created from former s. 731.051.



 Title XLII. ,  Ch. 732. ,  Pt. VII. ,   732.702. 
Fla. Stat.  732.702

 732.702. Waiver of spousal rights.
(1) The rights of a surviving spouse to an elective share, intestate share,

pretermitted share, homestead, exempt property, family allowance, and
preference in appointment as personal representative of an intestate estate
or any of those rights, may be waived, wholly or partly, before or after
marriage, by a written contract, agreement, or waiver, signed by the
waiving party in the presence of two subscribing witnesses. The
requirement of witnesses shall be applicable only to contracts, agreements,
or waivers signed by Florida residents after the effective date of this law.
Any contract, agreement, or waiver executed by a nonresident of Florida,
either before or after this law takes effect, is valid in this state if valid when
executed under the laws of the state or country where it was executed,
whether or not he or she is a Florida resident at the time of death. Unless
the waiver provides to the contrary, a waiver of all rights, or equivalent
language, in the property or estate of a present or prospective spouse, or a
complete property settlement entered into after, or in anticipation of,
separation, dissolution of marriage, or divorce, is a waiver of all rights to
elective share, intestate share, pretermitted share, homestead, exempt
property, family allowance, and preference in appointment as personal
representative of an intestate estate, by the waiving party in the property of
the other and a renunciation by the waiving party of all benefits that would
otherwise pass to the waiving party from the other by intestate succession
or by the provisions of any will executed before the written contract,
agreement, or waiver.

(2) Each spouse shall make a fair disclosure to the other of that spouses
estate if the agreement, contract, or waiver is executed after marriage. No
disclosure shall be required for an agreement, contract, or waiver executed
before marriage.

(3) No consideration other than the execution of the agreement, contract,
or waiver shall be necessary to its validity, whether executed before or
after marriage.

HISTORY:



S. 1, ch. 74-106; s. 39, ch. 75-220; s. 14, ch. 77-87; s. 56, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. VII. ,   732.7025. 
Fla. Stat.  732.7025

 732.7025. Waiver of homestead rights through deed. 
(1) A spouse waives his or her rights as a surviving spouse with respect

to the devise restrictions under s. 4(c), Art. X of the State Constitution if
the following or substantially similar language is included in a deed:
By executing or joining this deed, I intend to waive homestead rights that

would otherwise prevent my spouse from devising the homestead property
described in this deed to someone other than me.

(2) The waiver language in subsection (1) may not be considered a
waiver of the protection against the owners creditor claims during the
owners lifetime and after death. Such language may not be considered a
waiver of the restrictions against alienation by mortgage, sale, gift, or deed
without the joinder of the owners spouse.

History.
S. 1, ch. 2018-22, effective July 1, 2018.



 Title XLII. ,  Ch. 732. ,  Pt. VII. ,   732.703. 
Fla. Stat.  732.703

 732.703. Effect of divorce, dissolution, or invalidity of marriage on
disposition of certain assets at death.
(1) As used in this section, unless the context requires otherwise, the

term:
(a) Asset, when not modified by other words or phrases, means an asset

described in subsection (3), except as provided in paragraph (4)(j).
(b) Beneficiary means any person designated in a governing instrument

to receive an interest in an asset upon the death of the decedent.
(c) Death certificate means a certified copy of a death certificate issued

by an official or agency for the place where the decedents death occurred.
(d) Employee benefit plan means any funded or unfunded plan, program,

or fund established by an employer to provide an employees beneficiaries
with benefits that may be payable on the employees death.

(e) Governing instrument means any writing or contract governing the
disposition of all or any part of an asset upon the death of the decedent.

(f) Payor means any person obligated to make payment of the decedents
interest in an asset upon the death of the decedent, and any other person who
is in control or possession of an asset.

(g) Primary beneficiary means a beneficiary designated under the
governing instrument to receive an interest in an asset upon the death of the
decedent who is not a secondary beneficiary. A person who receives an
interest in the asset upon the death of the decedent due to the death of another
beneficiary prior to the decedents death is also a primary beneficiary.

(h) Secondary beneficiary means a beneficiary designated under the
governing instrument who will receive an interest in an asset if the
designation of the primary beneficiary is revoked or otherwise cannot be
given effect.

(2) A designation made by or on behalf of the decedent providing for the
payment or transfer at death of an interest in an asset to or for the benefit of
the decedents former spouse is void as of the time the decedents marriage



was judicially dissolved or declared invalid by court order prior to the
decedents death, if the designation was made prior to the dissolution or
court order. The decedents interest in the asset shall pass as if the
decedents former spouse predeceased the decedent. An individual
retirement account described in s. 408 or s. 408A of the Internal Revenue
Code of 1986, or an employee benefit plan, may not be treated as a trust
for purposes of this section.

(3) Subsection (2) applies to the following assets in which a resident of
this state has an interest at the time of the residents death:
(a) A life insurance policy, qualified annuity, or other similar tax-deferred

contract held within an employee benefit plan.
(b) An employee benefit plan.
(c) An individual retirement account described in s. 408 or s. 408A of the

Internal Revenue Code of 1986, including an individual retirement annuity
described in s. 408(b) of the Internal Revenue Code of 1986.

(d) A payable-on-death account.
(e) A security or other account registered in a transfer-on-death form.
(f) A life insurance policy, annuity, or other similar contract that is not held

within an employee benefit plan or a tax-qualified retirement account.
(4) Subsection (2) does not apply:

(a) To the extent that controlling federal law provides otherwise;
(b) If the governing instrument is signed by the decedent, or on behalf of

the decedent, after the order of dissolution or order declaring the marriage
invalid and such governing instrument expressly provides that benefits will
be payable to the decedents former spouse;

(c) To the extent a will or trust governs the disposition of the assets and s.
732.507(2) or s. 736.1105 applies;

(d) If the order of dissolution or order declaring the marriage invalid
requires that the decedent acquire or maintain the asset for the benefit of a
former spouse or children of the marriage, payable upon the death of the
decedent either outright or in trust, only if other assets of the decedent
fulfilling such a requirement for the benefit of the former spouse or children



of the marriage do not exist upon the death of the decedent;
(e) If, under the terms of the order of dissolution or order declaring the

marriage invalid, the decedent could not have unilaterally terminated or
modified the ownership of the asset, or its disposition upon the death of the
decedent;

(f) If the designation of the decedents former spouse as a beneficiary is
irrevocable under applicable law;

(g) If the governing instrument is governed by the laws of a state other
than this state;

(h) To an asset held in two or more names as to which the death of one co-
owner vests ownership of the asset in the surviving co-owner or co-owners;

(i) If the decedent remarries the person whose interest would
otherwise have been revoked under this section and the decedent and
that person are married to one another at the time of the decedents
death; or

(j) To state-administered retirement plans under chapter 121.
(5) In the case of an asset described in paragraph (3)(a), paragraph (3)

(b), or paragraph (3)(c), unless payment or transfer would violate a court
order directed to, and served as required by law on, the payor:
(a) If the governing instrument does not explicitly specify the relationship

of the beneficiary to the decedent or if the governing instrument explicitly
provides that the beneficiary is not the decedents spouse, the payor is not
liable for making any payment on account of, or transferring any interest in,
the asset to the beneficiary.

(b) As to any portion of the asset required by the governing instrument to
be paid after the decedents death to a primary beneficiary explicitly
designated in the governing instrument as the decedents spouse:

1. If the death certificate states that the decedent was married at the time of
his or her death to that spouse, the payor is not liable for making a payment
on account of, or for transferring an interest in, that portion of the asset to
such primary beneficiary.

2. If the death certificate states that the decedent was not married at the



time of his or her death, or if the death certificate states that the decedent was
married to a person other than the spouse designated as the primary
beneficiary at the time of his or her death, the payor is not liable for making a
payment on account of, or for transferring an interest in, that portion of the
asset to a secondary beneficiary under the governing instrument.

3. If the death certificate is silent as to the decedents marital status at the
time of his or her death, the payor is not liable for making a payment on
account of, or for transferring an interest in, that portion of the asset to the
primary beneficiary upon delivery to the payor of an affidavit validly
executed by the primary beneficiary in substantially the following form:

STATE OF ________________
COUNTY OF ________________
Before me, the undersigned authority, personally appeared

(type or print Affiants name)(Affiant), who swore or affirmed
that:

1. (Type or print name of Decedent)(Decedent) died on
(type or print the date of the Decedents death).

2. Affiant is a primary beneficiary as that term is defined in
Section 732.703, Florida Statutes. Affiant and Decedent were
married on (type or print the date of marriage), and were legally
married to one another on the date of the Decedents death.

(Affiant)
Sworn to or affirmed before me by the affiant who is

personally known to me or who has produced (state type of
identification) as identification this day of (month), (year).

(Signature of Officer)
(Print, Type, or Stamp Commissioned name of Notary Public)

4. If the death certificate is silent as to the decedents marital status at the
time of his or her death, the payor is not liable for making a payment on



account of, or for transferring an interest in, that portion of the asset to the
secondary beneficiary upon delivery to the payor of an affidavit validly
executed by the secondary beneficiary in substantially the following form:

STATE OF ________________
COUNTY OF ________________
Before me, the undersigned authority, personally appeared by the means

specified herein, ...(type or print Affiants name)... (Affiant), who swore or
affirmed that:

1. ...(Type or print name of Decedent)... (Decedent) died on ...(type or
print the date of the Decedents death)....

2. Affiant is a secondary beneficiary as that term is defined in Section
732.703, Florida Statutes. On the date of the Decedents death, the Decedent
was not legally married to the spouse designated as the primary beneficiary
as that term is defined in Section 732.703, Florida Statutes.

        ...(Affiant)...
Sworn to or affirmed before me by means of  physical presence or 

online notarization by the affiant who  is personally known to me or  has
produced ...(state type of identification)... as identification this ____ day of ...
(month)..., ...(year)....

...(Signature of Officer)...

...(Print, Type, or Stamp Commissioned name of Notary Public)...
(6) In the case of an asset described in paragraph (3)(d), paragraph (3)

(e), or paragraph (3)(f), the payor is not liable for making any payment on
account of, or transferring any interest in, the asset to any beneficiary.

(7) Subsections (5) and (6) apply notwithstanding the payors
knowledge that the person to whom the asset is transferred is different
from the person who would own the interest pursuant to subsection (2).

(8) This section does not affect the ownership of an interest in an asset
as between the former spouse and any other person entitled to such interest
by operation of this section, the rights of any purchaser for value of any
such interest, the rights of any creditor of the former spouse or any other



person entitled to such interest, or the rights and duties of any insurance
company, financial institution, trustee, administrator, or other third party.

(9) This section applies to all designations made by or on behalf of
decedents dying on or after July 1, 2012, regardless of when the
designation was made.

HISTORY:
S. 1, ch. 2012-148, eff. July 1, 2012; s. 6, ch. 2013-172, eff. Oct. 1, 2013;

s. 7, ch. 2021-205, effective June 29, 2021.



 Title XLII. ,  Ch. 732. ,  Pt. VIII. 
Fla. Stat. Title XLII, Ch. 732, Pt. VIII



PART VIII.
GENERAL PROVISIONS.

 Title XLII. ,  Ch. 732. ,  Pt. VIII. ,   732.801. 
Fla. Stat.  732.801

 732.801. Disclaimer of interests in property passing by will or intestate
succession or under certain powers of appointment [Repealed.]

Repealed by s. 5, ch. 2005-108, effective July 1, 2005.

HISTORY:
S. 1, ch. 74-106; s. 40, ch. 75-220; s. 15, ch. 77-87; s. 970, ch. 97-102; s.

57, ch. 2001-226; s. 30, ch. 2003-154.



 Title XLII. ,  Ch. 732. ,  Pt. VIII. ,   732.802. 
Fla. Stat.  732.802

 732.802. Killer not entitled to receive property or other benefits by
reason of victims death.
(1) A surviving person who unlawfully and intentionally kills or

participates in procuring the death of the decedent is not entitled to any
benefits under the will or under the Florida Probate Code, and the estate of
the decedent passes as if the killer had predeceased the decedent. Property
appointed by the will of the decedent to or for the benefit of the killer
passes as if the killer had predeceased the decedent.

(2) Any joint tenant who unlawfully and intentionally kills another joint
tenant thereby effects a severance of the interest of the decedent so that the
share of the decedent passes as the decedents property and the killer has
no rights by survivorship. This provision applies to joint tenancies with
right of survivorship and tenancies by the entirety in real and personal
property; joint and multiple-party accounts in banks, savings and loan
associations, credit unions, and other institutions; and any other form of
co-ownership with survivorship incidents.

(3) A named beneficiary of a bond, life insurance policy, or other
contractual arrangement who unlawfully and intentionally kills the
principal obligee or the person upon whose life the policy is issued is not
entitled to any benefit under the bond, policy, or other contractual
arrangement; and it becomes payable as though the killer had predeceased
the decedent.

(4) Any other acquisition of property or interest by the killer, including a
life estate in homestead property, shall be treated in accordance with the
principles of this section.

(5) A final judgment of conviction of murder in any degree is conclusive
for purposes of this section. In the absence of a conviction of murder in
any degree, the court may determine by the greater weight of the evidence
whether the killing was unlawful and intentional for purposes of this
section.

(6) This section does not affect the rights of any person who, before
rights under this section have been adjudicated, purchases from the killer



for value and without notice property which the killer would have acquired
except for this section, but the killer is liable for the amount of the
proceeds or the value of the property. Any insurance company, bank, or
other obligor making payment according to the terms of its policy or
obligation is not liable by reason of this section unless prior to payment it
has received at its home office or principal address written notice of a
claim under this section.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 1, ch. 82-71.

Editors notes.
Created from former s. 731.31.



 Title XLII. ,  Ch. 732. ,  Pt. VIII. ,   732.8031. 
Fla. Stat.  732.8031

 732.8031. Forfeiture for abuse, neglect, exploitation, or aggravated
manslaughter of an elderly person or a disabled adult.
(1) A surviving person who is convicted in any state or foreign

jurisdiction of abuse, neglect, exploitation, or aggravated manslaughter of
an elderly person or a disabled adult, as those terms are defined in s.
825.101, for conduct against the decedent or another person on whose
death such beneficiarys interest depends is not entitled to any benefits
under the will of the decedent or the Florida Probate Code, and the estate
of the decedent passes as if the abuser, neglector, exploiter, or killer had
predeceased the decedent. Property appointed by the will of the decedent
to or for the benefit of the abuser, neglector, exploiter, or killer passes as if
the abuser, neglector, exploiter, or killer had predeceased the decedent.
(a) A final judgment of conviction for abuse, neglect, exploitation, or

aggravated manslaughter of the decedent or other person creates a rebuttable
presumption that this section applies.

(b) In the absence of a qualifying conviction, the court may determine by
the greater weight of the evidence whether the decedents or other persons
death was caused by or contributed to by the abusers, neglectors,
exploiters, or killers conduct as defined in s. 825.102, s. 825.103, or s.
782.07(2) for purposes of this section.

(2) A joint tenant who is convicted in any state or foreign jurisdiction of
abuse, neglect, exploitation, or aggravated manslaughter of an elderly
person or a disabled adult, as those terms are defined in s. 825.101, for
conduct against another joint tenant decedent thereby effects a severance of
the interest of the decedent so that the share of the decedent passes as the
decedents sole property and as if the abuser, neglector, exploiter, or killer
has no rights by survivorship. This subsection applies to joint tenancies
with right of survivorship and tenancies by the entirety in real and personal
property; joint and multiple-party accounts in banks, savings and loan
associations, credit unions, and other financial institutions; and any other
form of coownership with survivorship interests.
(a) A final judgment of conviction for abuse, neglect, exploitation, or



aggravated manslaughter of the decedent or other person creates a rebuttable
presumption that this section applies.

(b) In the absence of a qualifying conviction, the court may determine by
the greater weight of the evidence whether the decedents or other persons
death was caused by or contributed to by the abusers, neglectors,
exploiters, or killers conduct as defined in s. 825.102, s. 825.103, or s.
782.07(2) for purposes of this section.

(3) A named beneficiary of a bond, life insurance policy, or other
contractual arrangement who is convicted in any state or foreign
jurisdiction of abuse, neglect, exploitation, or aggravated manslaughter of
an elderly person or a disabled adult, as those terms are defined in s.
825.101, for conduct against the owner or principal obligee of the bond,
life insurance policy, or other contractual arrangement or the person upon
whose life such policy was issued is not entitled to any benefit under the
bond, policy, or other contractual arrangement, and the bond, policy, or
other contractual arrangement becomes payable as though the abuser,
neglector, exploiter, or killer had predeceased the decedent.
(a) A final judgment of conviction for abuse, neglect, exploitation, or

aggravated manslaughter of the decedent or other person creates a rebuttable
presumption that this section applies.

(b) In the absence of a qualifying conviction, the court may determine by
the greater weight of the evidence whether the decedents or other persons
death was caused by or contributed to by the abusers, neglectors,
exploiters, or killers conduct as defined in s. 825.102, s. 825.103, or s.
782.07(2) for purposes of this section.

(4) Any other property or interest acquired as a result of the abuse,
neglect, exploitation, or manslaughter must be returned in accordance with
this section.
(5)(a) This section does not affect the rights of any person who purchases
property for value and without notice from the abuser, neglector, exploiter,
or killer before rights have been adjudicated in accordance with this
section.
(b) The abuser, neglector, exploiter, or killer is liable for the amount of the

proceeds or the value of the property under paragraph (a).



(6) Any insurance company, financial institution, or other obligor
making payment according to the terms of its policy or obligation is not
liable by reason of this section unless more than 2 business days before
payment it receives at its home office or principal address written notice,
or in the case of a financial institution it receives notice in accordance with
s. 655.0201, of a claim under this section.

(7) This section does not apply if it can be proven by clear and
convincing evidence that, after the conviction of abuse, neglect, or
exploitation, the victim of the offense, if capacitated, ratifies an intent that
the person so convicted of abuse, neglect, or exploitation retain his or her
inheritance, survivorship rights, or any other right that might otherwise be
removed by this section by executing a valid written instrument, sworn to
and witnessed by two persons who would be competent as witnesses to a
will, which expresses a specific intent to allow the convicted person to
retain his or her inheritance, survivorship rights, or any other right that
might otherwise be removed by this section.

History.
S. 3, ch. 2021-221, effective July 1, 2021.



 Title XLII. ,  Ch. 732. ,  Pt. VIII. ,   732.804. 
Fla. Stat.  732.804

 732.804. Provisions relating to disposition of the body.
Before issuance of letters, any person may carry out written instructions of

the decedent relating to the decedents body and funeral and burial
arrangements. The fact that cremation occurred pursuant to a written
direction signed by the decedent that the body be cremated is a complete
defense to a cause of action against any person acting or relying on that
direction.

HISTORY:
S. 1, ch. 74-106; s. 43, ch. 75-220; s. 971, ch. 97-102; s. 58, ch. 2001-226.



 Title XLII. ,  Ch. 732. ,  Pt. VIII. ,   732.805. 
Fla. Stat.  732.805

 732.805. Spousal rights procured by fraud, duress, or undue influence.
(1) A surviving spouse who is found to have procured a marriage to the

decedent by fraud, duress, or undue influence is not entitled to any of the
following rights or benefits that inure solely by virtue of the marriage or
the persons status as surviving spouse of the decedent unless the decedent
and the surviving spouse voluntarily cohabited as husband and wife with
full knowledge of the facts constituting the fraud, duress, or undue
influence or both spouses otherwise subsequently ratified the marriage:
(a) Any rights or benefits under the Florida Probate Code, including, but

not limited to, entitlement to elective share or family allowance; preference in
appointment as personal representative; inheritance by intestacy, homestead,
or exempt property; or inheritance as a pretermitted spouse.

(b) Any rights or benefits under a bond, life insurance policy, or other
contractual arrangement if the decedent is the principal obligee or the person
upon whose life the policy is issued, unless the surviving spouse is provided
for by name, whether or not designated as the spouse, in the bond, life
insurance policy, or other contractual arrangement.

(c) Any rights or benefits under a will, trust, or power of appointment,
unless the surviving spouse is provided for by name, whether or not
designated as the spouse, in the will, trust, or power of appointment.

(d) Any immunity from the presumption of undue influence that a
surviving spouse may have under state law.

(2) Any of the rights or benefits listed in paragraphs (1)(a)-(c) which
would have passed solely by virtue of the marriage to a surviving spouse
who is found to have procured the marriage by fraud, duress, or undue
influence shall pass as if the spouse had predeceased the decedent.

(3) A challenge to a surviving spouses rights under this section may be
maintained as a defense, objection, or cause of action by any interested
person after the death of the decedent in any proceeding in which the fact
of marriage may be directly or indirectly material.

(4) The contestant has the burden of establishing, by a preponderance of



the evidence, that the marriage was procured by fraud, duress, or undue
influence. If ratification of the marriage is raised as a defense, the
surviving spouse has the burden of establishing, by a preponderance of the
evidence, the subsequent ratification by both spouses.

(5) In all actions brought under this section, the court shall award
taxable costs as in chancery actions, including attorneys fees. When
awarding taxable costs and attorneys fees, the court may direct payment
from a partys interest, if any, in the estate, or enter a judgment that may be
satisfied from other property of the party, or both.

(6) An insurance company, financial institution, or other obligor making
payment according to the terms of its policy or obligation is not liable by
reason of this section unless, before payment, it received written notice of
a claim pursuant to this section.
(a) The notice required by this subsection must be in writing and must be

accomplished in a manner reasonably suitable under the circumstances and
likely to result in receipt of the notice. Permissible methods of notice include
first-class mail, personal delivery, delivery to the persons last known place
of residence or place of business, or a properly directed facsimile or other
electronic message.

(b) To be effective, notice to a financial institution or insurance company
must contain the name, address, and the taxpayer identification number, or
the account or policy number, of the principal obligee or person whose life is
insured and shall be directed to an officer or a manager of the financial
institution or insurance company in this state. If the financial institution or
insurance company has no offices in this state, the notice shall be directed to
the principal office of the financial institution or insurance company.

(c) Notice shall be effective when given, except that notice to a financial
institution or insurance company is not effective until 5 business days after
being given.

(7) The rights and remedies granted in this section are in addition to any
other rights or remedies a person may have at law or equity.

(8) Unless sooner barred by adjudication, estoppel, or a provision of the
Florida Probate Code or Florida Probate Rules, an interested person is
barred from bringing an action under this section unless the action is



commenced within 4 years after the decedents date of death. A cause of
action under this section accrues on the decedents date of death.

HISTORY:
S. 11, ch. 2010-132, eff. Oct. 1, 2010.



 Title XLII. ,  Ch. 732. ,  Pt. VIII. ,   732.806. 
Fla. Stat.  732.806

 732.806. Gifts to lawyers and other disqualified persons.
(1) Any part of a written instrument which makes a gift to a lawyer or a

person related to the lawyer is void if the lawyer prepared or supervised the
execution of the written instrument, or solicited the gift, unless the lawyer
or other recipient of the gift is related to the person making the gift.

(2) This section is not applicable to a provision in a written instrument
appointing a lawyer, or a person related to the lawyer, as a fiduciary.

(3) A provision in a written instrument purporting to waive the
application of this section is unenforceable.

(4) If property distributed in kind, or a security interest in that property,
is acquired by a purchaser or lender for value from a person who has
received a gift in violation of this section, the purchaser or lender takes title
free of any claims arising under this section and incurs no personal liability
by reason of this section, whether or not the gift is void under this section.

(5) In all actions brought under this section, the court must award
taxable costs as in chancery actions, including attorney fees. When
awarding taxable costs and attorney fees under this section, the court may
direct payment from a partys interest in the estate or trust, or enter a
judgment that may be satisfied from other property of the party, or both.
Attorney fees and costs may not be awarded against a party who, in good
faith, initiates an action under this section to declare a gift void.

(6) If a part of a written instrument is invalid by reason of this section,
the invalid part is severable and may not affect any other part of the written
instrument which can be given effect, including a term that makes an
alternate or substitute gift. In the case of a power of appointment, this
section does not affect the power to appoint in favor of persons other than
the lawyer or a person related to the lawyer.

(7) For purposes of this section:
(a) A lawyer is deemed to have prepared, or supervised the execution of, a

written instrument if the preparation, or supervision of the execution, of the
written instrument was performed by an employee or lawyer employed by the



same firm as the lawyer.
(b) A person is related to an individual if, at the time the lawyer prepared

or supervised the execution of the written instrument or solicited the gift, the
person is:

1. A spouse of the individual;
2. A lineal ascendant or descendant of the individual;
3. A sibling of the individual;
4. A relative of the individual or of the individuals spouse with whom the

lawyer maintains a close, familial relationship;
5. A spouse of a person described in subparagraph 2., subparagraph 3., or

subparagraph 4.; or
6. A person who cohabitates with the individual.
(c) The term written instrument includes, but is not limited to, a will, a

trust, a deed, a document exercising a power of appointment, or a beneficiary
designation under a life insurance contract or any other contractual
arrangement that creates an ownership interest or permits the naming of a
beneficiary.

(d) The term gift includes an inter vivos gift, a testamentary transfer of
real or personal property or any interest therein, and the power to make such
a transfer regardless of whether the gift is outright or in trust; regardless of
when the transfer is to take effect; and regardless of whether the power is
held in a fiduciary or nonfiduciary capacity.

(8) The rights and remedies granted in this section are in addition to any
other rights or remedies a person may have at law or in equity.

(9) This section applies only to written instruments executed on or after
October 1, 2013.

HISTORY:
S. 7, ch. 2013-172, eff. Oct. 1, 2013; s. 1, ch. 2014-127, effective July 1,

2014.

Editors notes.



Section 2, ch. 2014-127, provides: The changes made by this act to s.
732.806, Florida Statutes, are intended to clarify existing law and are
remedial in nature.



 Title XLII. ,  Ch. 732. ,  Pt. IX. 
Fla. Stat. Title XLII, Ch. 732, Pt. IX



PART IX.
PRODUCTION OF WILLS.

 Title XLII. ,  Ch. 732. ,  Pt. IX. ,   732.901. 
Fla. Stat.  732.901

 732.901. Production of wills.
(1) The custodian of a will must deposit the will with the clerk of the

court having venue of the estate of the decedent within 10 days after
receiving information that the testator is dead. The custodian must supply
the testators date of death or the last four digits of the testators social
security number to the clerk upon deposit.

(2) Upon petition and notice, the custodian of any will may be
compelled to produce and deposit the will. All costs, damages, and a
reasonable attorneys fee shall be adjudged to petitioner against the
delinquent custodian if the court finds that the custodian had no just or
reasonable cause for failing to deposit the will.

(3) An original will submitted to the clerk with a petition or other
pleading is deemed to have been deposited with the clerk.

(4) Upon receipt, the clerk shall retain and preserve the original will in
its original form for at least 20 years. If the probate of a will is initiated, the
original will may be maintained by the clerk with the other pleadings
during the pendency of the proceedings, but the will must at all times be
retained in its original form for the remainder of the 20-year period
whether or not the will is admitted to probate or the proceedings are
terminated. Transforming and storing a will on film, microfilm, magnetic,
electronic, optical, or other substitute media or recording a will onto an
electronic recordkeeping system, whether or not in accordance with the
standards adopted by the Supreme Court of Florida, or permanently
recording a will does not eliminate the requirement to preserve the original
will.

(5) For purposes of this section, the term will includes a separate
writing as described in s. 732.515.

HISTORY:



S. 1, ch. 74-106; s. 44, ch. 75-220; s. 18, ch. 92-200; s. 972, ch. 97-102; s.
59, ch. 2001-226; s. 8, ch. 2013-172, eff. Oct. 1, 2013.

Editors notes.
Created from former s. 732.22.



 Title XLII. ,  Ch. 733. 
Fla. Stat. Title XLII, Ch. 733



CHAPTER 733.
PROBATE CODE: ADMINISTRATION OF ESTATES.

 Title XLII. ,  Ch. 733. ,  Pt. I. 
Fla. Stat. Title XLII, Ch. 733, Pt. I



PART I.
GENERAL PROVISIONS.

 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.101. 
Fla. Stat.  733.101

 733.101. Venue of probate proceedings.
(1) The venue for probate of wills and granting letters shall be:

(a) In the county in this state where the decedent was domiciled.
(b) If the decedent had no domicile in this state, then in any county where

the decedents property is located.
(c) If the decedent had no domicile in this state and possessed no property

in this state, then in the county where any debtor of the decedent resides.
(2) For the purpose of this section, a married woman whose husband is

an alien or a nonresident of Florida may establish or designate a separate
domicile in this state.

(3) Whenever a proceeding is filed laying venue in an improper county,
the court may transfer the action in the same manner as provided in the
Florida Rules of Civil Procedure. Any action taken by the court or the
parties before the transfer is not affected by the improper venue.

HISTORY:
S. 1, ch. 74-106; s. 46, ch. 75-220; s. 981, ch. 97-102; s. 78, ch. 2001-226.

Editors notes.
Created from former s. 732.06.



 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.103. 
Fla. Stat.  733.103

 733.103. Effect of probate.
(1) Until admitted to probate in this state or in the state where the

decedent was domiciled, the will shall be ineffective to prove title to, or the
right to possession of, property of the testator.

(2) In any collateral action or proceeding relating to devised property,
the probate of a will in Florida shall be conclusive of its due execution;
that it was executed by a competent testator, free of fraud, duress, mistake,
and undue influence; and that the will was unrevoked on the testators
death.

HISTORY:
S. 1, ch. 74-106; s. 48, ch. 75-220; s. 17, ch. 77-87; s. 1, ch. 77-174; s. 79,

ch. 2001-226.

Editors notes.
Created from former s. 732.26.



 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.104. 
Fla. Stat.  733.104

 733.104. Suspension of statutes of limitation in favor of the personal
representative.
(1) If a person entitled to bring an action dies before the expiration of

the time limited for the commencement of the action and the cause of
action survives, the action may be commenced by that persons personal
representative before the later of the expiration of the time limited for the
commencement of the action or 12 months after the decedents death.

(2) If a person against whom a cause of action exists dies before the
expiration of the time limited for commencement of the action and the
cause of action survives, if a claim is timely filed, the expiration of the
time limited for commencement of the action shall not apply.

HISTORY:
S. 1, ch. 74-106; s. 48, ch. 75-220; s. 1, ch. 77-174; s. 982, ch. 97-102; s.

80, ch. 2001-226.

Editors notes.
Created from former s. 734.27.



 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.105. 
Fla. Stat.  733.105

 733.105. Determination of beneficiaries.
(1) When property passes by intestate succession or the will is unclear

and there is doubt about:
(a) Who is entitled to receive any part of the property, or
(b) The shares and amounts that any person is entitled to receive,
any interested person may petition the court to determine beneficiaries or
their shares.

(2) Any personal representative who makes distribution or takes any
other action pursuant to an order determining beneficiaries shall be fully
protected.

(3) A separate civil action to determine beneficiaries may be brought
when an estate has not been administered.

HISTORY:
S. 1, ch. 74-106; s. 48, ch. 75-220; s. 226, ch. 77-104; s. 1, ch. 77-174; s.

983, ch. 97-102; s. 81, ch. 2001-226.

Editors notes.
Created from former s. 734.25.



 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.1051. 
Fla. Stat.  733.1051

 733.1051. Limited judicial construction of will with federal tax
provisions.
(1) Upon the application of a personal representative or a person who is

or may be a beneficiary who is affected by the outcome of the
construction, a court at any time may construe the terms of a will to define
the respective shares or determine beneficiaries, in accordance with the
intention of a testator, if a disposition occurs during the applicable period
and the will contains a provision that:
(a) Includes a disposition formula referring to the terms unified credit,

estate tax exemption, applicable exemption amount, applicable credit
amount, applicable exclusion amount, generation-skipping transfer tax
exemption, GST exemption, marital deduction, maximum marital
deduction, unlimited marital deduction, or maximum charitable
deduction;

(b) Measures a share of an estate based on the amount that may pass free of
federal estate tax or the amount that may pass free of federal generation-
skipping transfer tax;

(c) Otherwise makes a disposition referring to a charitable deduction,
marital deduction, or another provision of federal estate tax or generation-
skipping transfer tax law; or

(d) Appears to be intended to reduce or minimize the federal estate tax or
generation-skipping transfer tax.

(2) For purposes of this section:
(a) The term applicable period means a period beginning January 1,

2010, and ending on the end of the day on the earlier of December 31, 2010,
or the day before the date that an act becomes law that repeals or otherwise
modifies or has the effect of repealing or modifying s. 901 of the Economic
Growth and Tax Relief Reconciliation Act of 2001.

(b) A disposition occurs when the testator dies.
(3) In construing the will, the court shall consider the terms and



purposes of the will, the facts and circumstances surrounding the creation
of the will, and the testators probable intent. In determining the testators
probable intent, the court may consider evidence relevant to the testators
intent even though the evidence contradicts an apparent plain meaning of
the will.

(4) This section does not apply to a disposition that is specifically
conditioned upon no federal estate or generation-skipping transfer tax
being imposed.
(5)(a) Unless otherwise ordered by the court, during the applicable period
and without court order, the personal representative administering a will
containing one or more provisions described in subsection (1) may:
1. Delay or refrain from making any distribution.
2. Incur and pay fees and costs reasonably necessary to determine its duties

and obligations, including compliance with provisions of existing and
reasonably anticipated future federal tax laws.

3. Establish and maintain reserves for the payment of these fees and costs
and federal taxes.

(b) The personal representative shall not be liable for its actions as
provided in this subsection made or taken in good faith.

(6) The provisions of this section are in addition to, and not in
derogation of, rights under the common law to construe a will.

(7) This section is remedial in nature and intended to provide a new or
modified legal remedy. This section shall operate retroactively to January
1, 2010.

HISTORY:
S. 12, ch. 2010-132, eff. May 27, 2010.



 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.106. 
Fla. Stat.  733.106

 733.106. Costs and attorney fees.
(1) In all probate proceedings, costs may be awarded as in chancery

actions.
(2) A person nominated as personal representative, or any proponent of

a will if the person so nominated does not act within a reasonable time, if
in good faith justified in offering the will in due form for probate, shall
receive costs and attorney fees from the estate even though probate is
denied or revoked.

(3) Any attorney who has rendered services to an estate may be awarded
reasonable compensation from the estate.

(4) If costs and attorney fees are to be paid from the estate under this
section, s. 733.6171(4), s. 736.1005, or s. 736.1006, the court, in its
discretion, may direct from what part of the estate they shall be paid.
(a) If the court directs an assessment against a persons part of the estate

and such part is insufficient to fully pay the assessment, the court may direct
payment from the persons part of a trust, if any, if a pour-over will is
involved and the matter is interrelated with the trust.

(b) All or any part of the costs and attorney fees to be paid from the estate
may be assessed against one or more persons part of the estate in such
proportions as the court finds to be just and proper.

(c) In the exercise of its discretion, the court may consider the following
factors:

1. The relative impact of an assessment on the estimated value of each
persons part of the estate.

2. The amount of costs and attorney fees to be assessed against a persons
part of the estate.

3. The extent to which a person whose part of the estate is to be assessed,
individually or through counsel, actively participated in the proceeding.

4. The potential benefit or detriment to a persons part of the estate



expected from the outcome of the proceeding.
5. The relative strength or weakness of the merits of the claims, defenses,

or objections, if any, asserted by a person whose part of the estate is to be
assessed.

6. Whether a person whose part of the estate is to be assessed was a
prevailing party with respect to one or more claims, defenses, or objections.

7. Whether a person whose part of the estate is to be assessed unjustly
caused an increase in the amount of costs and attorney fees incurred by the
personal representative or another interested person in connection with the
proceeding.

8. Any other relevant fact, circumstance, or equity.
(d) The court may assess a persons part of the estate without finding that

the person engaged in bad faith, wrongdoing, or frivolousness.

HISTORY:
S. 1, ch. 74-106; s. 49, ch. 75-220; s. 984, ch. 97-102; s. 82, ch. 2001-226;

s. 1, ch. 2015-27, effective July 1, 2015.

Editors notes.
Created from former s. 732.14.
Section 11, ch. 2015-27, provides: The amendments made by this act to

ss. 733.106, 736.1005, and 736.1006, Florida Statutes, apply to proceedings
commenced on or after July 1, 2015. The law in effect before July 1, 2015,
applies to proceedings commenced before that date.



 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.1061. 
Fla. Stat.  733.1061

 733.1061. Fees and costs; will reformation and modification.
(1) In a proceeding arising under s. 732.615 or s. 732.616, the court shall

award taxable costs as in chancery actions, including attorneys fees and
guardian ad litem fees.

(2) When awarding taxable costs, including attorneys fees and guardian
ad litem fees, under this section, the court in its discretion may direct
payment from a partys interest, if any, in the estate or enter a judgment
which may be satisfied from other property of the party, or both.

HISTORY:
S. 5, ch. 2011-183, eff. July 1, 2011.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.107. 
Fla. Stat.  733.107

 733.107. Burden of proof in contests; presumption of undue influence.
(1) In all proceedings contesting the validity of a will, the burden shall

be upon the proponent of the will to establish prima facie its formal
execution and attestation. A self-proving affidavit executed in accordance
with s. 732.503 or an oath of an attesting witness executed as required in s.
733.201(2) is admissible and establishes prima facie the formal execution
and attestation of the will. Thereafter, the contestant shall have the burden
of establishing the grounds on which the probate of the will is opposed or
revocation is sought.

(2) In any transaction or event to which the presumption of undue
influence applies, the presumption implements public policy against abuse
of fiduciary or confidential relationships and is therefore a presumption
shifting the burden of proof under ss. 90.301-90.304.

HISTORY:
S. 1, ch. 74-106; s. 50, ch. 75-220; s. 83, ch. 2001-226; s. 5, ch. 2002-82; s.

13, ch. 2010-132, eff. Oct. 1, 2010; s. 3, ch. 2014-127, effective July 1, 2014.

Editors notes.
Created from former s. 732.31.
Section 4, ch. 2014-127, provides: The changes made by this act to s.

733.107, Florida Statutes, are intended to clarify existing law, are remedial in
nature, and apply retroactively to all proceedings pending on or before the
effective date of this act and to all cases commenced on or after the effective
date of this act.



 Title XLII. ,  Ch. 733. ,  Pt. I. ,   733.109. 
Fla. Stat.  733.109

 733.109. Revocation of probate.
(1) A proceeding to revoke the probate of a will shall be brought in the

court having jurisdiction over the administration. Any interested person,
including a beneficiary under a prior will, unless barred under s. 733.212
or s. 733.2123, may commence the proceeding before final discharge of
the personal representative.

(2) Pending the determination of any petition for revocation of probate,
the personal representative shall proceed with the administration of the
estate as if no revocation proceeding had been commenced, except that no
distribution may be made to beneficiaries in contravention of the rights of
those who, but for the will, would be entitled to the property disposed of.

(3) Revocation of probate of a will shall not affect or impair the title to
property purchased in good faith for value from the personal representative
prior to an order of revocation.

HISTORY:
S. 1, ch. 74-106; s. 50, ch. 75-220; s. 18, ch. 77-87; s. 227, ch. 77-104; s.

84, ch. 2001-226.

Editors notes.
Created from former s. 732.30.



 Title XLII. ,  Ch. 733. ,  Pt. II. 
Fla. Stat. Title XLII, Ch. 733, Pt. II



PART II.
COMMENCING ADMINISTRATION.

 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.201. 
Fla. Stat.  733.201

 733.201. Proof of wills.
(1) Self-proved wills executed in accordance with this code may be

admitted to probate without further proof. However, a purportedly self-
proved electronic will may be admitted to probate only in the manners
prescribed in subsections (2) and (3) if the execution of such electronic
will, or the acknowledgment by the testator and the affidavits of the
witnesses, involves an online notarization in which there was a substantial
failure to comply with the procedures set forth in s. 117.265.

(2) A will may be admitted to probate upon the oath of any attesting
witness taken before any circuit judge, commissioner appointed by the
court, or clerk.

(3) If it appears to the court that the attesting witnesses cannot be found
or that they have become incapacitated after the execution of the will or
their testimony cannot be obtained within a reasonable time, a will may be
admitted to probate upon the oath of the personal representative nominated
by the will as provided in subsection (2), whether or not the nominated
personal representative is interested in the estate, or upon the oath of any
person having no interest in the estate under the will stating that the person
believes the writing exhibited to be the true last will of the decedent.

HISTORY:
S. 1, ch. 74-106; s. 51, ch. 75-220; s. 985, ch. 97-102; s. 85, ch. 2001-226;

s. 9, ch. 2009-115, eff. July 1, 2009; s. 38, ch. 2019-71, effective January 1,
2020.

Editors notes.
Created from former s. 732.24.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.202. 
Fla. Stat.  733.202

 733.202. Petition.
Any interested person may petition for administration.

HISTORY:
S. 1, ch. 74-106; s. 52, ch. 75-220; s. 19, ch. 77-87; s. 19, ch. 92-200; s.

986, ch. 97-102; s. 86, ch. 2001-226.

Editors notes.
Created from former s. 732.43.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.204. 
Fla. Stat.  733.204

 733.204. Probate of a will written in a foreign language.
(1) No will written in a foreign language shall be admitted to probate

unless it is accompanied by a true and complete English translation.
(2) No personal representative who complies in good faith with the

English translation of the will as established by the court shall be liable for
doing so.

HISTORY:
S. 1, ch. 74-106; s. 54, ch. 75-220; s. 1, ch. 77-174; s. 88, ch. 2001-226.

Editors notes.
Created from former s. 732.34.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.205. 
Fla. Stat.  733.205

 733.205. Probate of notarial will.
(1) When a copy of a notarial will in the possession of a notary entitled

to its custody in a foreign state or country, the laws of which state or
country require that the will remain in the custody of the notary, duly
authenticated by the notary, whose official position, signature, and seal of
office are further authenticated by an American consul, vice consul, or
other American consular officer within whose jurisdiction the notary is a
resident, or whose official position, signature, and seal of office have been
authenticated according to the requirements of the Hague Convention of
1961, is presented to the court, it may be admitted to probate if the original
could have been admitted to probate in this state.

(2) The duly authenticated copy shall be prima facie evidence of its
purported execution and of the facts stated in the certificate in compliance
with subsection (1).

(3) Any interested person may oppose the probate of such a notarial will
or may petition for revocation of probate of such a notarial will, as in the
original probate of a will in this state.

HISTORY:
S. 1, ch. 74-106; s. 55, ch. 75-220; s. 89, ch. 2001-226; s. 7, ch. 2003-154.

Editors notes.
Created from former s. 732.37.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.206. 
Fla. Stat.  733.206

 733.206. Probate of will of resident after foreign probate.
(1) If a will of any person who dies a resident of this state is admitted to

probate in any other state or country through inadvertence, error, or
omission before probate in this state, the will may be admitted to probate
in this state if the original could have been admitted to probate in this state.

(2) An authenticated copy of the will, foreign proof of the will, the
foreign order of probate, and any letters issued shall be filed instead of the
original will and shall be prima facie evidence of its execution and
admission to foreign probate.

(3) Any interested person may oppose the probate of the will or may
petition for revocation of the probate of the will, as in the original probate
of a will in this state.

HISTORY:
S. 1, ch. 74-106; s. 56, ch. 75-220; s. 90, ch. 2001-226.

Editors notes.
Created from former s. 732.35.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.207. 
Fla. Stat.  733.207

 733.207. Establishment and probate of lost or destroyed will.
Any interested person may establish the full and precise terms of a lost or

destroyed will and offer the will for probate. The specific content of the will
must be proved by the testimony of two disinterested witnesses, or, if a
correct copy is provided, it shall be proved by one disinterested witness.

HISTORY:
S. 1, ch. 74-106; s. 57, ch. 75-220; s. 91, ch. 2001-226.

Editors notes.
Created from former s. 732.27.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.208. 
Fla. Stat.  733.208

 733.208. Discovery of later will.
On the discovery of a later will or codicil, any interested person may

petition to revoke the probate of the earlier will or to probate the later will or
codicil. No will or codicil may be offered after the testate or intestate estate
has been completely administered and the personal representative discharged.

HISTORY:
S. 1, ch. 74-106; s. 58, ch. 75-220; s. 92, ch. 2001-226.

Editors notes.
Created from former s. 732.32.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.209. 
Fla. Stat.  733.209

 733.209. Estates of missing persons.
Any interested person may petition to administer the estate of a missing

person; however, no personal representative shall be appointed until the court
determines the missing person is dead.

HISTORY:
S. 1, ch. 74-106; s. 93, ch. 2001-226.

Editors notes.
Created from former s. 732.53.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.212. 
Fla. Stat.  733.212

 733.212. Notice of administration; filing of objections.
(1) The personal representative shall promptly serve a copy of the notice

of administration on the following persons who are known to the personal
representative:
(a) The decedents surviving spouse;
(b) Beneficiaries;
(c) The trustee of any trust described in s. 733.707(3) and each qualified

beneficiary of the trust as defined in s. 736.0103, if each trustee is also a
personal representative of the estate; and

(d) Persons who may be entitled to exempt property
in the manner provided for service of formal notice, unless served under s.

733.2123. The personal representative may similarly serve a copy of the
notice on any devisees under a known prior will or heirs or others who claim
or may claim an interest in the estate.

(2) The notice shall state:
(a) The name of the decedent, the file number of the estate, the designation

and address of the court in which the proceedings are pending, whether the
estate is testate or intestate, and, if testate, the date of the will and any
codicils.

(b) The name and address of the personal representative and the name and
address of the personal representatives attorney, and that the fiduciary
lawyer-client privilege in s. 90.5021 applies with respect to the personal
representative and any attorney employed by the personal representative.

(c) That any interested person on whom a copy of the notice of
administration is served must file on or before the date that is 3 months after
the date of service of a copy of the notice of administration on that person
any objection that challenges the validity of the will, the venue, or the
jurisdiction of the court. The 3-month time period may only be extended for
estoppel based upon a misstatement by the personal representative regarding
the time period within which an objection must be filed. The time period may



not be extended for any other reason, including affirmative representation,
failure to disclose information, or misconduct by the personal representative
or any other person. Unless sooner barred by subsection (3), all objections to
the validity of a will, venue, or the jurisdiction of the court must be filed no
later than the earlier of the entry of an order of final discharge of the personal
representative or 1 year after service of the notice of administration.

(d) That persons who may be entitled to exempt property under s. 732.402
will be deemed to have waived their rights to claim that property as exempt
property unless a petition for determination of exempt property is filed by
such persons or on their behalf on or before the later of the date that is 4
months after the date of service of a copy of the notice of administration on
such persons or the date that is 40 days after the date of termination of any
proceeding involving the construction, admission to probate, or validity of
the will or involving any other matter affecting any part of the exempt
property.

(e) That, unless an extension is granted pursuant to s.732.2135(2), an
election to take an elective share must be filed on or before the earlier of the
date that is 6 months after the date of service of a copy of the notice of
administration on the surviving spouse, or an attorney in fact or a guardian of
the property of the surviving spouse, or the date that is 2 years after the date
of the decedents death.

(f) That, under certain circumstances and by failing to contest the will, the
recipient of the notice of administration may be waiving his or her right to
contest the validity of a trust or other writing incorporated by reference into a
will.

(3) Any interested person on whom a copy of the notice of
administration is served must object to the validity of the will, the venue,
or the jurisdiction of the court by filing a petition or other pleading
requesting relief in accordance with the Florida Probate Rules on or before
the date that is 3 months after the date of service of a copy of the notice of
administration on the objecting person, or those objections are forever
barred. The 3-month time period may only be extended for estoppel based
upon a misstatement by the personal representative regarding the time
period within which an objection must be filed. The time period may not
be extended for any other reason, including affirmative representation,



failure to disclose information, or misconduct by the personal
representative or any other person. Unless sooner barred by this
subsection, all objections to the validity of a will, venue, or the jurisdiction
of the court must be filed no later than the earlier of the entry of an order of
final discharge of the personal representative or 1 year after service of the
notice of administration.

(4) The appointment of a personal representative or a successor personal
representative shall not extend or renew the period for filing objections
under this section, unless a new will or codicil is admitted.

(5) The personal representative is not individually liable to any person
for giving notice under this section, regardless of whether it is later
determined that notice was not required by this section. The service of
notice in accordance with this section shall not be construed as conferring
any right.

(6) If the personal representative in good faith fails to give notice
required by this section, the personal representative is not liable to any
person for the failure. Liability, if any, for the failure is on the estate.

(7) If a will or codicil is subsequently admitted to probate, the personal
representative shall promptly serve a copy of a new notice of
administration as required for an initial will admission.

(8) For the purpose of determining deadlines established by reference to
the date of service of a copy of the notice of administration in cases in
which such service has been waived, service shall be deemed to occur on
the date the waiver is filed.

HISTORY:
S. 1, ch. 74-106; s. 60, ch. 75-220; s. 227, ch. 77-104; s. 3, ch. 88-340; s. 2,

ch. 89-340; s. 2, ch. 90-23; s. 8, ch. 93-257; s. 7, ch. 95-401; s. 191, ch. 99-
397; s. 94, ch. 2001-226; s. 8, ch. 2003-154; s. 6, ch. 2006-134, eff. July 1,
2006; s. 36, ch. 2006-217, eff. July 1, 2007; s. 8, ch. 2011-183, eff. June 21,
2011; s. 17, ch. 2013-172, eff. Oct. 1, 2013; s. 5, ch. 2020-67, effective
October 1, 2020.

Editors notes.



Created from former s. 732.28.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.

Section 9, ch. 2015-27, provides: The amendments made by this act to ss.
733.212, 733.2123, 733.3101, and 733.504, Florida Statutes, apply to
proceedings commenced on or after July 1, 2015. The law in effect before
July 1, 2015, applies to proceedings commenced before that date.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.2121. 
Fla. Stat.  733.2121

 733.2121. Notice to creditors; filing of claims.
(1) Unless creditors claims are otherwise barred by s. 733.710, the

personal representative shall promptly publish a notice to creditors. The
notice shall contain the name of the decedent, the file number of the estate,
the designation and address of the court in which the proceedings are
pending, the name and address of the personal representative, the name and
address of the personal representatives attorney, and the date of first
publication. The notice shall state that creditors must file claims against the
estate with the court during the time periods set forth in s. 733.702, or be
forever barred.

(2) Publication shall be once a week for 2 consecutive weeks, in a
newspaper published in the county where the estate is administered or, if
there is no newspaper published in the county, in a newspaper of general
circulation in that county.
(3)(a) The personal representative shall promptly make a diligent search to
determine the names and addresses of creditors of the decedent who are
reasonably ascertainable, even if the claims are unmatured, contingent, or
unliquidated, and shall promptly serve a copy of the notice on those
creditors. Impracticable and extended searches are not required. Service is
not required on any creditor who has filed a claim as provided in this part,
whose claim has been paid in full, or whose claim is listed in a personal
representatives timely filed proof of claim.
(b) The personal representative is not individually liable to any person for

giving notice under this section, even if it is later determined that notice was
not required. The service of notice to creditors in accordance with this section
shall not be construed as admitting the validity or enforceability of a claim.

(c) If the personal representative in good faith fails to give notice required
by this section, the personal representative is not liable to any person for the
failure. Liability, if any, for the failure is on the estate.

(d) If a decedent at the time of death was 55 years of age or older, the
personal representative shall promptly serve a copy of the notice to creditors
and provide a copy of the death certificate on the Agency for Health Care



Administration within 3 months after the first publication of the notice to
creditors, unless the agency has already filed a statement of claim in the
estate proceedings.

(e) The personal representative may serve a notice to creditors on the
Department of Revenue only when the Department of Revenue is determined
to be a creditor under paragraph (a).

(4) Claims are barred as provided in ss. 733.702 and 733.710.

HISTORY:
S. 95, ch. 2001-226; s. 9, ch. 2003-154; s. 4, ch. 2005-140; s. 49, ch. 2017-

36, effective May 25, 2017.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.2123. 
Fla. Stat.  733.2123

 733.2123. Adjudication before issuance of letters.
A petitioner may serve formal notice of the petition for administration on

interested persons. A person who is served with such notice before the
issuance of letters or who has waived notice may not challenge the validity of
the will, testacy of the decedent, venue, or jurisdiction of the court, except in
the proceedings before issuance of letters.

HISTORY:
S. 60, ch. 75-220; s. 2, ch. 81-27; s. 987, ch. 97-102; s. 96, ch. 2001-226; s.

14, ch. 2010-132, eff. Oct. 1, 2010; s. 3, ch. 2015-27, effective July 1, 2015.

Editors notes.
Section 9, ch. 2015-27, provides: The amendments made by this act to ss.

733.212, 733.2123, 733.3101, and 733.504, Florida Statutes, apply to
proceedings commenced on or after July 1, 2015. The law in effect before
July 1, 2015, applies to proceedings commenced before that date.



 Title XLII. ,  Ch. 733. ,  Pt. II. ,   733.213. 
Fla. Stat.  733.213

 733.213. Probate as prerequisite to judicial construction of will.
A will may not be construed until it has been admitted to probate.

HISTORY:
S. 1, ch. 74-106; s. 61, ch. 75-220; s. 97, ch. 2001-226.

Editors notes.
Created from former s. 732.42.



 Title XLII. ,  Ch. 733. ,  Pt. III. 
Fla. Stat. Title XLII, Ch. 733, Pt. III



PART III.
PREFERENCE IN APPOINTMENT AND

QUALIFICATIONS OF PERSONAL REPRESENTATIVE.
 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.301. 

Fla. Stat.  733.301

 733.301. Preference in appointment of personal representative.
(1) In granting letters of administration, the following order of

preference shall be observed:
(a) In testate estates:
1. The personal representative, or his or her successor, nominated by the

will or pursuant to a power conferred in the will.
2. The person selected by a majority in interest of the persons entitled to

the estate.
3. A devisee under the will. If more than one devisee applies, the court

may select the one best qualified.
(b) In intestate estates:
1. The surviving spouse.
2. The person selected by a majority in interest of the heirs.
3. The heir nearest in degree. If more than one applies, the court may select

the one best qualified.
(2) A guardian of the property of a ward who if competent would be

entitled to appointment as, or to select, the personal representative may
exercise the right to select the personal representative.

(3) In either a testate or an intestate estate, if no application is made by
any of the persons described in subsection (1), the court shall appoint a
capable person; but no person may be appointed under this subsection:
(a) Who works for, or holds public office under, the court.
(b) Who is employed by, or holds office under, any judge exercising

probate jurisdiction.



(4) After letters have been granted in either a testate or an intestate
estate, if a person who was entitled to, and has not waived, preference over
the person appointed at the time of the appointment and on whom formal
notice was not served seeks the appointment, the letters granted may be
revoked and the person entitled to preference may have letters granted after
formal notice and hearing.

(5) After letters have been granted in either a testate or an intestate
estate, if any will is subsequently admitted to probate, the letters shall be
revoked and new letters granted.

HISTORY:
S. 1, ch. 74-106; s. 62, ch. 75-220; s. 21, ch. 77-87; s. 1, ch. 77-174; s. 988,

ch. 97-102; s. 98, ch. 2001-226.

Editors notes.
Created from former s. 732.44.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.302. 
Fla. Stat.  733.302

 733.302. Who may be appointed personal representative.
Subject to the limitations in this part, any person who is sui juris and is a

resident of Florida at the time of the death of the person whose estate is to be
administered is qualified to act as personal representative in Florida.

HISTORY:
S. 1, ch. 74-106; s. 63, ch. 75-220; s. 5, ch. 79-343; s. 989, ch. 97-102; s.

99, ch. 2001-226.

Editors notes.
Created from former s. 732.45.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.303. 
Fla. Stat.  733.303

 733.303. Persons not qualified.
(1) A person is not qualified to act as a personal representative if the

person:
(a) Has been convicted of a felony.
(b) Has been convicted in any state or foreign jurisdiction of abuse,

neglect, or exploitation of an elderly person or a disabled adult, as those
terms are defined in s. 825.101.

(c) Is mentally or physically unable to perform the duties.
(d) Is under the age of 18 years.

(2) If the person named as personal representative in the will is not
qualified, letters shall be granted as provided in s. 733.301.

HISTORY:
S. 1, ch. 74-106; s. 63, ch. 75-220; s. 22, ch. 77-87; s. 990, ch. 97-102; s. 2,

ch. 2021-221, effective July 1, 2021.

Editors notes.
Created from former s. 732.46.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.304. 
Fla. Stat.  733.304

 733.304. Nonresidents.
A person who is not domiciled in the state cannot qualify as personal

representative unless the person is:
(1) A legally adopted child or adoptive parent of the decedent;
(2) Related by lineal consanguinity to the decedent;
(3) A spouse or a brother, sister, uncle, aunt, nephew, or niece of the

decedent, or someone related by lineal consanguinity to any such person;
or

(4) The spouse of a person otherwise qualified under this section.

HISTORY:
S. 1, ch. 74-106; s. 63, ch. 75-220; s. 6, ch. 79-343.

Editors notes.
Created from former s. 732.47.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.305. 
Fla. Stat.  733.305

 733.305. Trust companies and other corporations and associations.
(1) All trust companies incorporated under the laws of Florida, all state

banking corporations and state savings associations authorized and
qualified to exercise fiduciary powers in Florida, and all national banking
associations and federal savings and loan associations authorized and
qualified to exercise fiduciary powers in Florida shall be entitled to act as
personal representatives and curators of estates.

(2) When a qualified corporation has been named as a personal
representative in a will and subsequently transfers its business and assets
to, consolidates or merges with, or is in any manner provided by law
succeeded by, another qualified corporation, on the death of the testator,
the successor corporation may qualify as personal representative unless the
will provides otherwise.

(3) A corporation authorized and qualified to act as a personal
representative as a result of merger or consolidation shall succeed to the
rights and duties of all predecessor corporations as the personal
representative of estates upon filing proof in the court, and without a new
appointment. A purchase of substantially all the assets and the assumption
of substantially all the liabilities shall be deemed a merger for the purpose
of this section.

HISTORY:
S. 1, ch. 74-106; s. 63, ch. 75-220; s. 1, ch. 77-174; s. 3, ch. 81-27; s. 100,

ch. 2001-226.

Editors notes.
Created from former s. 732.49.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.306. 
Fla. Stat.  733.306

 733.306. Effect of appointment of debtor.
The appointment of a debtor as personal representative shall not extinguish

the debt due the decedent.

HISTORY:
S. 1, ch. 74-106; s. 63, ch. 75-220; s. 101, ch. 2001-226.

Editors notes.
Created from former s. 732.51.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.307. 
Fla. Stat.  733.307

 733.307. Succession of administration.
The personal representative of the estate of a deceased personal

representative is not authorized to administer the estate of the first decedent.
On the death of a sole or surviving personal representative, the court shall
appoint a successor personal representative to complete the administration of
the estate.

HISTORY:
S. 1, ch. 74-106; s. 64, ch. 75-220; s. 102, ch. 2001-226.

Editors notes.
Created from former s. 732.52.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.308. 
Fla. Stat.  733.308

 733.308. Administrator ad litem.
When an estate must be represented and the personal representative is

unable to do so, the court shall appoint an administrator ad litem without
bond to represent the estate in that proceeding. The fact that the personal
representative is seeking reimbursement for claims against the decedent does
not require appointment of an administrator ad litem.

HISTORY:
S. 1, ch. 74-106; s. 65, ch. 75-220; s. 103, ch. 2001-226.

Editors notes.
Created from former s. 732.55.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.309. 
Fla. Stat.  733.309

 733.309. Executor de son tort.
No person shall be liable to a creditor of a decedent as executor de son tort,

but any person taking, converting, or intermeddling with the property of a
decedent shall be liable to the personal representative or curator, when
appointed, for the value of all the property so taken or converted and for all
damages to the estate caused by the wrongful action. This section shall not be
construed to prevent a creditor of a decedent from suing anyone in possession
of property fraudulently conveyed by the decedent to set aside the fraudulent
conveyance.

HISTORY:
S. 1, ch. 74-106; s. 65, ch. 75-220; s. 991, ch. 97-102; s. 104, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. III. ,   733.3101. 
Fla. Stat.  733.3101

 733.3101. Personal representative not qualified.
(1) A personal representative shall resign immediately if the personal

representative knows that he or she was not qualified to act at the time of
appointment.

(2) Any time a personal representative, who was qualified to act at the
time of appointment, knows that he or she would not be qualified for
appointment if application for appointment were then made, the personal
representative shall promptly file and serve a notice setting forth the
reasons. The personal representatives notice shall state that any interested
person may petition to remove the personal representative. An interested
person on whom a copy of the personal representatives notice is served
may file a petition requesting the personal representatives removal within
30 days after the date on which such notice is served.

(3) A personal representative who fails to comply with this section shall
be personally liable for costs, including attorney fees, incurred in any
removal proceeding if the personal representative is removed. This liability
extends to a personal representative who does not know, but should have
known, of the facts that would have required him or her to resign under
subsection (1) or to file and serve notice under subsection (2). This liability
shall be cumulative to any other provided by law.

(4) As used in this section, the term qualified means that the personal
representative is qualified under ss. 733.302-733.305.

HISTORY:
S. 105, ch. 2001-226; s. 4, ch. 2015-27, effective July 1, 2015.

Editors notes.
Section 9, ch. 2015-27, provides: The amendments made by this act to ss.

733.212, 733.2123, 733.3101, and 733.504, Florida Statutes, apply to
proceedings commenced on or after July 1, 2015. The law in effect before
July 1, 2015, applies to proceedings commenced before that date.



 Title XLII. ,  Ch. 733. ,  Pt. IV. 
Fla. Stat. Title XLII, Ch. 733, Pt. IV



PART IV.
FIDUCIARY BONDS.

 Title XLII. ,  Ch. 733. ,  Pt. IV. ,   733.402. 
Fla. Stat.  733.402

 733.402. Bond of fiduciary; when required; form.
(1) Unless the bond requirement has been waived by the will or by the

court, every fiduciary to whom letters are granted shall execute and file a
bond with surety, as defined in s. 45.011, to be approved by the clerk
without a service fee. The bond shall be payable to the Governor and the
Governors successors in office, conditioned on the performance of all
duties as personal representative according to law. The bond must be joint
and several.

(2) No bond shall be void or invalid because of an informality in it or an
informality or illegality in the appointment of the fiduciary. The bond shall
have the same force as if the appointment had been legally made and the
bond executed in proper form.

(3) The requirements of this section shall not apply to banks and trust
companies authorized by law to act as personal representative.

(4) On petition by any interested person or on the courts own motion,
the court may waive the requirement of filing a bond, require a bond,
increase or decrease the bond, or require additional surety.

HISTORY:
S. 1, ch. 74-106; s. 67, ch. 75-220; s. 24, ch. 77-87; s. 1, ch. 77-174; s. 992,

ch. 97-102; s. 107, ch. 2001-226.

Editors notes.
Created from former s. 732.61.



 Title XLII. ,  Ch. 733. ,  Pt. IV. ,   733.403. 
Fla. Stat.  733.403

 733.403. Amount of bond.
All bonds required by this part shall be in the penal sum that the court

deems sufficient after consideration of the gross value of the estate, the
relationship of the personal representative to the beneficiaries, exempt
property and any family allowance, the type and nature of assets, known
creditors, and liens and encumbrances on the assets.

HISTORY:
S. 1, ch. 74-106; s. 67, ch. 75-220; s. 108, ch. 2001-226.

Editors notes.
Created from former ss. 732.63, 732.64, 732.66.



 Title XLII. ,  Ch. 733. ,  Pt. IV. ,   733.404. 
Fla. Stat.  733.404

 733.404. Liability of surety.
No surety for any personal representative or curator shall be charged

beyond the value of the assets of an estate because of any omission or
mistake in pleading or of false pleading of the personal representative or
curator.

HISTORY:
S. 1, ch. 74-106; s. 68, ch. 75-220; s. 109, ch. 2001-226.

Editors notes.
Created from former s. 732.65.



 Title XLII. ,  Ch. 733. ,  Pt. IV. ,   733.405. 
Fla. Stat.  733.405

 733.405. Release of surety.
(1) Subject to the limitations of this section, on the petition of any

interested person, the surety is entitled to be released from liability for the
future acts and omissions of the fiduciary.

(2) Pending the hearing of the petition, the court may restrain the
fiduciary from acting, except to preserve the estate.

(3) On hearing, the court shall enter an order prescribing the amount of
the new bond for the fiduciary and the date when the bond shall be filed. If
the fiduciary fails to give the new bond, the fiduciary shall be removed at
once, and further proceedings shall be had as in cases of removal.

(4) The original surety shall remain liable in accordance with the terms
of its original bond for all acts and omissions of the fiduciary that occur
prior to the approval of the new surety and filing and approval of the bond.
The new surety shall be liable on its bond only after the filing and approval
of the new bond.

HISTORY:
S. 1, ch. 74-106; s. 68, ch. 75-220; s. 993, ch. 97-102; s. 110, ch. 2001-226.

Editors notes.
Created from former s. 732.68.



 Title XLII. ,  Ch. 733. ,  Pt. IV. ,   733.406. 
Fla. Stat.  733.406

 733.406. Bond premium allowable as expense of administration.
A personal representative or other fiduciary required to give bond shall pay

the reasonable premium as an expense of administration.

HISTORY:
S. 613, ch. 59-205; s. 3, ch. 76-168; s. 1, ch. 77-457; ss. 2, 3, ch. 81-318;

ss. 253, 566, ch. 82-243; s. 994, ch. 97-102; s. 111, ch. 2001-226.

Editors notes.
Former s. 627.753.



 Title XLII. ,  Ch. 733. ,  Pt. V. 
Fla. Stat. Title XLII, Ch. 733, Pt. V



PART V.
CURATORS; RESIGNATION AND REMOVAL OF

PERSONAL REPRESENTATIVES.
 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.501. 

Fla. Stat.  733.501

 733.501. Curators.
(1) When it is necessary, the court may appoint a curator after formal

notice to the person apparently entitled to letters of administration. The
curator may be authorized to perform any duty or function of a personal
representative. If there is great danger that any of the decedents property
is likely to be wasted, destroyed, or removed beyond the jurisdiction of the
court and if the appointment of a curator would be delayed by giving
notice, the court may appoint a curator without giving notice.

(2) Bond shall be required of the curator as the court deems necessary.
No bond shall be required of banks and trust companies as curators.

(3) Curators shall be allowed reasonable compensation for their services,
and the court may consider the provisions of s. 733.617.

(4) Curators shall be subject to removal and surcharge.

HISTORY:
S. 1, ch. 74-106; s. 69, ch. 75-220; s. 1, ch. 77-174; s. 995, ch. 97-102; s.

112, ch. 2001-226; s. 108, ch. 2002-1.

Editors notes.
Created from former s. 732.21.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.502. 
Fla. Stat.  733.502

 733.502. Resignation of personal representative.
A personal representative may resign. After notice to all interested persons,

the court may accept the resignation and then revoke the letters of the
resigning personal representative if the interests of the estate are not
jeopardized by the resignation. The acceptance of the resignation shall not
exonerate the personal representative or the surety from liability.

HISTORY:
S. 1, ch. 74-106; s. 69, ch. 75-220; s. 25, ch. 77-87; s. 996, ch. 97-102; s.

113, ch. 2001-226.

Editors notes.
Created from former s. 734.09.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.503. 
Fla. Stat.  733.503

 733.503. Appointment of successor upon resignation.
When the personal representatives resignation is accepted, the court shall

appoint a personal representative or shall appoint a curator to serve until a
successor personal representative is appointed.

HISTORY:
S. 1, ch. 74-106; s. 69, ch. 75-220; s. 997, ch. 97-102; s. 114, ch. 2001-226.

Editors notes.
Created from former s. 734.10.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.5035. 
Fla. Stat.  733.5035

 733.5035. Surrender of assets after resignation.
When the resignation has been accepted by the court, all estate assets,

records, documents, papers, and other property of or concerning the estate in
the resigning personal representatives possession or control shall
immediately be surrendered to the successor fiduciary. The court may
establish the conditions and specify the assets and records, if any, that the
resigning personal representative may retain until the final accounting of the
resigning personal representative has been approved.

HISTORY:
S. 115, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.5036. 
Fla. Stat.  733.5036

 733.5036. Accounting and discharge following resignation.
(1) A resigning personal representative shall file and serve a final

accounting of the personal representatives administration.
(2) After determination and satisfaction of the liability, if any, of the

resigning personal representative, after compensation of the personal
representative and the attorney and other persons employed by the personal
representative, and upon receipt of evidence that undistributed estate assets
have been delivered to the successor fiduciary, the personal representative
shall be discharged, the bond released, and the surety discharged.

HISTORY:
S. 116, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.504. 
Fla. Stat.  733.504

 733.504. Removal of personal representative; causes for removal.
A personal representative shall be removed and the letters revoked if he or

she was not qualified to act at the time of appointment. A personal
representative may be removed and the letters revoked for any of the
following causes:

(1) Adjudication that the personal representative is incapacitated.
(2) Physical or mental incapacity rendering the personal representative

incapable of the discharge of his or her duties.
(3) Failure to comply with any order of the court, unless the order has

been superseded on appeal.
(4) Failure to account for the sale of property or to produce and exhibit

the assets of the estate when so required.
(5) Wasting or maladministration of the estate.
(6) Failure to give bond or security for any purpose.
(7) Conviction of a felony.
(8) Insolvency of, or the appointment of a receiver or liquidator for, any

corporate personal representative.
(9) Holding or acquiring conflicting or adverse interests against the

estate that will or may interfere with the administration of the estate as a
whole. This cause of removal shall not apply to the surviving spouse
because of the exercise of the right to the elective share, family allowance,
or exemptions, as provided elsewhere in this code.

(10) Revocation of the probate of the decedents will that authorized or
designated the appointment of the personal representative.

(11) Removal of domicile from Florida, if domicile was a requirement
of initial appointment.

(12) The personal representative was qualified to act at the time of
appointment but is not now entitled to appointment.



Removal under this section is in addition to any penalties prescribed by
law.

HISTORY:
S. 1, ch. 74-106; s. 69, ch. 75-220; s. 1, ch. 77-174; s. 998, ch. 97-102; s.

117, ch. 2001-226; s. 10, ch. 2009-115, eff. July 1, 2009; s. 5, ch. 2015-27,
effective July 1, 2015.

Editors notes.
Created from former s. 734.11.
Section 9, ch. 2015-27, provides: The amendments made by this act to ss.

733.212, 733.2123, 733.3101, and 733.504, Florida Statutes, apply to
proceedings commenced on or after July 1, 2015. The law in effect before
July 1, 2015, applies to proceedings commenced before that date.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.505. 
Fla. Stat.  733.505

 733.505. Jurisdiction in removal proceedings.
A petition for removal shall be filed in the court having jurisdiction of the

administration.

HISTORY:
S. 1, ch. 74-106; s. 118, ch. 2001-226.

Editors notes.
Created from former s. 734.12.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.506. 
Fla. Stat.  733.506

 733.506. Proceedings for removal.
Proceedings for removal of a personal representative may be commenced

by the court or upon the petition of an interested person. The court shall
revoke the letters of a removed personal representative. The removal of a
personal representative shall not exonerate the removed personal
representative or the removed personal representatives surety from any
liability.

HISTORY:
S. 1, ch. 74-106; s. 71, ch. 75-220; s. 119, ch. 2001-226.

Editors notes.
Created from former s. 734.13.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.5061. 
Fla. Stat.  733.5061

 733.5061. Appointment of successor upon removal.
When a personal representative is removed, the court shall appoint a

personal representative or shall appoint a curator to serve until a successor
personal representative is appointed.

HISTORY:
S. 120, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.508. 
Fla. Stat.  733.508

 733.508. Accounting and discharge of removed personal
representatives upon removal.
(1) A removed personal representative shall file and serve a final

accounting of that personal representatives administration.
(2) After determination and satisfaction of the liability, if any, of the

removed personal representative, after compensation of that personal
representative and the attorney and other persons employed by that
personal representative, and upon receipt of evidence that the estate assets
have been delivered to the successor fiduciary, the removed personal
representative shall be discharged, the bond released, and the surety
discharged.

HISTORY:
S. 1, ch. 74-106; s. 999, ch. 97-102; s. 122, ch. 2001-226.

Editors notes.
Created from former s. 734.15.



 Title XLII. ,  Ch. 733. ,  Pt. V. ,   733.509. 
Fla. Stat.  733.509

 733.509. Surrender of assets upon removal.
Upon entry of an order removing a personal representative, the removed

personal representative shall immediately deliver all estate assets, records,
documents, papers, and other property of or concerning the estate in the
removed personal representatives possession or control to the remaining
personal representative or successor fiduciary.

HISTORY:
S. 1, ch. 74-106; s. 73, ch. 75-220; s. 123, ch. 2001-226.

Editors notes.
Created from former s. 734.16.



 Title XLII. ,  Ch. 733. ,  Pt. VI. 
Fla. Stat. Title XLII, Ch. 733, Pt. VI



PART VI.
DUTIES AND POWERS OF PERSONAL

REPRESENTATIVE.
 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.601. 

Fla. Stat.  733.601

 733.601. Time of accrual of duties and powers.
The duties and powers of a personal representative commence upon

appointment. The powers of a personal representative relate back in time to
give acts by the person appointed, occurring before appointment and
beneficial to the estate, the same effect as those occurring after appointment.
A personal representative may ratify and accept acts on behalf of the estate
done by others when the acts would have been proper for a personal
representative.

HISTORY:
S. 1, ch. 74-106; s. 74, ch. 75-220; s. 1000, ch. 97-102; s. 124, ch. 2001-

226.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.602. 
Fla. Stat.  733.602

 733.602. General duties.
(1) A personal representative is a fiduciary who shall observe the

standards of care applicable to trustees. A personal representative is under
a duty to settle and distribute the estate of the decedent in accordance with
the terms of the decedents will and this code as expeditiously and
efficiently as is consistent with the best interests of the estate. A personal
representative shall use the authority conferred by this code, the authority
in the will, if any, and the authority of any order of the court, for the best
interests of interested persons, including creditors.

(2) A personal representative shall not be liable for any act of
administration or distribution if the act was authorized at the time. Subject
to other obligations of administration, a probated will is authority to
administer and distribute the estate according to its terms. An order of
appointment of a personal representative is authority to distribute
apparently intestate assets to the heirs of the decedent if, at the time of
distribution, the personal representative is not aware of a proceeding
challenging intestacy or a proceeding questioning the appointment or
fitness to continue. Nothing in this section affects the duty of the personal
representative to administer and distribute the estate in accordance with the
rights of interested persons.

HISTORY:
S. 1, ch. 74-106; s. 74, ch. 75-220; s. 27, ch. 77-87; s. 1, ch. 77-174; s. 270,

ch. 79-400; s. 3, ch. 89-340; s. 1001, ch. 97-102; s. 125, ch. 2001-226; s. 37,
ch. 2006-217, eff. July 1, 2007; s. 11, ch. 2009-115, eff. July 1, 2009.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.603. 
Fla. Stat.  733.603

 733.603. Personal representative to proceed without court order.
A personal representative shall proceed expeditiously with the settlement

and distribution of a decedents estate and, except as otherwise specified by
this code or ordered by the court, shall do so without adjudication, order, or
direction of the court. A personal representative may invoke the jurisdiction
of the court to resolve questions concerning the estate or its administration.

HISTORY:
S. 1, ch. 74-106; s. 1002, ch. 97-102; s. 126, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.604. 
Fla. Stat.  733.604

 733.604. Inventories and accountings; public records exemptions.
(1)(a) Unless an inventory has been previously filed, a personal
representative shall file a verified inventory of property of the estate,
listing it with reasonable detail and including for each listed item its
estimated fair market value at the date of the decedents death.
(b)1. Any inventory of an estate, whether initial, amended, or
supplementary, filed with the clerk of the court in conjunction with the
administration of an estate is confidential and exempt from s. 119.07(1)
and s. 24(a), Art. I of the State Constitution.
2. Any inventory of an elective estate, whether initial, amended, or

supplementary, filed with the clerk of the court in conjunction with an
election made in accordance with part II of chapter 732 is confidential and
exempt from s. 119.07(1) and s. 24(a), Art. I of the State Constitution.

3. Any accounting, whether interim, final, amended, or supplementary,
filed with the clerk of court in an estate proceeding is confidential and
exempt from s. 119.07(1) and s. 24(a), Art. I of the State Constitution.

4. Any inventory or accounting made confidential and exempt by
subparagraph 1., subparagraph 2., or subparagraph 3. shall be disclosed by
the custodian for inspection or copying:

a. To the personal representative;
b. To the personal representatives attorney;
c. To an interested person as defined in s. 731.201; or
d. By court order upon a showing of good cause.
5. These exemptions apply to any inventory or accounting filed before, on,

or after July 1, 2009.
(2) If the personal representative learns of any property not included in

the original inventory, or learns that the estimated value or description
indicated in the original inventory for any item is erroneous or misleading,
the personal representative shall file a verified amended or supplementary



inventory showing any new items and their estimated value at the date of
the decedents death, or the revised estimated value or description.

(3) Upon written request to the personal representative, a beneficiary
shall be furnished a written explanation of how the inventory value for an
asset was determined, or, if an appraisal was obtained, a copy of the
appraisal, as follows:
(a) To a residuary beneficiary or heir in an intestate estate, regarding all

inventoried assets.
(b) To any other beneficiary, regarding all assets distributed or proposed to

be distributed to that beneficiary.
The personal representative must notify each beneficiary of that
beneficiarys rights under this subsection. Neither a request nor the failure
to request information under this subsection affects any rights of a
beneficiary in subsequent proceedings concerning any accounting of the
personal representative or the propriety of any action of the personal
representative.

HISTORY:
S. 1, ch. 74-106; s. 76, ch. 75-220; s. 1, ch. 80-127; s. 4, ch. 84-106; s. 1,

ch. 85-72; s. 29, ch. 85-342; s. 68, ch. 87-226; s. 28, ch. 95-401; s. 1003, ch.
97-102; s. 13, ch. 97-240; s. 127, ch. 2001-226; s. 1, ch. 2009-230, eff. July 1,
2009; s. 1, ch. 2014-82, effective July 1, 2014.

Editors notes.
Section 2, ch. 2009-230 provides: The Legislature finds that it is a public

necessity to exempt from public records requirements all inventories of
property of estates of decedents, including amended and supplementary
inventories, and all inventories of elective estates of surviving spouses,
whether initial, amended, or supplementary. In addition, in order to preserve
the privacy of information that would otherwise be available in an accounting
filed in an estate proceeding, the Legislature finds that it is a public necessity
that all accountings, whether interim, final, amended, or supplementary, filed
in the estate proceeding be made exempt from public records requirements.
The Legislature finds that the public disclosure of estate inventories and
accountings would make public financial information of the decedent that



would produce undue harm to the heirs of the decedent or beneficiaries of the
decedents estate.

Created from former s. 733.03.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.6065. 
Fla. Stat.  733.6065

 733.6065. Opening safe-deposit box.
(1) Subject to the provisions of s. 655.936(2), the initial opening of a

safe-deposit box that is leased or coleased by the decedent shall be
conducted in the presence of any two of the following persons: an
employee of the institution where the box is located, the personal
representative, or the personal representatives attorney of record. Each
person who is present must verify the contents of the box by signing a
copy of the inventory under penalties of perjury. The personal
representative shall file the safe-deposit box inventory, together with a
copy of the box entry record from a date which is 6 months prior to the
date of death to the date of inventory, with the court within 10 days after
the box is opened. Unless otherwise ordered by the court, this inventory
and the attached box entry record is subject to inspection only by persons
entitled to inspect an inventory under s. 733.604(1). The personal
representative may remove the contents of the box.

(2) The right to open and examine the contents of a safe-deposit box
leased by a decedent, or any documents delivered by a decedent for
safekeeping, and to receive items as provided for in s. 655.935 is separate
from the rights provided for in subsection (1).

HISTORY:
S. 129, ch. 2001-226; s. 7, ch. 2006-134, eff. July 1, 2006; s. 71, ch. 2006-

213, eff. October 1, 2006.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.607. 
Fla. Stat.  733.607

 733.607. Possession of estate.
(1) Except as otherwise provided by a decedents will, every personal

representative has a right to, and shall take possession or control of, the
decedents property, except the protected homestead, but any real property
or tangible personal property may be left with, or surrendered to, the
person presumptively entitled to it unless possession of the property by the
personal representative will be necessary for purposes of administration.
The request by a personal representative for delivery of any property
possessed by a beneficiary is conclusive evidence that the possession of the
property by the personal representative is necessary for the purposes of
administration, in any action against the beneficiary for possession of it.
The personal representative shall take all steps reasonably necessary for the
management, protection, and preservation of the estate until distribution
and may maintain an action to recover possession of property or to
determine the title to it.

(2) If, after providing for statutory entitlements and all devises other
than residuary devises, the assets of the decedents estate are insufficient to
pay the expenses of the administration and obligations of the decedents
estate, the personal representative is entitled to payment from the trustee of
a trust described in s. 733.707(3), in the amount the personal representative
certifies in writing to be required to satisfy the insufficiency, subject to the
exclusions and preferences under s. 736.05053. The provisions of s.
733.805 shall apply in determining the amount of any payment required by
this section.

HISTORY:
S. 1, ch. 74-106; s. 28, ch. 77-87; s. 9, ch. 93-257; s. 9, ch. 95-401; s. 1005,

ch. 97-102; s. 130, ch. 2001-226; s. 1, ch. 2010-122, eff. July 1, 2010.

Editors notes.
Created from former s. 733.01.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.608. 
Fla. Stat.  733.608

 733.608. General power of the personal representative.
(1) All real and personal property of the decedent, except the protected

homestead, within this state and the rents, income, issues, and profits from
it shall be assets in the hands of the personal representative:
(a) For the payment of devises, family allowance, elective share, estate and

inheritance taxes, claims, charges, and expenses of the administration and
obligations of the decedents estate.

(b) To enforce contribution and equalize advancement.
(c) For distribution.

(2) If property that reasonably appears to the personal representative to
be protected homestead is not occupied by a person who appears to have
an interest in the property, the personal representative is authorized, but not
required, to take possession of that property for the limited purpose of
preserving, insuring, and protecting it for the person having an interest in
the property, pending a determination of its homestead status. If the
personal representative takes possession of that property, any rents and
revenues may be collected by the personal representative for the account of
the heir or devisee, but the personal representative shall have no duty to
rent or otherwise make the property productive.

(3) If the personal representative expends funds or incurs obligations to
preserve, maintain, insure, or protect the property referenced in subsection
(2), the personal representative shall be entitled to a lien on that property
and its revenues to secure repayment of those expenditures and obligations
incurred. These expenditures and obligations incurred, including, but not
limited to, fees and costs, shall constitute a debt owed to the personal
representative that is charged against and which may be secured by a lien
on the protected homestead, as provided in this section. The debt shall
include any amounts paid for these purposes after the decedents death and
prior to the personal representatives appointment to the extent later
ratified by the personal representative in the court proceeding provided for
in this section.



(a) On the petition of the personal representative or any interested person,
the court having jurisdiction of the administration of the decedents estate
shall adjudicate the amount of the debt after formal notice to the persons
appearing to have an interest in the property.

(b) The persons having an interest in the protected homestead shall have no
personal liability for the repayment of the above noted debt. The personal
representative may enforce payment of the debt through any of the following
methods:

1. By foreclosure of the lien as provided in this section;
2. By offset of the debt against any other property in the personal

representatives possession that otherwise would be distributable to any
person having an interest in the protected homestead, but only to the extent of
the fraction of the total debt owed to the personal representative the
numerator of which is the value of that persons interest in the protected
homestead and the denominator of which is the total value of the protected
homestead; or

3. By offset of the debt against the revenues from the protected homestead
received by the personal representative.

(4) The personal representatives lien shall attach to the property and
take priority as of the date and time a notice of that lien is recorded in the
official records of the county where that property is located, and the lien
may secure expenditures and obligations incurred, including, but not
limited to, fees and costs made before or after recording the notice. The
notice of lien may be recorded before adjudicating the amount of the debt.
The notice of lien shall also be filed in the probate proceeding, but failure
to do so does not affect the validity of the lien. A copy of the notice of lien
shall be served in the manner provided for service of formal notice upon
each person appearing to have an interest in the property. The notice of
lien must state:
(a) The name and address of the personal representative and the personal

representatives attorney;
(b) The legal description of the property;
(c) The name of the decedent and also, to the extent known to the personal

representative, the name and address of each person appearing to have an



interest in the property; and
(d) That the personal representative has expended or is obligated to expend

funds to preserve, maintain, insure, and protect the property and that the lien
stands as security for recovery of those expenditures and obligations incurred,
including, but not limited to, fees and costs.

Substantial compliance with the foregoing provisions renders the notice in
comportment with this section.

(5) The lien shall terminate upon the earliest of:
(a) Recording a satisfaction or release signed by the personal representative

in the official records of the county where the property is located;
(b) The discharge of the personal representative when the estate

administration is complete;
(c) One year from the recording of the lien in the official records unless a

proceeding to determine the debt or enforce the lien has been filed; or
(d) The entry of an order releasing the lien.

(6) Within 14 days after receipt of the written request of any interested
person, the personal representative shall deliver to the requesting person at
a place designated in the written request an estoppel letter setting forth the
unpaid balance of the debt secured by the lien referred to in this section.
After complete satisfaction of the debt secured by the lien, the personal
representative shall record within 30 days after complete payment, a
satisfaction of the lien in the official records of the county where the
property is located. If a judicial proceeding is necessary to compel
compliance with the provisions of this subsection, the prevailing party
shall be entitled to an award of attorneys fees and costs.

(7) The lien created by this section may be foreclosed in the manner of
foreclosing a mortgage under the provisions of chapter 702.

(8) In any action for enforcement of the debt described in this section,
the court shall award taxable costs as in chancery actions, including
reasonable attorneys fees.

(9) A personal representative entitled to recover a debt for expenditures
and obligations incurred, including, but not limited to, fees and costs,



under this section may be relieved of the duty to enforce collection by an
order of the court finding:
(a) That the estimated court costs and attorneys fees in collecting the debt

will approximate or exceed the amount of the recovery; or
(b) That it is impracticable to enforce collection in view of the

improbability of collection.
(10) A personal representative shall not be liable for failure to attempt to

enforce collection of the debt if the personal representative reasonably
believes it would have been economically impracticable.

(11) The personal representative shall not be liable for failure to take
possession of the protected homestead or to expend funds on its behalf. In
the event that the property is determined by the court not to be protected
homestead, subsections (2)-(10) shall not apply and any liens previously
filed shall be deemed released upon recording of the order in the official
records of the county where the property is located.

(12) Upon the petition of an interested party to accommodate a sale or
the encumbrance of the protected homestead, the court may transfer the
lien provided for in this section from the property to the proceeds of the
sale or encumbrance by requiring the deposit of the proceeds into a
restricted account subject to the lien. The court shall have continuing
jurisdiction over the funds deposited. The transferred lien shall attach only
to the amount asserted by the personal representative, and any proceeds in
excess of that amount shall not be subject to the lien or otherwise restricted
under this section. Alternatively, the personal representative and the
apparent owners of the protected homestead may agree to retain in escrow
the amount demanded as reimbursement by the personal representative, to
be held there under the continuing jurisdiction of the court pending a final
determination of the amount properly reimbursable to the personal
representative under this section.

(13) This act shall apply to estates of decedents dying after the date on
which this act becomes a law.

HISTORY:
S. 1, ch. 74-106; s. 29, ch. 77-87; s. 131, ch. 2001-226; s. 10, ch. 2003-154;



s. 15, ch. 2010-132, eff. Oct. 1, 2010.

Editors notes.
Created from former s. 733.01(1).



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.609. 
Fla. Stat.  733.609

 733.609. Improper exercise of power; breach of fiduciary duty.
(1) A personal representatives fiduciary duty is the same as the

fiduciary duty of a trustee of an express trust, and a personal representative
is liable to interested persons for damage or loss resulting from the breach
of this duty. In all actions for breach of fiduciary duty or challenging the
exercise of or failure to exercise a personal representatives powers, the
court shall award taxable costs as in chancery actions, including attorneys
fees.

(2) When awarding taxable costs, including attorneys fees, under this
section, the court in its discretion may direct payment from a partys
interest, if any, in the estate or enter a judgment which may be satisfied
from other property of the party, or both.

(3) This section shall apply to all proceedings commenced hereunder
after the effective date, without regard to the date of the decedents death.

HISTORY:
S. 1, ch. 74-106; s. 78, ch. 75-220; s. 1006, ch. 97-102; s. 132, ch. 2001-

226; s. 11, ch. 2003-154.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.610. 
Fla. Stat.  733.610

 733.610. Sale, encumbrance, or transaction involving conflict of
interest.

Any sale or encumbrance to the personal representative or the personal
representatives spouse, agent, or attorney, or any corporation, other entity, or
trust in which the personal representative, or the personal representatives
spouse, agent, or attorney, has a substantial beneficial or ownership interest,
or any transaction that is affected by a conflict of interest on the part of the
personal representative, is voidable by any interested person except one who
has consented after fair disclosure, unless:

(1) The will or a contract entered into by the decedent expressly
authorized the transaction; or

(2) The transaction is approved by the court after notice to interested
persons.

HISTORY:
S. 1, ch. 74-106; s. 78, ch. 75-220; s. 1007, ch. 97-102; s. 133, ch. 2001-

226; s. 6, ch. 2020-67, effective July 1, 2020.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.611. 
Fla. Stat.  733.611

 733.611. Persons dealing with the personal representative; protection.
Except as provided in s. 733.613(1), a person who in good faith either

assists or deals for value with a personal representative is protected as if the
personal representative acted properly. The fact that a person knowingly
deals with the personal representative does not require the person to inquire
into the authority of the personal representative. A person is not bound to see
to the proper application of estate assets paid or delivered to the personal
representative. This protection extends to instances in which a procedural
irregularity or jurisdictional defect occurred in proceedings leading to the
issuance of letters, including a case in which the alleged decedent is alive.
This protection is in addition to any protection afforded by comparable
provisions of the laws relating to commercial transactions and laws
simplifying transfers of securities by fiduciaries.

HISTORY:
S. 1, ch. 74-106; s. 78, ch. 75-220; s. 30, ch. 77-87; s. 1, ch. 77-174; s.

1008, ch. 97-102; s. 134, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.612. 
Fla. Stat.  733.612

 733.612. Transactions authorized for the personal representative;
exceptions.

Except as otherwise provided by the will or court order, and subject to the
priorities stated in s. 733.805, without court order, a personal representative,
acting reasonably for the benefit of the interested persons, may properly:

(1) Retain assets owned by the decedent, pending distribution or
liquidation, including those in which the personal representative is
personally interested or that are otherwise improper for fiduciary
investments.

(2) Perform or compromise, or, when proper, refuse to perform, the
decedents contracts. In performing the decedents enforceable contracts to
convey or lease real property, among other possible courses of action, the
personal representative may:
(a) Convey the real property for cash payment of all sums remaining due or

for the purchasers note for the sum remaining due, secured by a mortgage on
the property.

(b) Deliver a deed in escrow, with directions that the proceeds, when paid
in accordance with the escrow agreement, be paid as provided in the escrow
agreement.

(3) Receive assets from fiduciaries or other sources.
(4) Invest funds as provided in ss. 518.10-518.14, considering the

amount to be invested, liquidity needs of the estate, and the time until
distribution will be made.

(5) Acquire or dispose of an asset, excluding real property in this or
another state, for cash or on credit and at public or private sale, and
manage, develop, improve, exchange, partition, or change the character of
an estate asset.

(6) Make ordinary or extraordinary repairs or alterations in buildings or
other structures; demolish improvements; or erect new party walls or
buildings.



(7) Enter into a lease, as lessor or lessee, for a term within, or extending
beyond, the period of administration, with or without an option to renew.

(8) Enter into a lease or arrangement for exploration and removal of
minerals or other natural resources or enter into a pooling or unitization
agreement.

(9) Abandon property when it is valueless or so encumbered, or in a
condition, that it is of no benefit to the estate.

(10) Vote, or refrain from voting, stocks or other securities in person or
by general or limited proxy.

(11) Pay calls, assessments, and other sums chargeable or accruing
against, or on account of, securities, unless barred by the provisions
relating to claims.

(12) Hold property in the name of a nominee or in other form without
disclosure of the interest of the estate, but the personal representative is
liable for any act of the nominee in connection with the property so held.

(13) Insure the assets of the estate against damage or loss and insure
against personal and fiduciary liability to third persons.

(14) Borrow money, with or without security, to be repaid from the
estate assets or otherwise, other than real property, and advance money for
the protection of the estate.

(15) Extend, renew, or in any manner modify any obligation owing to
the estate. If the personal representative holds a mortgage, security interest,
or other lien upon property of another person, he or she may accept a
conveyance or transfer of encumbered assets from the owner in satisfaction
of the indebtedness secured by its lien instead of foreclosure.

(16) Pay taxes, assessments, and other expenses incident to the
administration of the estate.

(17) Sell or exercise stock subscription or conversion rights or consent,
directly or through a committee or other agent, to the reorganization,
consolidation, merger, dissolution, or liquidation of a corporation or other
business enterprise.

(18) Allocate items of income or expense to either estate income or



principal, as permitted or provided by law.
(19) Employ persons, including, but not limited to, attorneys,

accountants, auditors, appraisers, investment advisers, and others, even if
they are one and the same as the personal representative or are associated
with the personal representative, to advise or assist the personal
representative in the performance of administrative duties; act upon the
recommendations of those employed persons without independent
investigation; and, instead of acting personally, employ one or more agents
to perform any act of administration, whether or not discretionary. Any
fees and compensation paid to a person who is the same as, associated
with, or employed by, the personal representative shall be taken into
consideration in determining the personal representatives compensation.

(20) Prosecute or defend claims or proceedings in any jurisdiction for
the protection of the estate, of the decedents property, and of the personal
representative.

(21) Sell, mortgage, or lease any personal property of the estate or any
interest in it for cash, credit, or for part cash or part credit, and with or
without security for the unpaid balance.

(22) Continue any unincorporated business or venture in which the
decedent was engaged at the time of death:
(a) In the same business form for a period of not more than 4 months from

the date of appointment, if continuation is a reasonable means of preserving
the value of the business, including good will.

(b) In the same business form for any additional period of time that may be
approved by court order.

(23) Provide for exoneration of the personal representative from
personal liability in any contract entered into on behalf of the estate.

(24) Satisfy and settle claims and distribute the estate as provided in this
code.

(25) Enter into agreements with the proper officer or department head,
commissioner, or agent of any department of the government of the United
States, waiving the statute of limitations concerning the assessment and
collection of any federal tax or any deficiency in a federal tax.



(26) Make partial distribution to the beneficiaries of any part of the
estate not necessary to satisfy claims, expenses of administration, taxes,
family allowance, exempt property, and an elective share, in accordance
with the decedents will or as authorized by operation of law.

(27) Execute any instruments necessary in the exercise of the personal
representatives powers.

HISTORY:
S. 1, ch. 74-106; s. 78, ch. 75-220; s. 3, ch. 76-172; s. 31, ch. 77-87; s. 1,

ch. 77-174; s. 271, ch. 79-400; s. 1009, ch. 97-102; s. 135, ch. 2001-226; s. 7,
ch. 2020-67, effective October 1, 2020.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.6121. 
Fla. Stat.  733.6121

 733.6121. Personal representative; powers as to environmental issues
relating to property subject to administration; liability.
(1) Except as otherwise provided by the will or by court order, and

subject to s. 733.805, the personal representative has, without court
authorization, the powers specified in subsection (2).

(2) A personal representative has the power, acting reasonably and for
the benefit of the interested persons:
(a) To inspect or investigate, or cause to be inspected or investigated,

property subject to administration, including interests in sole proprietorships,
partnerships, or corporations and any assets owned by such a business entity
for the purpose of determining compliance with an environmental law
affecting that property or to respond to an actual or threatened violation of an
environmental law affecting that property;

(b) To take, on behalf of the estate, any action necessary to prevent, abate,
or otherwise remedy an actual or potential violation of an environmental law
affecting property subject to administration, either before or after initiation of
an enforcement action by a governmental body;

(c) To settle or compromise at any time any claim against the estate or the
personal representative that may be asserted by a governmental body or
private party which involves the alleged violation of an environmental law
affecting property subject to administration over which the personal
representative has responsibility;

(d) To disclaim any power granted by any document, statute, or rule of law
which, in the sole judgment of the personal representative, could cause the
personal representative to incur personal liability, or the estate to incur
liability, under any environmental law;

(e) To decline to serve as a personal representative, or having undertaken
to serve, to resign at any time, if the personal representative believes that
there is or could be a conflict of interest because of potential claims or
liabilities that could be asserted on behalf of the estate by reason of the type
or condition of the assets held; or



(f) To charge against the assets of the estate the cost of any inspection,
investigation, review, abatement, response, cleanup, or remedial action
considered reasonable by the personal representative; and, in the event of the
closing or termination of the estate or the transfer of the estate property to
another personal representative, to hold moneys sufficient to cover the cost of
cleaning up any known environmental problem.

(3) A personal representative is not personally liable to any beneficiary
or any other party for a decrease in value of assets in an estate by reason of
the personal representatives compliance or efforts to comply with an
environmental law, specifically including any reporting requirement under
that law.

(4) A personal representative who acquires ownership or control of a
vessel or other property without having owned, operated, or materially
participated in the management of that vessel or property before assuming
ownership or control as personal representative is not considered an owner
or operator for purposes of liability under chapter 376, chapter 403, or any
other environmental law. A personal representative who willfully,
knowingly, or recklessly causes or exacerbates a release or threatened
release of a hazardous substance is personally liable for the cost of the
response, to the extent that the release or threatened release is attributable
to the personal representatives activities. This subsection does not
preclude the filing of claims against the assets that constitute the estate
held by the personal representative or the filing of actions against the
personal representative as representative of the estate. In such an action, an
award or judgment against the personal representative must be satisfied
only from the assets of the estate.

(5) Neither the acceptance by the personal representative of the property
or a failure by the personal representative to inspect or investigate the
property creates any inference of liability under an environmental law with
respect to that property.

(6) For the purposes of this section, the term environmental law means
a federal, state, or local law, rule, regulation, or ordinance that relates to
protection of the environment or human health, and the term hazardous
substance means a substance, material, or waste defined as hazardous or
toxic, or any contaminant, pollutant, or constituent thereof, or otherwise



regulated by an environmental law.
(7) This section applies to any estate admitted to probate on or after July

1, 1995.

HISTORY:
S. 18, ch. 95-401; s. 1010, ch. 97-102; s. 136, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.613. 
Fla. Stat.  733.613

 733.613. Personal representatives right to sell real property.
(1) When a personal representative of an intestate estate, or whose

testator has not conferred a power of sale or whose testator has granted a
power of sale but the power is so limited by the will or by operation of law
that it cannot be conveniently exercised, shall consider that it is for the best
interest of the estate and of those interested in it that real property be sold,
the personal representative may sell it at public or private sale. No title
shall pass until the court authorizes or confirms the sale. No bona fide
purchaser shall be required to examine any proceedings before the order of
sale.

(2) When a decedents will confers specific power to sell or mortgage
real property or a general power to sell any asset of the estate, the personal
representative may sell, mortgage, or lease, without authorization or
confirmation of court, any real property of the estate or any interest therein
for cash or credit, or for part cash and part credit, and with or without
security for unpaid balances. The sale, mortgage, or lease need not be
justified by a showing of necessity, and the sale pursuant to power of sale
shall be valid.

(3) In a sale or mortgage which occurs under a specific power to sell or
mortgage real property, or under a court order authorizing or confirming
that act, the purchaser or lender takes title free of claims of creditors of the
estate and entitlements of estate beneficiaries, except existing mortgages or
other liens against real property are not affected.

HISTORY:
S. 1, ch. 74-106; s. 78, ch. 75-220; s. 1011, ch. 97-102; s. 137, ch. 2001-

226.

Editors notes.
Created from former s. 733.23.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.614. 
Fla. Stat.  733.614

 733.614. Powers and duties of successor personal representative.
A successor personal representative has the same power and duty as the

original personal representative to complete the administration and
distribution of the estate as expeditiously as possible, but shall not exercise
any power made personal to the personal representative named in the will
without court approval.

HISTORY:
S. 1, ch. 74-106; s. 78, ch. 75-220; s. 1012, ch. 97-102; s. 138, ch. 2001-

226.

Editors notes.
Created from former s. 734.10.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.615. 
Fla. Stat.  733.615

 733.615. Joint personal representatives; when joint action required.
(1) If two or more persons are appointed joint personal representatives,

and unless the will provides otherwise, the concurrence of all joint
personal representatives appointed pursuant to a will or codicil executed
prior to October 1, 1987, or appointed to administer an intestate estate of a
decedent who died prior to October 1, 1987, or of a majority of joint
personal representatives appointed pursuant to a will or codicil executed on
or after October 1, 1987, or appointed to administer an intestate estate of a
decedent dying on or after October 1, 1987, is required on all acts
connected with the administration and distribution of the estate. This
restriction does not apply when any joint personal representative receives
and receipts for property due the estate, when the concurrence required
under this subsection cannot readily be obtained in the time reasonably
available for emergency action necessary to preserve the estate, or when a
joint personal representative has been delegated to act for the others.

(2) Where action by a majority of the joint personal representatives
appointed is authorized, a joint personal representative who has not joined
in exercising a power is not liable to the beneficiaries or to others for the
consequences of the exercise, and a dissenting joint personal representative
is not liable for the consequences of an action in which the dissenting
personal representative joins at the direction of the majority of the joint
personal representatives, if the dissent is expressed in writing to the other
joint personal representatives at or before the time of the action.

(3) A person dealing with a joint personal representative without actual
knowledge that joint personal representatives have been appointed, or if
advised by a joint personal representative that the joint personal
representative has authority to act alone for any of the reasons mentioned
in subsection (1), is as fully protected in dealing with that joint personal
representative as if that joint personal representative possessed and
properly exercised the power.

HISTORY:
S. 1, ch. 74-106; s. 1, ch. 87-317; s. 4, ch. 88-340; s. 1013, ch. 97-102; s.



139, ch. 2001-226.

Editors notes.
Created from former s. 732.50.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.616. 
Fla. Stat.  733.616

 733.616. Powers of surviving personal representatives.
Unless otherwise provided by the terms of the will or a court order, every

power exercisable by joint personal representatives may be exercised by the
one or more remaining after the appointment of one or more is terminated. If
one or more, but not all, nominated as joint personal representatives are not
appointed, those appointed may exercise all powers granted to those
nominated.

HISTORY:
S. 1, ch. 74-106; s. 140, ch. 2001-226.

Editors notes.
Created from former s. 732.52.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.617. 
Fla. Stat.  733.617

 733.617. Compensation of personal representative.
(1) A personal representative shall be entitled to a commission payable

from the estate assets without court order as compensation for ordinary
services. The commission shall be based on the compensable value of the
estate, which is the inventory value of the probate estate assets and the
income earned by the estate during administration.

(2) A commission computed on the compensable value of the estate is
presumed to be reasonable compensation for a personal representative in
formal administration as follows:
(a) At the rate of 3 percent for the first $1 million.
(b) At the rate of 2.5 percent for all above $1 million and not exceeding $5

million.
(c) At the rate of 2 percent for all above $5 million and not exceeding $10

million.
(d) At the rate of 1.5 percent for all above $10 million.

(3) In addition to the previously described commission, a personal
representative shall be allowed further compensation as is reasonable for
any extraordinary services including, but not limited to:
(a) The sale of real or personal property.
(b) The conduct of litigation on behalf of or against the estate.
(c) Involvement in proceedings for the adjustment or payment of any taxes.
(d) The carrying on of the decedents business.
(e) Dealing with protected homestead.
(f) Any other special services which may be necessary for the personal

representative to perform.
(4) If the will provides that a personal representatives compensation

shall be based upon specific criteria, other than a general reference to
commissions allowed by law or words of similar import, including, but not



limited to, rates, amounts, commissions, or reference to the personal
representatives regularly published schedule of fees in effect at the
decedents date of death, or words of similar import, then a personal
representative shall be entitled to compensation in accordance with that
provision. However, except for references in the will to the personal
representatives regularly published schedule of fees in effect at the
decedents date of death, or words of similar import, if there is no written
contract with the decedent regarding compensation, a personal
representative may renounce the provisions contained in the will and be
entitled to compensation under this section. A personal representative may
also renounce the right to all or any part of the compensation.

(5) If the probate estates compensable value is $100,000 or more, and
there are two representatives, each personal representative is entitled to the
full commission allowed to a sole personal representative. If there are more
than two personal representatives and the probate estates compensable
value is $100,000 or more, the compensation to which two would be
entitled must be apportioned among the personal representatives. The basis
for apportionment shall be one full commission allowed to the personal
representative who has possession of and primary responsibility for
administration of the assets and one full commission among the remaining
personal representatives according to the services rendered by each of them
respectively. If the probate estates compensable value is less than
$100,000 and there is more than one personal representative, then one full
commission must be apportioned among the personal representatives
according to the services rendered by each of them respectively.

(6) Except as otherwise provided in this section, if the personal
representative is a member of The Florida Bar and has rendered legal
services in connection with the administration of the estate, then in
addition to a fee as personal representative, there also shall be allowed a
fee for the legal services rendered.

(7) Upon petition of any interested person, the court may increase or
decrease the compensation for ordinary services of the personal
representative or award compensation for extraordinary services if the facts
and circumstances of the particular administration warrant. In determining
reasonable compensation, the court shall consider all of the following
factors, giving weight to each as it determines to be appropriate:



(a) The promptness, efficiency, and skill with which the administration
was handled by the personal representative;

(b) The responsibilities assumed by and the potential liabilities of the
personal representative;

(c) The nature and value of the assets that are affected by the decedents
death;

(d) The benefits or detriments resulting to the estate or interested persons
from the personal representatives services;

(e) The complexity or simplicity of the administration and the novelty of
the issues presented;

(f) The personal representatives participation in tax planning for the estate
and the estates beneficiaries and in tax return preparation, review, or
approval;

(g) The nature of the probate, nonprobate, and exempt assets, the expenses
of administration, the liabilities of the decedent, and the compensation paid to
other professionals and fiduciaries;

(h) Any delay in payment of the compensation after the services were
furnished; and

(i) Any other relevant factors.
(8)(a) An attorney serving as a personal representative, or a person related
to the attorney, is not entitled to compensation for serving as a personal
representative if the attorney prepared or supervised the execution of the
will that nominated the attorney or person related to the attorney as
personal representative, unless the attorney or person nominated is related
to the testator, or the attorney makes the following disclosures to the
testator before the will is executed:
1. Subject to certain statutory limitations, most family members, regardless

of their residence, and any other persons who are residents of Florida,
including friends and corporate fiduciaries, are eligible to serve as a personal
representative;

2. Any person, including an attorney, who serves as a personal
representative is entitled to receive reasonable compensation for serving as a



personal representative; and
3. Compensation payable to the personal representative is in addition to

any attorney fees payable to the attorney or the attorneys firm for legal
services rendered to the personal representative.

(b)1. The testator must execute a written statement acknowledging that the
disclosures required under paragraph (a) were made prior to the execution
of the will. The written statement must be in a separate writing from the
will but may be annexed to the will. The written statement may be
executed before or after the execution of the will in which the attorney or
related person is nominated as the personal representative.
2. The written statement must be in substantially the following form:
I, (Name), declare that:
I have designated my attorney, an attorney employed in the same law firm

as my attorney, or a person related to my attorney as a nominated personal
representative in my will or codicil dated (insert date)

Before executing the will or codicil, I was informed that:
1. Subject to certain statutory limitations, most family members, regardless

of their residence, and any other individuals who are residents of Florida,
including friends and corporate fiduciaries, are eligible to serve as a personal
representative.

2. Any person, including an attorney, who serves as a personal
representative is entitled to receive reasonable compensation for serving as a
personal representative.

3. Compensation payable to the personal representative is in addition to
any attorney fees payable to the attorney or the attorneys firm for legal
services rendered to the personal representative.

(c) For purposes of this subsection:
1. An attorney is deemed to have prepared or supervised the execution of a

will if the preparation or supervision of the execution of the will was
performed by an employee or attorney employed by the same firm as the



attorney at the time the will was executed.
2. A person is related to an individual if, at the time the attorney

prepared or supervised the execution of the will, the person is:
a. A spouse of the individual;
b. A lineal ascendant or descendant of the individual;
c. A sibling of the individual;
d. A relative of the individual or of the individuals spouse with whom the

attorney maintains a close, familial relationship;
e. A spouse of a person described in sub-subparagraphs b.-d.;
f. A person who cohabitates with the individual; or
g. An employee or attorney employed by the same firm as the attorney at

the time the will is executed.
3. An attorney or a person related to the attorney is deemed to have been

nominated in the will when the will nominates the attorney or the person
related to the attorney as personal representative, copersonal representative,
successor, or alternate personal representative in the event another person
nominated is unable to or unwilling to serve, or provides the attorney or any
person related to the attorney with the power to nominate the personal
representative and the attorney or person related to the attorney was
nominated using that power.

(d) Other than compensation payable to the personal representative, this
subsection does not limit any rights or remedies that any interested person
may have at law or in equity.

(e) The failure to obtain an acknowledgment from the testator under this
subsection does not disqualify a personal representative from serving and
does not affect the validity of a will.

(f) This subsection applies to all nominations made pursuant to a will:
1. Executed by a resident of this state on or after October 1, 2020; or
2. Republished by a resident of this state on or after October 1, 2020, if the

republished will nominates the attorney who prepared or supervised the
execution of the instrument that republished the will, or a person related to



such attorney, as personal representative.

HISTORY:
S. 1, ch. 74-106; s. 80, ch. 75-220; s. 1, ch. 76-172; s. 5, ch. 88-340; s. 1,

ch. 90-129; s. 10, ch. 93-257; s. 1, ch. 95-401; s. 141, ch. 2001-226; s. 109,
ch. 2002-1; s. 8, ch. 2020-67, effective October 1, 2020.

Editors notes.
Created from former s. 734.01.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.6171. 
Fla. Stat.  733.6171

 733.6171. Compensation of attorney for the personal representative.
(1) Except as provided in paragraph (2)(d), attorneys for personal

representatives are entitled to reasonable compensation payable from the
estate assets without court order.
(2)(a) The attorney, the personal representative, and persons bearing the
impact of the compensation may agree to compensation determined in a
different manner than provided in this section. Compensation may also be
determined in a different manner than provided in this section if the
manner is disclosed to the parties bearing the impact of the compensation
and if no objection is made as provided for in the Florida Probate Rules.
(b) An attorney representing a personal representative in an estate

administration who intends to charge a fee based upon the schedule set forth
in subsection (3) shall make the following disclosures in writing to the
personal representative:

1. There is not a mandatory statutory attorney fee for estate administration.
2. The attorney fee is not required to be based on the size of the estate, and

the presumed reasonable fee provided in subsection (3) may not be
appropriate in all estate administrations.

3. The fee is subject to negotiation between the personal representative and
the attorney.

4. The selection of the attorney is made at the discretion of the personal
representative, who is not required to select the attorney who prepared the
will.

5. The personal representative shall be entitled to a summary of ordinary
and extraordinary services rendered for the fees agreed upon at the
conclusion of the representation. The summary shall be provided by counsel
and shall consist of the total hours devoted to the representation or a detailed
summary of the services performed during the representation.

(c) The attorney shall obtain the personal representatives timely signature
acknowledging the disclosures.



(d) If the attorney does not make the disclosures required by this section,
the attorney may not be paid for legal services without prior court approval of
the fees or the written consent of all interested parties.

(3) Subject to subsection (2), compensation for ordinary services of
attorneys in a formal estate administration is presumed to be reasonable if
based on the compensable value of the estate, which is the inventory value
of the probate estate assets and the income earned by the estate during the
administration as provided in the following schedule:
(a) One thousand five hundred dollars for estates having a value of $40,000

or less.
(b) An additional $750 for estates having a value of more than $40,000 and

not exceeding $70,000.
(c) An additional $750 for estates having a value of more than $70,000 and

not exceeding $100,000.
(d) For estates having a value in excess of $100,000, at the rate of 3

percent on the next $900,000.
(e) At the rate of 2.5 percent for all above $1 million and not exceeding $3

million.
(f) At the rate of 2 percent for all above $3 million and not exceeding $5

million.
(g) At the rate of 1.5 percent for all above $5 million and not exceeding

$10 million.
(h) At the rate of 1 percent for all above $10 million.

(4) Subject to subsection (2), in addition to fees for ordinary services,
the attorney for the personal representative shall be allowed further
reasonable compensation for any extraordinary service. What is an
extraordinary service may vary depending on many factors, including the
size and complexity of the estate. Extraordinary services may include, but
are not limited to:
(a) Involvement in a will contest, will construction, a proceeding for

determination of beneficiaries, a contested claim, elective share proceeding,
apportionment of estate taxes, or any adversarial proceeding or litigation by



or against the estate.
(b) Representation of the personal representative in audit or any

proceeding for adjustment, determination, or collection of any taxes.
(c) Tax advice on postmortem tax planning, including, but not limited to,

disclaimer, renunciation of fiduciary commission, alternate valuation date,
allocation of administrative expenses between tax returns, the QTIP or
reverse QTIP election, allocation of GST exemption, qualification for
Internal Revenue Code ss. 6166 and 303 privileges, deduction of last illness
expenses, fiscal year planning, distribution planning, asset basis
considerations, handling income or deductions in respect of a decedent,
valuation discounts, special use and other valuation, handling employee
benefit or retirement proceeds, prompt assessment request, or request for
release of personal liability for payment of tax.

(d) Review of estate tax return and preparation or review of other tax
returns required to be filed by the personal representative.

(e) Preparation of the estates federal estate tax return. If this return is
prepared by the attorney, a fee of one-half of 1 percent up to a value of $10
million and one-fourth of 1 percent on the value in excess of $10 million of
the gross estate as finally determined for federal estate tax purposes, is
presumed to be reasonable compensation for the attorney for this service.
These fees shall include services for routine audit of the return, not beyond
the examining agent level, if required.

(f) Purchase, sale, lease, or encumbrance of real property by the personal
representative or involvement in zoning, land use, environmental, or other
similar matters.

(g) Legal advice regarding carrying on of the decedents business or
conducting other commercial activity by the personal representative.

(h) Legal advice regarding claims for damage to the environment or related
procedures.

(i) Legal advice regarding homestead status of real property or
proceedings involving that status and services related to protected
homestead.

(j) Involvement in fiduciary, employee, or attorney compensation disputes.



(k) Proceedings involving ancillary administration of assets not subject to
administration in this state.

(5) Upon petition of any interested person, the court may increase or
decrease the compensation for ordinary services of the attorney or award
compensation for extraordinary services if the facts and circumstances of
the particular administration warrant. In determining reasonable
compensation, the court shall consider all of the following factors, giving
weight to each as it determines to be appropriate:
(a) The promptness, efficiency, and skill with which the administration

was handled by the attorney.
(b) The responsibilities assumed by and the potential liabilities of the

attorney.
(c) The nature and value of the assets that are affected by the decedents

death.
(d) The benefits or detriments resulting to the estate or interested persons

from the attorneys services.
(e) The complexity or simplicity of the administration and the novelty of

issues presented.
(f) The attorneys participation in tax planning for the estate and the

estates beneficiaries and tax return preparation, review, or approval.
(g) The nature of the probate, nonprobate, and exempt assets, the expenses

of administration, the liabilities of the decedent, and the compensation paid to
other professionals and fiduciaries.

(h) Any delay in payment of the compensation after the services were
furnished.

(i) Any agreement relating to the attorneys compensation and
whether written disclosures were made to the personal representative
in a timely manner under the circumstances pursuant to subsection
(2).

(j) Any other relevant factors.
(6) If a separate written agreement regarding compensation exists

between the attorney and the decedent, the attorney shall furnish a copy to



the personal representative prior to commencement of employment, and, if
employed, shall promptly file and serve a copy on all interested persons. A
separate agreement or a provision in the will suggesting or directing that
the personal representative retain a specific attorney does not obligate the
personal representative to employ the attorney or obligate the attorney to
accept the representation, but if the attorney who is a party to the
agreement or who drafted the will is employed, the compensation paid
shall not exceed the compensation provided in the agreement or in the will.

HISTORY:
S. 4, ch. 93-257; s. 2, ch. 95-401; s. 142, ch. 2001-226; s. 1, ch. 2021-145,

effective October 1, 2021.

Editors notes.
Sections 6166 and 303 of the Internal Revenue Code, referred to in this

section, are codified as 26 U.S.C.S.  6166 and 303, respectively.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.6175. 
Fla. Stat.  733.6175

 733.6175. Proceedings for review of employment of agents and
compensation of personal representatives and employees of estate.
(1) The court may review the propriety of the employment of any person

employed by the personal representative and the reasonableness of any
compensation paid to that person or to the personal representative.

(2) Court proceedings to determine reasonable compensation of the
personal representative or any person employed by the personal
representative, if required, are a part of the estate administration process,
and the costs, including attorneys fees, of the person assuming the burden
of proof of propriety of the employment and reasonableness of the
compensation shall be determined by the court and paid from the assets of
the estate unless the court finds the requested compensation to be
substantially unreasonable. The court shall direct from which part of the
estate the compensation shall be paid.

(3) The burden of proof of propriety of the employment and the
reasonableness of the compensation shall be upon the personal
representative and the person employed. Any person who is determined to
have received excessive compensation from an estate for services rendered
may be ordered to make appropriate refunds.

(4) The court may determine reasonable compensation for the personal
representative or any person employed by the personal representative
without receiving expert testimony. Any party may offer expert testimony
after notice to interested persons. If expert testimony is offered, a
reasonable expert witness fee shall be awarded by the court and paid from
the assets of the estate. The court shall direct from what part of the estate
the fee shall be paid.

HISTORY:
S. 2, ch. 76-172; s. 1014, ch. 97-102; s. 143, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.619. 
Fla. Stat.  733.619

 733.619. Individual liability of personal representative.
(1) Unless otherwise provided in the contract, a personal representative

is not individually liable on a contract, except a contract for attorneys fee,
properly entered into as fiduciary unless the personal representative fails to
reveal that representative capacity and identify the estate in the contract.

(2) A personal representative is individually liable for obligations arising
from ownership or control of the estate or for torts committed in the course
of administration of the estate only if personally at fault.

(3) Claims based on contracts, except a contract for attorneys fee,
entered into by a personal representative as a fiduciary, on obligations
arising from ownership or control of the estate, or on torts committed in
the course of estate administration, may be asserted against the estate by
proceeding against the personal representative in that capacity, whether or
not the personal representative is individually liable.

(4) Issues of liability as between the estate and the personal
representative individually may be determined in a proceeding for
accounting, surcharge, or indemnification, or other appropriate proceeding.

HISTORY:
S. 82, ch. 75-220; s. 32, ch. 77-87; s. 228, ch. 77-104; s. 1015, ch. 97-102;

s. 144, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VI. ,   733.620. 
Fla. Stat.  733.620

 733.620. Exculpation of personal representative.
(1) A term of a will relieving a personal representative of liability to a

beneficiary for breach of fiduciary duty is unenforceable to the extent that
the term:
(a) Relieves the personal representative of liability for breach of fiduciary

duty committed in bad faith or with reckless indifference to the purposes of
the will or the interests of interested persons; or

(b) Was inserted into the will as the result of an abuse by the personal
representative of a fiduciary or confidential relationship with the testator.

(2) An exculpatory term drafted or caused to be drafted by the personal
representative is invalid as an abuse of a fiduciary or confidential
relationship unless:
(a) The personal representative proves that the exculpatory term is fair

under the circumstances.
(b) The terms existence and contents were adequately communicated

directly to the testator or to the independent attorney of the testator. This
paragraph applies only to wills created on or after July 1, 2007.

HISTORY:
S. 15, ch. 2007-74, eff. July 1, 2007.



 Title XLII. ,  Ch. 733. ,  Pt. VII. 
Fla. Stat. Title XLII, Ch. 733, Pt. VII



PART VII.
CREDITORS CLAIMS.

 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.701. 
Fla. Stat.  733.701

 733.701. Notifying creditors.
Unless creditors claims are otherwise barred by s. 733.710, every personal

representative shall cause notice to creditors to be published and served under
s. 733.2121.

HISTORY:
S. 1, ch. 74-106; s. 83, ch. 75-220; s. 33, ch. 77-87; s. 4, ch. 89-340; s. 145,

ch. 2001-226; s. 31, ch. 2003-154.

Editors notes.
Section 31, ch. 2003-154 reenacted 733.701 without change to incorporate

amendments to statutory sections referenced therein.
Created from former s. 733.15.



 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.702. 
Fla. Stat.  733.702

 733.702. Limitations on presentation of claims.
(1) If not barred by s. 733.710, no claim or demand against the

decedents estate that arose before the death of the decedent, including
claims of the state and any of its political subdivisions, even if the claims
are unmatured, contingent, or unliquidated; no claim for funeral or burial
expenses; no claim for personal property in the possession of the personal
representative; and no claim for damages, including, but not limited to, an
action founded on fraud or another wrongful act or omission of the
decedent, is binding on the estate, on the personal representative, or on any
beneficiary unless filed in the probate proceeding on or before the later of
the date that is 3 months after the time of the first publication of the notice
to creditors or, as to any creditor required to be served with a copy of the
notice to creditors, 30 days after the date of service on the creditor, even
though the personal representative has recognized the claim or demand by
paying a part of it or interest on it or otherwise. The personal representative
may settle in full any claim without the necessity of the claim being filed
when the settlement has been approved by the interested persons.

(2) No cause of action, including, but not limited to, an action founded
upon fraud or other wrongful act or omission, shall survive the death of the
person against whom the claim may be made, whether or not an action is
pending at the death of the person, unless a claim is filed within the time
periods set forth in this part.

(3) Any claim not timely filed as provided in this section is barred even
though no objection to the claim is filed unless the court extends the time
in which the claim may be filed. An extension may be granted only upon
grounds of fraud, estoppel, or insufficient notice of the claims period. No
independent action or declaratory action may be brought upon a claim
which was not timely filed unless an extension has been granted by the
court. If the personal representative or any other interested person serves
on the creditor a notice to file a petition for an extension, the creditor shall
be limited to a period of 30 days from the date of service of the notice in
which to file a petition for extension.



(4) Nothing in this section affects or prevents:
(a) A proceeding to enforce any mortgage, security interest, or other lien

on property of the decedent.
(b) To the limits of casualty insurance protection only, any proceeding to

establish liability that is protected by the casualty insurance.
(c) The filing of a cross-claim or counterclaim against the estate in an

action instituted by the estate; however, no recovery on a cross-claim or
counterclaim shall exceed the estates recovery in that action.

(5) Nothing in this section shall extend the limitations period set forth in
s. 733.710.

HISTORY:
S. 1, ch. 74-106; s. 84, ch. 75-220; s. 2, ch. 80-127; s. 4, ch. 81-27; s. 160,

ch. 83-216; s. 5, ch. 84-106; s. 4, ch. 85-79; s. 6, ch. 88-340; s. 5, ch. 89-340;
s. 4, ch. 90-23; s. 1016, ch. 97-102; s. 146, ch. 2001-226; s. 6, ch. 2002-82; s.
26, ch. 2006-312, eff. January 1, 2007; s. 21, ch. 2010-4, eff. June 29, 2010.

Revisors note.
Former subsection (5), which authorized the Department of Revenue to file

a claim against the estate of a decedent for taxes due under chapter 199 after
the expiration of the time for filing claims provided in subsection (1), if the
department filed its claim within 30 days after the service of the inventory,
was repealed by s. 26, ch. 2006-312, Laws of Florida, effective January 1,
2009. Since the subsection was not repealed by a current session of the
Legislature, ch. 2010-4, a revisers bill, also repealed the subsection. See s.
11.242(5)(b) and (i).

Editors notes.
Created from former s. 733.16.
Section 23, ch. 2010-4 provides: This act shall take effect on the 60th day

after adjournment sine die of the session of the Legislature in which enacted.



 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.703. 
Fla. Stat.  733.703

 733.703. Form and manner of presenting claim.
(1) A creditor shall file a written statement of the claim. No additional

charge may be imposed by a claimant who files a claim against the estate.
(2) Within the time allowed by s. 733.702, the personal representative

may file a proof of claim of all claims he or she has paid or intends to pay.
A claimant whose claim is listed in a personal representatives proof of
claim shall be deemed to have filed a statement of the claim listed. Except
as provided otherwise in this part, the claim shall be treated as if the
claimant had filed it.

HISTORY:
S. 1, ch. 74-106; s. 84, ch. 75-220; s. 5, ch. 81-27; s. 5, ch. 85-79; s. 6, ch.

89-340; s. 147, ch. 2001-226.

Editors notes.
Created from former s. 733.16.



 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.704. 
Fla. Stat.  733.704

 733.704. Amendment of claims.
If a bona fide attempt to file a claim is made but the claim is defective as to

form, the court may permit the amendment of the claim at any time.

HISTORY:
S. 1, ch. 74-106; s. 1, ch. 77-174; s. 148, ch. 2001-226.

Editors notes.
Created from former s. 733.17.



 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.705. 
Fla. Stat.  733.705

 733.705. Payment of and objection to claims.
(1) The personal representative shall pay all claims within 1 year from

the date of first publication of notice to creditors, provided that the time
shall be extended with respect to claims in litigation, unmatured claims,
and contingent claims for the period necessary to dispose of those claims
pursuant to subsections (5), (6), (7), and (8). The court may extend the time
for payment of any claim upon a showing of good cause. No personal
representative shall be compelled to pay the debts of the decedent until
after the expiration of 5 months from the first publication of notice to
creditors. If any person brings an action against a personal representative
within the 5 months on any claim to which the personal representative has
not filed an objection, the plaintiff shall not receive any costs or attorneys
fees, nor shall the judgment change the class of the claim for payment
under this code.

(2) On or before the expiration of 4 months from the first publication of
notice to creditors or within 30 days from the timely filing or amendment
of a claim, whichever occurs later, a personal representative or other
interested person may file a written objection to a claim. If an objection is
filed, the person filing it shall serve a copy of the objection as provided by
the Florida Probate Rules. The failure to serve a copy of the objection
constitutes an abandonment of the objection. For good cause, the court
may extend the time for filing or serving an objection to any claim.
Objection to a claim constitutes an objection to an amendment of that
claim unless the objection is withdrawn.

(3) If the objection is filed by a person other than the personal
representative, the personal representative may apply to the court for an
order relieving him or her from the obligation to defend the estate in an
independent action or for the appointment of the objector as administrator
ad litem to defend the action. Fees for the attorney for the administrator ad
litem may be awarded as provided in s. 733.106(3). If costs or attorneys
fees are awarded from or against the estate, the probate court may charge
or apportion that award as provided in s. 733.106(4).



(4) An objection by an interested person to a personal representatives
proof of claim shall state the particular item or items to which the
interested person objects and shall be filed and served as provided in
subsection (2). Issues of liability as between the estate and the personal
representative individually for items listed in a personal representatives
proof of claim shall be determined in the estate administration, in a
proceeding for accounting or surcharge, or in another appropriate
proceeding, whether or not an objection has been filed. If an objection to
an item listed as to be paid in a personal representatives proof of claim is
filed and served, and the personal representative has not paid the item, the
other subsections of this section shall apply as if a claim for the item had
been filed by the claimant; but if the personal representative has paid the
claim after listing it as to be paid, issues of liability as between the estate
and the personal representative individually shall be determined in the
manner provided for an item listed as paid.

(5) The claimant is limited to a period of 30 days from the date of
service of an objection within which to bring an independent action upon
the claim, or a declaratory action to establish the validity and amount of an
unmatured claim which is not yet due but which is certain to become due
in the future, or a declaratory action to establish the validity of a contingent
claim upon which no cause of action has accrued on the date of service of
an objection and that may or may not become due in the future, unless an
extension of this time is agreed to by the personal representative in writing
before it expires.
(a) For good cause, the court may extend the time for filing an action or

proceeding after objection is filed. No action or proceeding on the claim may
be brought against the personal representative after the time limited above,
and the claim is barred without court order.

(b) If an action or proceeding by the claimant is pending against the
decedent at the time of the decedents death, the requirement to bring an
independent action is satisfied if, within 30 days after the filing of an
objection to the claim:

1. A motion complying with all applicable rules of procedure is filed, or a
similar procedure is initiated, to substitute the proper party; or

2. An order substituting the proper party is entered.



(c) If the decedent entered into a binding arbitration agreement relating to
the claim during his or her lifetime, or if arbitration is required under s.
731.401, the requirement to bring an independent action is satisfied if, within
30 days after the filing of an objection to the claim, a motion to compel
arbitration against the proper party is initiated, as provided for in s. 682.03.

(d) If arbitration was commenced before the decedents death, the
requirement to bring an independent action is satisfied if, within 30 days after
the filing of an objection to the claim, notice is given to the proper party. If
the arbitration was commenced by order of the court, the notice must take the
form of a timely filed motion, complying with all applicable rules of
procedure, to substitute the proper party.

(e) If an objection is filed to the claim of any claimant and the claimant
brings an action to establish the claim, a judgment establishing the claim shall
give it no priority over claims of the same class to which it belongs.

(6) A claimant may bring an independent action or declaratory action
upon a claim which was not timely filed pursuant to s. 733.702(1) only if
the claimant has been granted an extension of time to file the claim
pursuant to s. 733.702(3).

(7) If an unmatured claim has not become due before the time for
distribution of an estate, the personal representative may prepay the full
amount of principal plus accrued interest due on the claim, without
discount and without penalty, regardless of any prohibition against
prepayment or provision for penalty in any instrument on which the claim
is founded. If the claim is not prepaid, no order of discharge may be
entered until the creditor and personal representative have filed an
agreement disposing of the claim, or in the absence of an agreement until
the court provides for payment by one of the following methods:
(a) Requiring the personal representative to reserve such assets as the court

determines to be adequate to pay the claim when it becomes due; in fixing the
amount to be reserved, the court may determine the value of any security or
collateral to which the creditor may resort for payment of the claim and may
direct the reservation, if necessary, of sufficient assets to pay the claim or to
pay the difference between the value of any security or collateral and the
amount necessary to pay the claim. If the estate is insolvent, the court may
direct a proportionate amount to be reserved. The court shall direct that the



amount reserved be retained by the personal representative until the time that
the claim becomes due, and that so much of the reserved amount as is not
used for payment be distributed according to law;

(b) Requiring that the claim be adequately secured by a mortgage, pledge,
bond, trust, guaranty, or other security, as may be determined by the court,
the security to remain in effect until the time the claim becomes due, and so
much of the security or collateral as is not needed for payment be distributed
according to law; or

(c) Making provisions for the disposition or satisfaction of the claim as are
equitable, and in a manner so as not to delay unreasonably the closing of the
estate.

(8) If no cause of action has accrued on a contingent claim before the
time for distribution of an estate, no order of discharge may be entered
until the creditor and the personal representative have filed an agreement
disposing of the claim or, in the absence of an agreement, until:
(a) The court determines that the claim is adequately secured or that it has

no value,
(b) Three months from the date on which a cause of action accrues upon

the claim, provided that no action on the claim is then pending,
(c) Five years from the date of first publication of notice to creditors, or
(d) The court provides for payment of the claim upon the happening of the

contingency by one of the methods described in paragraph (a), paragraph (b),
or paragraph (c) of subsection (7),

whichever occurs first. No action or proceeding on the claim may be
brought against the personal representative after the time limited above,
and the claim is barred without court order. If an objection is filed to the
claim of any creditor and the creditor brings an action to establish the
claim, a judgment establishing the claim shall give it no priority over
claims of the same class to which it belongs.

(9) Interest shall be paid by the personal representative on written
obligations of the decedent providing for the payment of interest. On all
other claims, interest shall be allowed and paid beginning 5 months from
the first publication of the notice to creditors.



(10) The court may determine all issues concerning claims or matters
not requiring trial by jury.

(11) An order for extension of time authorized under this section may be
entered only in the estate administration proceeding.

HISTORY:
S. 1, ch. 74-106; s. 86, ch. 75-220; s. 34, ch. 77-87; s. 1, ch. 77-174; s. 1,

ch. 84-25; s. 1, ch. 86-249; s. 7, ch. 88-340; s. 7, ch. 89-340; s. 2, ch. 91-61;
s. 1017, ch. 97-102; s. 149, ch. 2001-226; s. 1, ch. 2022-101, effective July 1,
2022.

Editors notes.
Created from former s. 733.18.



 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.706. 
Fla. Stat.  733.706

 733.706. Executions and levies.
Except upon approval by the court, no execution or other process shall

issue on or be levied against property of the estate. An order approving
execution or other process to be levied against property of the estate may be
entered only in the estate administration proceeding. Claims on all judgments
against a decedent shall be filed in the same manner as other claims against
estates of decedents. This section shall not be construed to prevent the
enforcement of mortgages, security interests, or liens encumbering specific
property.

HISTORY:
S. 1, ch. 74-106; s. 86, ch. 75-220; s. 8, ch. 89-340.

Editors notes.
Created from former s. 733.19.



 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.707. 
Fla. Stat.  733.707

 733.707. Order of payment of expenses and obligations.
(1) The personal representative shall pay the expenses of the

administration and obligations of the decedents estate in the following
order:
(a) Class 1.  Costs, expenses of administration, and compensation of

personal representatives and their attorneys fees and attorneys fees awarded
under s. 733.106(3).

(b) Class 2.  Reasonable funeral, interment, and grave marker expenses,
whether paid by a guardian, the personal representative, or any other person,
not to exceed the aggregate of $6,000.

(c) Class 3.  Debts and taxes with preference under federal law, claims
pursuant to ss. 409.9101 and 414.28, and claims in favor of the state for
unpaid court costs, fees, or fines.

(d) Class 4.  Reasonable and necessary medical and hospital expenses of
the last 60 days of the last illness of the decedent, including compensation of
persons attending the decedent.

(e) Class 5.  Family allowance.
(f) Class 6.  Arrearage from court-ordered child support.
(g) Class 7.  Debts acquired after death by the continuation of the

decedents business, in accordance with s. 733.612(22), but only to the extent
of the assets of that business.

(h) Class 8.  All other claims, including those founded on judgments or
decrees rendered against the decedent during the decedents lifetime, and any
excess over the sums allowed in paragraphs (b) and (d).

(2) After paying any preceding class, if the estate is insufficient to pay
all of the next succeeding class, the creditors of the latter class shall be
paid ratably in proportion to their respective claims.

(3) Any portion of a trust with respect to which a decedent who is the
grantor has at the decedents death a right of revocation, as defined in



paragraph (e), either alone or in conjunction with any other person, is
liable for the expenses of the administration and obligations of the
decedents estate to the extent the decedents estate is insufficient to pay
them as provided in ss. 733.607(2) and 736.05053.
(a) For purposes of this subsection, any trusts established as part of, and all

payments from, either an employee annuity described in s. 403 of the Internal
Revenue Code of 1986, as amended, an Individual Retirement Account, as
described in s. 408 of the Internal Revenue Code of 1986, as amended, a
Keogh (HR-10) Plan, or a retirement or other plan established by a
corporation which is qualified under s. 401 of the Internal Revenue Code of
1986, as amended, shall not be considered a trust over which the decedent has
a right of revocation.

(b) For purposes of this subsection, any trust described in s. 664 of the
Internal Revenue Code of 1986, as amended, shall not be considered a trust
over which the decedent has a right of revocation.

(c) This subsection shall not impair any rights an individual has under a
qualified domestic relations order as that term is defined in s. 414(p) of the
Internal Revenue Code of 1986, as amended.

(d) For purposes of this subsection, property held or received by a trust to
the extent that the property would not have been subject to claims against the
decedents estate if it had been paid directly to a trust created under the
decedents will or other than to the decedents estate, or assets received from
any trust other than a trust described in this subsection, shall not be deemed
assets of the trust available to the decedents estate.

(e) For purposes of this subsection, a right of revocation is a power
retained by the decedent, held in any capacity, to:

1. Amend or revoke the trust and revest the principal of the trust in the
decedent; or

2. Withdraw or appoint the principal of the trust to or for the decedents
benefit.

HISTORY:
S. 1, ch. 74-106; s. 86, ch. 75-220; s. 35, ch. 77-87; s. 7, ch. 85-79; s. 69,

ch. 87-226; s. 20, ch. 93-208; s. 11, ch. 93-257; s. 10, ch. 95-401; s. 1018, ch.



97-102; s. 3, ch. 97-240; s. 150, ch. 2001-226; s. 2, ch. 2010-122, eff. July 1,
2010; s. 17, ch. 2012-100, eff. July 1, 2012.

Editors notes.
Created from former s. 733.20.
Sections 401, 403, 408, 414, and 664 of the Internal Revenue Code,

referred to in this section, are codified as 26 U.S.C.S.  401, 403, 408, 414,
and 664.



 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.708. 
Fla. Stat.  733.708

 733.708. Compromise.
When a proposal is made to compromise any claim, whether in suit or not,

by or against the estate of a decedent or to compromise any question
concerning the distribution of a decedents estate, the court may enter an
order authorizing the compromise if satisfied that the compromise will be for
the best interest of the interested persons. The order shall relieve the personal
representative of liability or responsibility for the compromise. Claims
against the estate may not be compromised until after the time for filing
objections to claims has expired.

HISTORY:
S. 1, ch. 74-106; s. 86, ch. 75-220; s. 151, ch. 2001-226.

Editors notes.
Created from former s. 733.21.



 Title XLII. ,  Ch. 733. ,  Pt. VII. ,   733.710. 
Fla. Stat.  733.710

 733.710. Limitations on claims against estates.
(1) Notwithstanding any other provision of the code, 2 years after the

death of a person, neither the decedents estate, the personal representative,
if any, nor the beneficiaries shall be liable for any claim or cause of action
against the decedent, whether or not letters of administration have been
issued, except as provided in this section.

(2) This section shall not apply to a creditor who has filed a claim
pursuant to s. 733.702 within 2 years after the persons death, and whose
claim has not been paid or otherwise disposed of pursuant to s. 733.705.

(3) This section shall not affect the lien of any duly recorded mortgage
or security interest or the lien of any person in possession of personal
property or the right to foreclose and enforce the mortgage or lien.

HISTORY:
S. 1, ch. 74-106; s. 50, ch. 75-220; s. 36, ch. 77-87; s. 9, ch. 89-340; s. 152,

ch. 2001-226.

Editors notes.
Created from former s. 734.29(1).



 Title XLII. ,  Ch. 733. ,  Pt. VIII. 
Fla. Stat. Title XLII, Ch. 733, Pt. VIII



PART VIII.
SPECIAL PROVISIONS FOR DISTRIBUTION.

 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.801. 
Fla. Stat.  733.801

 733.801. Delivery of devises and distributive shares.
(1) No personal representative shall be required to pay or deliver any

devise or distributive share or to surrender possession of any land to any
beneficiary until the expiration of 5 months from the granting of letters.

(2) Except as otherwise provided in the will, the personal representative
shall pay as an expense of administration the reasonable expenses of
storage, insurance, packing, and delivery of tangible personal property to a
beneficiary.

HISTORY:
S. 1, ch. 74-106; s. 86, ch. 75-220; s. 153, ch. 2001-226.

Editors notes.
Created from former s. 734.02.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.802. 
Fla. Stat.  733.802

 733.802. Proceedings for compulsory payment of devises or distributive
interest.
(1) Before final distribution, no personal representative shall be

compelled:
(a) To pay a devise in money before the final settlement of the personal

representatives accounts,
(b) To deliver specific personal property devised, unless the personal

property is exempt personal property,
(c) To pay all or any part of a distributive share in the personal estate of a

decedent, or
(d) To surrender land to any beneficiary,
unless the beneficiary establishes that the property will not be required for
the payment of debts, family allowance, estate and inheritance taxes,
claims, elective share of the surviving spouse, charges, or expenses of
administration or to provide funds for contribution or to enforce
equalization in case of advancements.

(2) An order directing the surrender of real property or the delivery of
personal property by the personal representative to the beneficiary shall be
conclusive in favor of bona fide purchasers for value from the beneficiary
or distributee as against the personal representative and all other persons
claiming by, through, under, or against the decedent or the decedents
estate.

(3) If the administration of the estate has not been completed before the
entry of an order of partial distribution, the court may require the person
entitled to distribution to give a bond with sureties as prescribed in s.
45.011, conditioned on the making of due contribution for the payment of
devises, family allowance, estate and inheritance taxes, claims, elective
share of the spouse, charges, expenses of administration, and equalization
in case of advancements, plus any interest on them.

HISTORY:



S. 1, ch. 74-106; s. 86, ch. 75-220; s. 37, ch. 77-87; s. 1, ch. 77-174; s. 272,
ch. 79-400; s. 1019, ch. 97-102; s. 154, ch. 2001-226.

Editors notes.
Created from former s. 734.03.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.803. 
Fla. Stat.  733.803

 733.803. Encumbered property; liability for payment.
The specific devisee of any encumbered property shall be entitled to have

the encumbrance on devised property paid at the expense of the residue of the
estate only when the will shows that intent. A general direction in the will to
pay debts does not show that intent.

HISTORY:
S. 1, ch. 74-106; s. 86, ch. 75-220; s. 155, ch. 2001-226.

Editors notes.
Created from former s. 734.051.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.805. 
Fla. Stat.  733.805

 733.805. Order in which assets abate.
(1) Funds or property designated by the will shall be used to pay debts,

family allowance, exempt property, elective share charges, expenses of
administration, and devises, to the extent the funds or property is
sufficient. If no provision is made or the designated fund or property is
insufficient, the funds and property of the estate shall be used for these
purposes, and to raise the shares of a pretermitted spouse and children,
except as otherwise provided in subsections (3) and (4), in the following
order:
(a) Property passing by intestacy.
(b) Property devised to the residuary devisee or devisees.
(c) Property not specifically or demonstratively devised.
(d) Property specifically or demonstratively devised.

(2) Demonstrative devises shall be classed as general devises upon the
failure or insufficiency of funds or property out of which payment should
be made, to the extent of the insufficiency. Devises to the decedents
surviving spouse, given in satisfaction of, or instead of, the surviving
spouses statutory rights in the estate, shall not abate until other devises of
the same class are exhausted. Devises given for a valuable consideration
shall abate with other devises of the same class only to the extent of the
excess over the amount of value of the consideration until all others of the
same class are exhausted. Except as herein provided, devises shall abate
equally and ratably and without preference or priority as between real and
personal property. When property that has been specifically devised or
charged with a devise is sold or used by the personal representative, other
devisees shall contribute according to their respective interests to the
devisee whose devise has been sold or used. The amounts of the respective
contributions shall be determined by the court and shall be paid or
withheld before distribution is made.

(3) Section 733.817 shall be applied before this section is applied.
(4) In determining the contribution required under s. 733.607(2),



subsections (1)-(3) of this section and s. 736.05053(2) shall be applied as if
the beneficiaries of the estate and the beneficiaries of a trust described in s.
733.707(3), other than the estate or trust itself, were taking under a
common instrument.

HISTORY:
S. 1, ch. 74-106; s. 88, ch. 75-220; s. 1, ch. 77-174; s. 1020, ch. 97-102; s.

156, ch. 2001-226; s. 38, ch. 2006-217, eff. July 1, 2007.

Editors notes.
Created from former s. 734.05.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.806. 
Fla. Stat.  733.806

 733.806. Advancement.
If a person dies intestate, property that the decedent gave during lifetime to

an heir is treated as an advancement against the heirs share of the estate only
if declared in a contemporaneous writing by the decedent or acknowledged in
writing by the heir. The property advanced shall be valued at the time the heir
came into possession or enjoyment of the property or at the time of the death
of the decedent, whichever first occurs. If the recipient of the property does
not survive the decedent, the property shall not be taken into account in
computing the intestate share to be received by the recipients descendants
unless the declaration or acknowledgment provides otherwise.

HISTORY:
S. 1, ch. 74-106; s. 1021, ch. 97-102; s. 157, ch. 2001-226.

Editors notes.
Created from former s. 734.07.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.808. 
Fla. Stat.  733.808

 733.808. Death benefits; disposition of proceeds.
(1) Death benefits of any kind, including, but not limited to, proceeds of:

(a) An individual life insurance policy;
(b) A group life insurance policy;
(c) A benefit plan as defined by s. 710.102;
(d) An annuity or endowment contract; and
(e) A health or accident policy,
may be made payable to the trustee under a trust agreement or declaration
of trust in existence at the time of the death of the insured, employee, or
annuitant or the owner of or participant in the benefit plan. The death
benefits shall be held and disposed of by the trustee in accordance with the
terms of the trust as they appear in writing on the date of the death of the
insured, employee, annuitant, owner, or participant. It shall not be
necessary to the validity of the trust agreement or declaration of trust,
whether revocable or irrevocable, that it have a trust corpus other than the
right of the trustee to receive death benefits.

(2) Death benefits of any kind, including, but not limited to, proceeds of:
(a) An individual life insurance policy;
(b) A group life insurance policy;
(c) A benefit plan as defined in s. 710.102;
(d) An annuity or endowment contract; and
(e) A health or accident policy,
may be made payable to the trustee named, or to be named, in a written
instrument that is admitted to probate as the last will of the insured, the
owner of the policy, the employee, owner, or participant covered by the
plan or contract, or any other person, whether or not the will is in existence
at the time of designation. Upon the admission of the will to probate, the
death benefits shall be paid to the trustee, to be held, administered, and



disposed of in accordance with the terms of the trust or trusts created by
the will.

(3) In the event no trustee makes proper claim to the proceeds from the
insurance company or other obligor within a period of 6 months after the
date of the death of the insured, employee, annuitant, owner, or participant,
or if satisfactory evidence is furnished to the insurance company or obligor
within that period that there is, or will be, no trustee to receive the
proceeds, payment shall be made by the insurance company or obligor to
the personal representative of the person making the designation, unless
otherwise provided by agreement with the insurer or obligor during the
lifetime of the insured, employee, annuitant, owner, or participant.

(4) Unless the trust agreement, declaration of trust, or will expressly
refers to this subsection and directs that it does not apply, death benefits
payable as provided in subsection (1), subsection (2), or subsection (3),
unless paid to a personal representative under the provisions of subsection
(3), shall not be deemed to be part of the decedents estate and shall not be
subject to any obligation to pay the expenses of the administration and
obligations of the decedents estate or for contribution required from a trust
under s. 733.607(2) to any greater extent than if the proceeds were payable
directly to the beneficiaries named in the trust.

(5) The death benefits held in trust may be commingled with any other
assets that may properly come into the trust.

(6) This section does not affect the validity of any designation of a
beneficiary of proceeds previously made that designates as beneficiary the
trustee of any trust established under a trust agreement or declaration of
trust or by will.

HISTORY:
S. 1, ch. 74-106; s. 38, ch. 77-87; s. 158, ch. 2001-226; s. 7, ch. 2005-101;

s. 5, ch. 2014-127, effective July 1, 2014.

Editors notes.
Created from former s. 736.172.
Section 6, ch. 2014-127, provides: The changes made by this act to s.



733.808, Florida Statutes, are intended to clarify existing law, are remedial in
nature, and apply retroactively without regard to the date of the decedents
death.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.809. 
Fla. Stat.  733.809

 733.809. Right of retainer.
The amount of a noncontingent indebtedness due from a beneficiary to the

estate or its present value, if not due, may be offset against that beneficiarys
interest. However, that beneficiary shall have the benefit of any defense that
would be available in a direct proceeding for recovery of the debt.

HISTORY:
S. 1, ch. 74-106; s. 39, ch. 77-87; s. 1022, ch. 97-102; s. 159, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.810. 
Fla. Stat.  733.810

 733.810. Distribution in kind; valuation.
(1) Assets shall be distributed in kind unless:

(a) A general power of sale is conferred;
(b) A contrary intention is indicated by the will or trust; or
(c) Disposition is made otherwise under the provisions of this code.

(2) Any pecuniary devise, family allowance, or other pecuniary share of
the estate or trust may be satisfied in kind if:
(a) The person entitled to payment has not demanded cash;
(b) The property is distributed at fair market value as of its distribution

date; and
(c) No residuary devisee has requested that the asset remain a part of the

residuary estate.
(3) When not practicable to distribute undivided interests in a residuary

asset, the asset may be sold.
(4) When the fiduciary under a will or trust is required, or has an option,

to satisfy a pecuniary devise or transfer in trust, to or for the benefit of the
surviving spouse, with an in-kind distribution, at values as finally
determined for federal estate tax purposes, the fiduciary shall, unless the
governing instrument otherwise provides, satisfy the devise or transfer in
trust by distribution of assets, including cash, fairly representative of the
appreciated or depreciated value of all property available for that
distribution, taking into consideration any gains and losses realized from a
prior sale of any property not devised specifically, generally, or
demonstratively.

(5) A personal representative or a trustee is authorized to distribute any
distributable assets, non-pro rata among the beneficiaries subject to the
fiduciarys duty of impartiality.

HISTORY:



S. 1, ch. 74-106; s. 92, ch. 75-220; s. 40, ch. 77-87; s. 160, ch. 2001-226.

Editors notes.
Created from former s. 734.031.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.811. 
Fla. Stat.  733.811

 733.811. Distribution; right or title of distributee.
If a distributee receives from a fiduciary an instrument transferring assets

in kind, payment in distribution, or possession of specific property, the
distributee has succeeded to the estates interest in the assets as against all
persons interested in the estate. However, the fiduciary may recover the
assets or their value if the distribution was improper.

HISTORY:
S. 1, ch. 74-106; s. 161, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.812. 
Fla. Stat.  733.812

 733.812. Improper distribution or payment; liability of distributee or
payee.

A distributee or a claimant who was paid improperly must return the assets
or funds received, and the income from those assets or interest on the funds
since distribution or payment, unless the distribution or payment cannot be
questioned because of adjudication, estoppel, or limitations. If the distributee
or claimant does not have the property, its value at the date of disposition,
income thereon, and gain received by the distributee or claimant must be
returned.

HISTORY:
S. 1, ch. 74-106; s. 92, ch. 75-220; s. 1023, ch. 97-102; s. 162, ch. 2001-

226.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.813. 
Fla. Stat.  733.813

 733.813. Purchasers from distributees protected.
If property distributed in kind, or a security interest in that property, is

acquired by a purchaser or lender for value from a distributee, the purchaser
or lender takes title free of any claims of the estate and incurs no personal
liability to the estate, whether or not the distribution was proper. The
purchaser or lender need not inquire whether a personal representative acted
properly in making the distribution in kind.

HISTORY:
S. 1, ch. 74-106; s. 163, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.814. 
Fla. Stat.  733.814

 733.814. Partition for purpose of distribution.
When two or more beneficiaries are entitled to distribution of undivided

interests in any property, the personal representative or any beneficiary may
petition the court before the estate is closed to partition the property in the
same manner as provided by law for civil actions of partition. The court may
direct the personal representative to sell any property that cannot be
partitioned without prejudice to the owners and that cannot be allotted
equitably and conveniently.

HISTORY:
S. 1, ch. 74-106; s. 164, ch. 2001-226.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.815. 
Fla. Stat.  733.815

 733.815. Private contracts among interested persons.
Subject to the rights of creditors and taxing authorities, interested persons

may agree among themselves to alter the interests, shares, or amounts to
which they are entitled in a written contract executed by them. The personal
representative shall abide by the terms of the contract, subject to the personal
representatives obligation to administer the estate for the benefit of
interested persons who are not parties to the contract, and to pay costs of
administration. Trustees of a testamentary trust are interested persons for the
purposes of this section. Nothing in this section relieves trustees of any duties
owed to beneficiaries of trusts.

HISTORY:
S. 1, ch. 74-106; s. 94, ch. 75-220; s. 1024, ch. 97-102; s. 165, ch. 2001-

226.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.816. 
Fla. Stat.  733.816

 733.816. Disposition of unclaimed property held by personal
representatives.
(1) In all cases in which there is unclaimed property in the hands of a

personal representative that cannot be distributed or paid because of the
inability to find the lawful owner or because no lawful owner is known or
because the lawful owner refuses to accept the property after a reasonable
attempt to distribute it and after notice to that lawful owner, the court shall
order the personal representative to sell the property and deposit the
proceeds and cash already in hand, after retaining those amounts provided
for in subsection (4), with the clerk and receive a receipt, and the clerk
shall deposit the funds in the registry of the court to be disposed of as
follows:
(a) If the value of the funds is $500 or less, the clerk shall post a notice for

30 days at the courthouse door giving the amount involved, the name of the
personal representative, and the other pertinent information that will put
interested persons on notice.

(b) If the value of the funds is over $500, the clerk shall publish the notice
once a month for 2 consecutive months in a newspaper of general circulation
in the county.

After the expiration of 6 months from the posting or first publication, the
clerk shall deposit the funds with the Chief Financial Officer after
deducting the clerks fees and the costs of publication.

(2) Upon receipt of the funds, the Chief Financial Officer shall deposit
them to the credit of the State School Fund, to become a part of the school
fund. All interest and all income that may accrue from the money while so
deposited shall belong to the fund. The funds so deposited shall constitute
and be a permanent appropriation for payments by the Chief Financial
Officer in obedience to court orders entered as provided by subsection (3).

(3) Within 10 years from the date of deposit with the Chief Financial
Officer, on written petition to the court that directed the deposit of the
funds and informal notice to the Department of Legal Affairs, and after
proof of entitlement, any person entitled to the funds before or after



payment to the Chief Financial Officer and deposit as provided by
subsection (1) may obtain a court order directing the payment of the funds
to that person. All funds deposited with the Chief Financial Officer and not
claimed within 10 years from the date of deposit shall escheat to the state
for the benefit of the State School Fund.

(4) The personal representative depositing assets with the clerk is
permitted to retain from the funds a sufficient amount to pay final costs of
administration chargeable to the assets accruing between the deposit of the
funds with the clerk of the court and the order of discharge. Any funds so
retained which are surplus shall be deposited with the clerk prior to
discharge of the personal representative.
(5)(a) If a person entitled to the funds assigns the right to receive payment
or part payment to an attorney or private investigative agency which is
duly licensed to do business in this state pursuant to a written agreement
with that person, the Department of Financial Services is authorized to
make distribution in accordance with the assignment.
(b) Payments made to an attorney or private investigative agency shall be

promptly deposited into a trust or escrow account which is regularly
maintained by the attorney or private investigative agency in a financial
institution located in this state and authorized to accept these deposits.

(c) Distribution by the attorney or private investigative agency to the
person entitled to the funds shall be made within 10 days following final
credit of the deposit into the trust or escrow account at the financial
institution, unless a party to the agreement protests the distribution in writing
before it is made.

(d) The department shall not be civilly or criminally liable for any funds
distributed pursuant to this subsection, provided the distribution is made in
good faith.

HISTORY:
S. 1, ch. 74-106; s. 95, ch. 75-220; s. 6, ch. 85-79; s. 5, ch. 89-291; s. 10,

ch. 89-299; s. 21, ch. 95-401; s. 1025, ch. 97-102; s. 166, ch. 2001-226; s.
1897, ch. 2003-261.

Editors notes.



Created from former s. 734.221.



 Title XLII. ,  Ch. 733. ,  Pt. VIII. ,   733.817. 
Fla. Stat.  733.817

 733.817. Apportionment of estate taxes.
(1) Definitions.  As used in this section, the term:

(a) Fiduciary means a person, other than the personal representative in
possession of property included in the measure of the tax, who is liable to the
applicable taxing authority for payment of the entire tax to the extent of the
value of the property in possession.

(b) Generation-skipping transfer tax means the generation-skipping
transfer tax imposed by chapter 13 of the Internal Revenue Code on direct
skips of interests includable in the federal gross estate or a corresponding tax
imposed by any state or country or political subdivision of the foregoing. The
term does not include the generation-skipping transfer tax on taxable
distributions, taxable terminations, or any other generation-skipping transfer.
The terms direct skip, taxable distribution, and taxable termination
have the same meanings as provided in s. 2612 of the Internal Revenue Code.

(c) Governing instrument means a will, trust instrument, or any other
document that controls the transfer of property on the occurrence of the event
with respect to which the tax is being levied.

(d) Gross estate means the gross estate, as determined by the Internal
Revenue Code with respect to the federal estate tax and the Florida estate tax,
and as that concept is otherwise determined by the estate, inheritance, or
death tax laws of the particular state, country, or political subdivision whose
tax is being apportioned.

(e) Included in the measure of the tax means for each separate tax that an
interest may incur, only interests included in the measure of that particular
tax are considered. As used in this section, the term does not include:

1. Any interest, whether passing under the will or not, to the extent the
interest is initially deductible from the gross estate, without regard to any
subsequent reduction of the deduction by reason of the charge of any part of
the applicable tax to the interest. If an election is required for deductibility, an
interest is not initially deductible unless the election for deductibility is
allowed.



2. Interests or amounts that are not included in the gross estate but are
included in the amount upon which the applicable tax is computed, such as
adjusted taxable gifts pursuant to s. 2001 of the Internal Revenue Code.

3. Gift taxes included in the gross estate pursuant to s. 2035 of the Internal
Revenue Code and the portion of any inter vivos transfer included in the
gross estate pursuant to s. 529 of the Internal Revenue Code, notwithstanding
inclusion in the gross estate.

(f) Internal Revenue Code means the Internal Revenue Code of 1986, as
amended.

(g) Net tax means the net tax payable to the particular state, country, or
political subdivision whose tax is being apportioned, after taking into account
all credits against the applicable tax except as provided in this section. With
respect to the federal estate tax, net tax is determined after taking into account
all credits against the tax except for the credit for foreign death taxes and
except for the credit or deduction for state taxes imposed by states other than
this state.

(h) Nonresiduary devise means any devise that is not a residuary devise.
(i) Nonresiduary interest, in connection with a trust, means any

interest in a trust which is not a residuary interest.
(j) Recipient means, with respect to property or an interest in property

included in the gross estate, an heir at law in an intestate estate; devisee in a
testate estate; beneficiary of a trust; beneficiary of a life insurance policy,
annuity, or other contractual right; surviving tenant; taker as a result of the
exercise or in default of the exercise of a general power of appointment;
person who receives or is to receive the property or an interest in the
property; or person in possession of the property, other than a creditor.

(k) Residuary devise has the meaning in s. 731.201.
(l) Residuary interest, in connection with a trust, means an

interest in the assets of a trust which remain after provision for any
distribution that is to be satisfied by reference to a specific property or
type of property, fund, sum, or statutory amount.

(m) Revocable trust means a trust as described in s. 733.707(3).
(n) Section 2044 interest means an interest included in the measure of



the tax by reason of s. 2044 of the Internal Revenue Code.
(o) State means any state, territory, or possession of the United States,

the District of Columbia, or the Commonwealth of Puerto Rico.
(p) Tax means any estate tax, inheritance tax, generation-skipping

transfer tax, or other tax levied or assessed under the laws of this or any other
state, the United States, any other country, or any political subdivision of the
foregoing, as finally determined, which is imposed as a result of the death of
the decedent. The term also includes any interest or penalties imposed in
addition to the tax. Unless the context indicates otherwise, the term means
each separate tax. The term does not include any additional estate tax
imposed by s. 2032A(c) or s. 2057(f) of the Internal Revenue Code or a
corresponding tax imposed by any state or country or political subdivision of
the foregoing. The additional estate tax imposed shall be apportioned as
provided in s. 2032A or s. 2057 of the Internal Revenue Code.

(q) Temporary interest means an interest in income or an estate for a
specific period of time, for life, or for some other period controlled by
reference to extrinsic events, whether or not in trust.

(r) Tentative Florida tax with respect to any property means the net
Florida estate tax that would have been attributable to that property if no tax
were payable to any other state in respect of that property.

(s) Value means the pecuniary worth of the interest involved as finally
determined for purposes of the applicable tax after deducting any debt,
expense, or other deduction chargeable to it for which a deduction was
allowed in determining the amount of the applicable tax. A lien or other
encumbrance is not regarded as chargeable to a particular interest to the
extent that it will be paid from other interests. The value of an interest is not
reduced by reason of the charge against it of any part of the tax, except as
provided in paragraph (3)(a).

(2) Allocation of tax.  Except as effectively directed in the governing
instrument pursuant to subsection (4), the net tax attributable to the
interests included in the measure of each tax shall be determined by the
proportion that the value of each interest included in the measure of the tax
bears to the total value of all interests included in the measure of the tax.
Notwithstanding the foregoing provision of this subsection and except as



effectively directed in the governing instrument:
(a) The net tax attributable to section 2044 interests shall be determined in

the manner provided for the federal estate tax in s. 2207A of the Internal
Revenue Code, and the amount so determined shall be deducted from the tax
to determine the net tax attributable to all other interests included in the
measure of the tax.

(b) The foreign tax credit allowed with respect to the federal estate tax
shall be allocated among the recipients of interests finally charged with the
payment of the foreign tax in reduction of any federal estate tax chargeable to
the recipients of the foreign interests, whether or not any federal estate tax is
attributable to the foreign interests. Any excess of the foreign tax credit shall
be applied to reduce proportionately the net amount of federal estate tax
chargeable to the remaining recipients of the interests included in the measure
of the federal estate tax.

(c) The reduction in the net tax attributable to the deduction for state death
taxes allowed by s. 2058 of the Internal Revenue Code shall be allocated to
the recipients of the interests that produced the deduction. For this purpose,
the reduction in the net tax shall be calculated in the manner provided for
interests other than those described in paragraph (a).

(d) The reduction in the Florida tax, if one is imposed, on the estate of a
Florida resident for tax paid to another state shall be allocated as follows:

1. If the net tax paid to another state is greater than or equal to the tentative
Florida tax attributable to the property subject to tax in the other state, none
of the Florida tax shall be attributable to that property.

2. If the net tax paid to another state is less than the tentative Florida tax
attributable to the property subject to tax in the other state, the net Florida tax
attributable to the property subject to tax in the other state shall be the excess
of the amount of the tentative Florida tax attributable to the property over the
net tax payable to the other state with respect to the property.

3. Any remaining net Florida tax shall be attributable to property included
in the measure of the Florida tax exclusive of the property subject to tax in
another state.

4. The net federal tax attributable to the property subject to tax in the other
state shall be determined as if the property were located in that state.



(e) The net tax attributable to a temporary interest, if any, is regarded as
attributable to the principal that supports the temporary interest.

(3) Apportionment of tax.  Except as otherwise effectively directed
in the governing instrument pursuant to subsection (4), the net tax
attributable to each interest shall be apportioned as follows:
(a) Generation-skipping transfer tax.  Any federal or state generation-

skipping transfer tax shall be apportioned as provided in s. 2603 of the
Internal Revenue Code after the application of the remaining provisions of
this subsection to taxes other than the generation-skipping transfer tax.

(b) Section 2044 interests.  The net tax attributable to section 2044
interests shall be apportioned among the recipients of the section 2044
interests in the proportion that the value of each section 2044 interest bears to
the total of all section 2044 interests. The net tax apportioned by this
paragraph to section 2044 interests that pass in the manner described in
paragraph (c) or paragraph (d) shall be apportioned to the section 2044
interests in the manner described in those paragraphs before the
apportionment of the net tax attributable to the other interests passing as
provided in those paragraphs. The net tax attributable to the interests other
than the section 2044 interests which pass in the manner described in
paragraph (c) or paragraph (d) shall be apportioned only to such other
interests pursuant to those paragraphs.

(c) Wills.  The net tax attributable to property passing under the
decedents will shall be apportioned in the following order of priority:

1. The net tax attributable to nonresiduary devises shall be charged to and
paid from the residuary estate, whether or not all interests in the residuary
estate are included in the measure of the tax. If the residuary estate is
insufficient to pay the net tax attributable to all nonresiduary devises, the
balance of the net tax attributable to nonresiduary devises shall be
apportioned among the recipients of the nonresiduary devises in the
proportion that the value of each nonresiduary devise included in the measure
of the tax bears to the total of all nonresiduary devises included in the
measure of the tax.

2. The net tax attributable to residuary devises shall be apportioned among
the recipients of the residuary devises included in the measure of the tax in



the proportion that the value of each residuary devise included in the measure
of the tax bears to the total of all residuary devises included in the measure of
the tax. If the residuary estate is insufficient to pay the net tax attributable to
all residuary devises, the balance of the net tax attributable to residuary
devises shall be apportioned among the recipients of the nonresiduary devises
in the proportion that the value of each nonresiduary devise included in the
measure of the tax bears to the total of all nonresiduary devises included in
the measure of the tax.

(d) Trusts.  The net tax attributable to property passing under the terms
of any trust other than a trust created in the decedents will shall be
apportioned in the following order of priority:

1. The net tax attributable to nonresiduary interests of the trust shall be
charged to and paid from the residuary portion of the trust, whether or not all
interests in the residuary portion are included in the measure of the tax. If the
residuary portion is insufficient to pay the net tax attributable to all
nonresiduary interests, the balance of the net tax attributable to nonresiduary
interests shall be apportioned among the recipients of the nonresiduary
interests in the proportion that the value of each nonresiduary interest
included in the measure of the tax bears to the total of all nonresiduary
interests included in the measure of the tax.

2. The net tax attributable to residuary interests of the trust shall be
apportioned among the recipients of the residuary interests of the trust
included in the measure of the tax in the proportion that the value of each
residuary interest included in the measure of the tax bears to the total of all
residuary interests of the trust included in the measure of the tax. If the
residuary portion is insufficient to pay the net tax attributable to all residuary
interests, the balance of the net tax attributable to residuary interests shall be
apportioned among the recipients of the nonresiduary interests in the
proportion that the value of each nonresiduary interest included in the
measure of the tax bears to the total of all nonresiduary interests included in
the measure of the tax.

Except as provided in paragraph (g), this paragraph applies separately for
each trust.

(e) Protected homestead, exempt property, and family allowance



1. The net tax attributable to an interest in protected homestead, exempt
property, and the family allowance determined under s. 732.403 shall be
apportioned against the recipients of other interests in the estate or passing
under any revocable trust in the following order of priority:

a. Class I.  Recipients of interests passing by intestacy that are included
in the measure of the federal estate tax.

b. Class II.  Recipients of residuary devises, residuary interests, and
pretermitted shares under ss. 732.301 and 732.302 that are included in the
measure of the federal estate tax.

c. Class III.  Recipients of nonresiduary devises and nonresiduary
interests that are included in the measure of the federal estate tax.

2. Any net tax apportioned to a class pursuant to this paragraph shall be
apportioned among each recipient in the class in the proportion that the value
of the interest of each bears to the total value of all interests included in that
class. A tax may not be apportioned under this paragraph to the portion of
any interest applied in satisfaction of the elective share whether or not
included in the measure of the tax. For purposes of this paragraph, if the
value of the interests described in s. 732.2075(1) exceeds the amount of the
elective share, the elective share shall be treated as satisfied first from
interests other than those described in classes I, II, and III, and to the extent
that those interests are insufficient to satisfy the elective share, from the
interests passing to or for the benefit of the surviving spouse described in
classes I, II, and III, beginning with those described in class I, until the
elective share is satisfied. This paragraph has priority over paragraphs (a) and
(h).

3. The balance of the net tax attributable to any interest in protected
homestead, exempt property, and the family allowance determined under s.
732.403 which is not apportioned under the preceding provisions of this
paragraph shall be apportioned to the recipients of those interests included in
the measure of the tax in the proportion that the value of each bears to the
total value of those interests included in the measure of the tax.

(f) Construction.  For purposes of this subsection:
1. If the decedents estate is the beneficiary of a life insurance policy,

annuity, or contractual right included in the decedents gross estate, or is the



taker as a result of the exercise or default in exercise of a general power of
appointment held by the decedent, that interest shall be regarded as passing
under the terms of the decedents will for the purposes of paragraph (c) or by
intestacy if not disposed of by will. Additionally, any interest included in the
measure of the tax by reason of s. 2041 of the Internal Revenue Code passing
to the decedents creditors or the creditors of the decedents estate shall be
regarded as passing to the decedents estate for the purpose of this
subparagraph.

2. If a trust is the beneficiary of a life insurance policy, annuity, or
contractual right included in the decedents gross estate, or is the taker as a
result of the exercise or default in exercise of a general power of appointment
held by the decedent, that interest shall be regarded as passing under the trust
for purposes of paragraph (d).

(g) Common instrument construction.  In the application of this
subsection, paragraphs (b)-(f) shall be applied to apportion the net tax to the
recipients under certain governing instruments as if all recipients under those
instruments, other than the estate or revocable trust itself, were taking under a
common instrument. This construction applies to the following:

1. The decedents will and revocable trust if the estate is a beneficiary of
the revocable trust or if the revocable trust is a beneficiary of the estate.

2. A revocable trust of the decedent and another revocable trust of the
decedent if either trust is the beneficiary of the other trust.

(h) Other interests.  The net tax that is not apportioned to interests under
paragraphs (b)-(g), including, but not limited to, the net tax attributable to
interests passing by intestacy, interests applied in satisfaction of the elective
share pursuant to s. 732.2075(2), interests passing by reason of the exercise
or nonexercise of a general power of appointment, jointly held interests
passing by survivorship, life insurance, properties in which the decedent held
a reversionary or revocable interest, annuities, and contractual rights, shall be
apportioned among the recipients of the remaining interests included in the
measure of the tax in the proportion that the value of each such interest bears
to the total value of all remaining interests included in the measure of the tax.

(i) Assessment of liability by court.  If the court finds that:
1. It is inequitable to apportion interest or penalties, or both, in the manner



provided in paragraphs (a)-(h), the court may assess liability for the payment
thereof in the manner that the court finds equitable.

2. The payment of any tax was not effectively directed in the governing
instrument pursuant to subsection (4) and that such tax is not apportioned by
this subsection, the court may assess liability for the payment of such tax in
the manner that the court finds equitable.

(4) Direction against apportionment.
(a) Except as provided in this subsection, a governing instrument may not

direct that taxes be paid from property other than that passing under the
governing instrument.

(b) For a direction in a governing instrument to be effective to direct
payment of taxes attributable to property passing under the governing
instrument in a manner different from that provided in this section, the
direction must be express.

(c) For a direction in a governing instrument to be effective to direct
payment of taxes attributable to property not passing under the governing
instrument from property passing under the governing instrument, the
governing instrument must expressly direct that the property passing under
the governing instrument bear the burden of taxation for property not passing
under the governing instrument. Except as provided in paragraph (d), a
direction in the governing instrument to the effect that all taxes are to be paid
from property passing under the governing instrument whether attributable to
property passing under the governing instrument or otherwise shall be
effective to direct payment from property passing under the governing
instrument of taxes attributable to property not passing under the governing
instrument.

(d) In addition to satisfying the other provisions of this subsection:
1.a. For a direction in the decedents will or revocable trust to be effective
in waiving the right of recovery provided in s. 2207A of the Internal
Revenue Code for the tax attributable to section 2044 interests, and for any
tax imposed by Florida based upon such section 2044 interests, the
direction must expressly waive that right of recovery. An express direction
that property passing under the will or revocable trust bear the tax imposed
by s. 2044 of the Internal Revenue Code is deemed an express waiver of



the right of recovery provided in s. 2207A of the Internal Revenue Code. A
reference to qualified terminable interest property, QTIP, or property
in which the decedent had a qualifying income interest for life is deemed
to be a reference to property upon which tax is imposed by s. 2044 of the
Internal Revenue Code which is subject to the right of recovery provided
in s. 2207A of the Internal Revenue Code.
b. If property is included in the gross estate pursuant to ss. 2041 and 2044

of the Internal Revenue Code, the property is deemed included under s. 2044,
and not s. 2041, for purposes of allocation and apportionment of the tax.

2. For a direction in the decedents will or revocable trust to be effective in
waiving the right of recovery provided in s. 2207B of the Internal Revenue
Code for tax imposed by reason of s. 2036 of the Internal Revenue Code, and
any tax imposed by Florida based upon s. 2036 of the Internal Revenue Code,
the direction must expressly waive that right of recovery. An express
direction that property passing under the will or revocable trust bear the tax
imposed by s. 2036 of the Internal Revenue Code is deemed an express
waiver of the right of recovery provided in s. 2207B of the Internal Revenue
Code. If property is included in the gross estate pursuant to ss. 2036 and 2038
of the Internal Revenue Code, the property is deemed included under s. 2038,
not s. 2036, for purposes of allocation and apportionment of the tax, and there
is no right of recovery under s. 2207B of the Internal Revenue Code.

3. A general statement in the decedents will or revocable trust waiving all
rights of reimbursement or recovery under the Internal Revenue Code is not
an express waiver of the rights of recovery provided in s. 2207A or s. 2207B
of the Internal Revenue Code.

4. For a direction in a governing instrument to be effective to direct
payment of generation-skipping transfer tax in a manner other than as
provided in s. 2603 of the Internal Revenue Code, and any tax imposed by
Florida based on s. 2601 of the Internal Revenue Code, the direction must
specifically reference the tax imposed by s. 2601 of the Internal Revenue
Code. A reference to the generation-skipping transfer tax or s. 2603 of the
Internal Revenue Code is deemed to be a reference to property upon which
tax is imposed by reason of s. 2601 of the Internal Revenue Code.

(e) If the decedent expressly directs by will, the net tax attributable to
property over which the decedent held a general power of appointment may



be determined in a manner other than as provided in subsection (2) if the net
tax attributable to that property does not exceed the difference between the
total net tax determined pursuant to subsection (2), determined without regard
to this paragraph, and the total net tax that would have been payable if the
value of the property subject to such power of appointment had not been
included in the decedents gross estate. If tax is attributable to one or more
section 2044 interests pursuant to subsection (2), the net tax attributable to
the section 2044 interests shall be calculated before the application of this
paragraph unless the decedent expressly directs otherwise by will.

(f) If the decedents will expressly provides that the tax is to be
apportioned as provided in the decedents revocable trust by specific
reference to the revocable trust, an express direction in the revocable trust is
deemed to be a direction contained in the will as well as the revocable trust.

(g) An express direction in the decedents will to pay tax from the
decedents revocable trust by specific reference to the revocable trust is
effective unless a contrary express direction is contained in the revocable
trust.

(h) If governing instruments contain effective directions that conflict as to
payment of taxes, the most recently executed tax apportionment provision
controls to the extent of the conflict. For the purpose of this subsection, if a
will or other governing instrument is amended, the date of the codicil to the
will or amendment to the governing instrument is regarded as the date of the
will or other governing instrument only if the codicil or amendment contains
an express tax apportionment provision or an express modification of the tax
apportionment provision. A general statement ratifying or republishing all
provisions not otherwise amended does not meet this condition. If the
decedents will and another governing instrument were executed on the same
date, the will is deemed executed after the other governing instrument. The
earlier conflicting governing instrument controls as to any tax remaining
unpaid after the application of the later conflicting governing instrument.

(i) A grant of permission or authority in a governing instrument to
request payment of tax from property passing under another
governing instrument is not a direction apportioning the tax to the
property passing under the other governing instrument. A grant of
permission or authority in a governing instrument to pay tax



attributable to property not passing under the governing instrument is
not a direction apportioning the tax to property passing under the
governing instrument.

(j) This section applies to any tax remaining to be paid after the application
of any effective express directions. An effective express direction for
payment of tax on specific property or a type of property in a manner
different from that provided in this section is not effective as an express
direction for payment of tax on other property or other types of property
included in the measure of the tax.

(5) Transfer of property.  A personal representative or fiduciary
shall not be required to transfer to a recipient any property reasonably
anticipated to be necessary for the payment of taxes. Further, the personal
representative or fiduciary is not required to transfer any property to the
recipient until the amount of the tax due from the recipient is paid by the
recipient. If property is transferred before final apportionment of the tax,
the recipient shall provide a bond or other security for his or her
apportioned liability in the amount and form prescribed by the personal
representative or fiduciary.

(6) Order of apportionment.
(a) The personal representative may petition at any time for an order of

apportionment. If administration of the decedents estate has not commenced
at any time after 90 days from the decedents death, any fiduciary may
petition for an order of apportionment in the court in which venue would be
proper for administration of the decedents estate. Notice of the petition for
order of apportionment must be served on all interested persons in the
manner provided for service of formal notice. At any time after 6 months
from the decedents death, any recipient may petition the court for an order of
apportionment.

(b) The court shall determine all issues concerning apportionment. If the
tax to be apportioned has not been finally determined, the court shall
determine the probable tax due or to become due from all interested persons,
apportion the probable tax, and retain jurisdiction over the parties and issues
to modify the order of apportionment as appropriate until after the tax is
finally determined.



(7) Deficiency.
(a) If the personal representative or fiduciary does not have possession of

sufficient property otherwise distributable to the recipient to pay the tax
apportioned to the recipient, whether under this section, the Internal Revenue
Code, or the governing instrument, if applicable, the personal representative
or fiduciary shall recover the deficiency in tax so apportioned to the recipient:

1. From the fiduciary in possession of the property to which the tax is
apportioned, if any; and

2. To the extent of any deficiency in collection from the fiduciary, or to the
extent collection from the fiduciary is excused pursuant to subsection (8) and
in all other cases, from the recipient of the property to which the tax is
apportioned, unless relieved of this duty as provided in subsection (8).

(b) In any action to recover the tax apportioned, the order of apportionment
is prima facie correct.

(c) In any action for the enforcement of an order of apportionment, the
court shall award taxable costs as in chancery actions, including reasonable
attorney fees, and may award penalties and interest on the unpaid tax in
accordance with equitable principles.

(d) This subsection does not authorize the recovery of any tax from a
company issuing life insurance included in the gross estate, or from a bank,
trust company, savings and loan association, or similar institution with
respect to any account in the name of the decedent and any other person
which passed by operation of law at the decedents death.

(8) Relief from Duty.
(a) A personal representative or fiduciary who has the duty under this

section of collecting the apportioned tax from recipients may be relieved of
the duty to collect the tax by an order of the court finding that:

1. The estimated court costs and attorney fees in collecting the apportioned
tax from a person against whom the tax has been apportioned will
approximate or exceed the amount of the recovery;

2. The person against whom the tax has been apportioned is a resident of a
foreign country other than Canada and refuses to pay the apportioned tax on
demand; or



3. It is impracticable to enforce contribution of the apportioned tax against
a person against whom the tax has been apportioned in view of the
improbability of obtaining a judgment or the improbability of collection
under any judgment that might be obtained, or otherwise.

(b) A personal representative or fiduciary is not liable for failure to attempt
to enforce collection if the personal representative or fiduciary reasonably
believes that collection would have been economically impracticable.

(9) Uncollected tax.  Any apportioned tax that is not collected shall
be reapportioned in accordance with this section as if the portion of the
property to which the uncollected tax had been apportioned had been
exempt.

(10) Contribution.  This section does not limit the right of any person
who has paid more than the amount of the tax apportionable to that person,
calculated as if all apportioned amounts would be collected, to obtain
contribution from those who have not paid the full amount of the tax
apportionable to them, calculated as if all apportioned amounts would be
collected, and that right is hereby conferred. In any action to enforce
contribution, the court shall award taxable costs as in chancery actions,
including reasonable attorney fees.

(11) Foreign tax.  This section does not require the personal
representative or fiduciary to pay any tax levied or assessed by a foreign
country unless specific directions to that effect are contained in the will or
other instrument under which the personal representative or fiduciary is
acting.

HISTORY:
S. 1, ch. 74-106; s. 95, ch. 75-220; s. 41, ch. 77-87; s. 273, ch. 79-400; s.

20, ch. 92-200; s. 1026, ch. 97-102; s. 9, ch. 97-240; s. 13, ch. 2000-159; s.
167, ch. 2001-226; s. 39, ch. 2006-217, eff. July 1, 2007; s. 122, ch. 2010-5,
eff. June 29, 2010; s. 6, ch. 2015-27, effective July 1, 2015.

Editors notes.
Created from former s. 734.041.
The references to sections of the Internal Revenue Code, referred to in this



section, are codified throughout Title 26 of the U.S.C.S.
Section 10, ch. 2015-27, provides: (1) The amendment made by this act to

s. 733.817(1)(g) and (2)(c), Florida Statutes, is remedial in nature, is intended
to clarify existing law, and applies retroactively to all proceedings pending or
commenced on or after July 1, 2015, in which the apportionment of taxes has
not been finally determined or agreed for the estates of decedents who die
after December 31, 2004.

(2) The amendment made by this act to s. 733.817(1)(e)3., (3)(e), (3)(g),
(4)(b), (4)(c), (4)(d)1.b., (4)(e), (4)(h), and (6), Florida Statutes, applies to the
estates of decedents who die on or after July 1, 2015.

(3) Except as provided in subsections (1) and (2), the amendment made
by this act to s. 733.817, Florida Statutes, is remedial in nature, is intended to
clarify existing law, and applies retroactively to all proceedings pending or
commenced on or after July 1, 2015, in which the apportionment of taxes has
not been finally determined or agreed and without regard to the date of the
decedents death.



 Title XLII. ,  Ch. 733. ,  Pt. IX. 
Fla. Stat. Title XLII, Ch. 733, Pt. IX



PART IX.
CLOSING ESTATES.

 Title XLII. ,  Ch. 733. ,  Pt. IX. ,   733.901. 
Fla. Stat.  733.901

 733.901. Final discharge.
(1) After administration has been completed, the personal representative

shall be discharged.
(2) The discharge of the personal representative shall release the

personal representative and shall bar any action against the personal
representative, as such or individually, and the surety.

HISTORY:
S. 1, ch. 74-106; s. 96, ch. 75-220; s. 42, ch. 77-87; s. 1, ch. 77-174; s. 6,

ch. 81-27; s. 29, ch. 95-401; s. 1027, ch. 97-102; s. 168, ch. 2001-226.

Editors notes.
Created from former s. 734.22.



 Title XLII. ,  Ch. 733. ,  Pt. IX. ,   733.903. 
Fla. Stat.  733.903

 733.903. Subsequent administration.
The final settlement of an estate and the discharge of the personal

representative shall not prevent further administration. The order of discharge
may not be revoked based upon the discovery of a will or later will.

HISTORY:
S. 1, ch. 74-106; s. 96, ch. 75-220; s. 1, ch. 88-110; s. 169, ch. 2001-226.

Editors notes.
Created from former s. 734.26.



 Title XLII. ,  Ch. 734. 
Fla. Stat. Title XLII, Ch. 734



CHAPTER 734.
PROBATE CODE: FOREIGN PERSONAL

REPRESENTATIVES; ANCILLARY ADMINISTRATION.
 Title XLII. ,  Ch. 734. ,  Pt. I. 

Fla. Stat. Title XLII, Ch. 734, Pt. I



PART I.
GENERAL PROVISIONS.

 Title XLII. ,  Ch. 734. ,  Pt. I. ,   734.101. 
Fla. Stat.  734.101

 734.101. Foreign personal representative.
(1) Personal representatives who produce authenticated copies of

probated wills or letters of administration duly obtained in any state or
territory of the United States may maintain actions in the courts of this
state.

(2) Personal representatives appointed in any state or country may be
sued in this state concerning property in this state and may defend actions
or proceedings brought in this state.

(3) Debtors who have not received a written demand for payment from a
personal representative or curator appointed in this state within 90 days
after appointment of a personal representative in any other state or country,
and whose property in Florida is subject to a mortgage or other lien
securing the debt held by the foreign personal representative, may pay the
foreign personal representative after the expiration of 90 days from the
date of appointment of the foreign personal representative. Thereafter, a
satisfaction of the mortgage or lien executed by the foreign personal
representative, with an authenticated copy of the letters or other evidence
of authority attached, may be recorded in the public records. The
satisfaction shall be an effective discharge of the mortgage or lien,
irrespective of whether the debtor making payment had received a written
demand before paying the debt.

(4) Except as provided in s. 655.936, all persons indebted to the estate of
a decedent, or having possession of personal property belonging to the
estate, who have received no written demand from a personal
representative or curator appointed in this state for payment of the debt or
the delivery of the property are authorized to pay the debt or to deliver the
personal property to the foreign personal representative after the expiration
of 90 days from the date of appointment of the foreign personal
representative.



HISTORY:
S. 1, ch. 74-106; s. 98, ch. 75-220; s. 1028, ch. 97-102; s. 170, ch. 2001-

226; s. 110, ch. 2002-1; s. 16, ch. 2007-74, eff. July 1, 2007.

Editors notes.
Created from former s. 734.30.



 Title XLII. ,  Ch. 734. ,  Pt. I. ,   734.102. 
Fla. Stat.  734.102

 734.102. Ancillary administration.
(1) If a nonresident of this state dies leaving assets in this state, credits

due from residents in this state, or liens on property in this state, a personal
representative specifically designated in the decedents will to administer
the Florida property shall be entitled to have ancillary letters issued, if
qualified to act in Florida. Otherwise, the foreign personal representative of
the decedents estate shall be entitled to have letters issued, if qualified to
act in Florida. If the foreign personal representative is not qualified to act
in Florida and the will names an alternate or successor who is qualified to
act in Florida, the alternate or successor shall be entitled to have letters
issued. Otherwise, those entitled to a majority interest of the Florida
property may have letters issued to a personal representative selected by
them who is qualified to act in Florida. If the decedent dies intestate and
the foreign personal representative is not qualified to act in Florida, the
order of preference for appointment of a personal representative as
prescribed in this code shall apply. If ancillary letters are applied for by
other than the domiciliary personal representative, prior notice shall be
given to any domiciliary personal representative.

(2) Ancillary administration shall be commenced as provided by the
Florida Probate Rules.

(3) If the will and any codicils are executed as required by the code, they
shall be admitted to probate.

(4) The ancillary personal representative shall give bond as do personal
representatives generally. All proceedings for appointment and
administration of the estate shall be as similar to those in original
administrations as possible.

(5) Unless creditors claims are otherwise barred by s. 733.710, the
ancillary personal representative shall cause a notice to creditors to be
served and published according to the requirements of chapter 733. Claims
not filed in accordance with chapter 733 shall be barred as provided in s.
733.702.

(6) After the payment of all expenses of administration and claims



against the estate, the court may order the remaining property held by the
ancillary personal representative transferred to the foreign personal
representative or distributed to the beneficiaries.

(7) Ancillary personal representatives shall have the same rights,
powers, and authority as other personal representatives in Florida to
manage and settle estates; to sell, lease, or mortgage local property; and to
raise funds for the payment of debts, claims, and devises in the domiciliary
jurisdiction. No property shall be sold, leased, or mortgaged to pay a debt
or claim that is barred by any statute of limitation or of nonclaim of this
state.

HISTORY:
S. 1, ch. 74-106; s. 98, ch. 75-220; s. 43, ch. 77-87; s. 1, ch. 77-174; s.

1029, ch. 97-102; s. 171, ch. 2001-226.

Editors notes.
Created from former s. 734.31.



 Title XLII. ,  Ch. 734. ,  Pt. I. ,   734.1025. 
Florida Probate Rules and Statutes, Rel. EB23E, Rel. EB23E  734.1025

 734.1025. Nonresident decedents testate estate with property not
exceeding $50,000 in this state; determination of claims.
(1) When a nonresident decedent dies testate and leaves property subject

to administration in this state the gross value of which does not exceed
$50,000 at the date of death, the foreign personal representative of the
estate before the expiration of 2 years after the decedents death may file in
the circuit court of the county where any property is located an
authenticated transcript of so much of the foreign proceedings as will show
the will and beneficiaries of the estate, as provided in the Florida Probate
Rules. The court shall admit the will and any codicils to probate if they
comply with s. 732.502(1), (2), or (3).

(2) The foreign personal representative may cause a notice to creditors
to be served and published according to the relevant requirements of
chapter 733. Claims not filed in accordance with chapter 733 shall be
barred as provided in s. 733.702. If any claim is filed, a personal
representative shall be appointed as provided in the Florida Probate Rules.

HISTORY:
S. 1, ch. 80-203; s. 10, ch. 89-340; s. 1030, ch. 97-102; s. 79, ch. 99-3; s.

172, ch. 2001-226; s. 12, ch. 2003-154.



 Title XLII. ,  Ch. 734. ,  Pt. I. ,   734.104. 
Fla. Stat.  734.104

 734.104. Foreign wills; admission to record; effect on title.
(1) An authenticated copy of the will of a nonresident that devises real

property in this state, or any right, title, or interest in the property, may be
admitted to record in any county of this state where the property is located
at any time after 2 years from the death of the decedent or at any time after
the domiciliary personal representative has been discharged if there has
been no proceeding to administer the estate of the decedent in this state,
provided:
(a) The will was executed as required by chapter 732; and
(b) The will has been admitted to probate in the proper court of any other

state, territory, or country.
(2) A petition to admit a foreign will to record may be filed by any

person and shall be accompanied by authenticated copies of the foreign
will, the petition for probate, and the order admitting the will to probate. If
no petition is required as a prerequisite to the probate of a will in the
jurisdiction where the will of the nonresident was probated, upon proof by
affidavit or certificate that no petition is required, an authenticated copy of
the will may be admitted to record without an authenticated copy of a
petition for probate, and the order admitting the will to record in this state
shall recite that no petition was required in the jurisdiction of original
probate.

(3) If the court finds that the requirements of this section have been met,
it shall enter an order admitting the foreign will to record.

(4) When admitted to record, the foreign will shall be as valid and
effectual to pass title to real property and any right, title, or interest therein
as if the will had been admitted to probate in this state.

HISTORY:
S. 3, ch. 74-106; s. 98, ch. 75-220; s. 45, ch. 77-87; s. 229, ch. 77-104; s.

15, ch. 79-221; s. 274, ch. 79-400; s. 11, ch. 89-340; s. 173, ch. 2001-226.



Editors notes.
Created from former s. 736.06.



 Title XLII. ,  Ch. 734. ,  Pt. II. 
Fla. Stat. Title XLII, Ch. 734, Pt. II



PART II.
JURISDICTION OVER FOREIGN PERSONAL

REPRESENTATIVES.
 Title XLII. ,  Ch. 734. ,  Pt. II. ,   734.201. 

Fla. Stat.  734.201

 734.201. Jurisdiction by act of foreign personal representative.
A foreign personal representative submits personally to the jurisdiction of

the courts of this state in any proceeding concerning the estate by:
(1) Filing authenticated copies of the domiciliary proceedings under s.

734.104;
(2) Receiving payment of money or taking delivery of personal property,

under s. 734.101; or
(3) Doing any act as a personal representative in this state that would

have given the state jurisdiction over that person as an individual.

HISTORY:
S. 1, ch. 74-106; s. 99, ch. 75-220; s. 1031, ch. 97-102; s. 174, ch. 2001-

226.



 Title XLII. ,  Ch. 734. ,  Pt. II. ,   734.202. 
Fla. Stat.  734.202

 734.202. Jurisdiction by act of decedent.
In addition to jurisdiction conferred by s. 734.201, a foreign personal

representative is subject to the jurisdiction of the courts of this state to the
same extent that the decedent was subject to jurisdiction immediately before
death.

HISTORY:
S. 1, ch. 74-106; s. 1032, ch. 97-102; s. 175, ch. 2001-226.



 Title XLII. ,  Ch. 735. 
Fla. Stat. Title XLII, Ch. 735



CHAPTER 735.
PROBATE CODE: SMALL ESTATES.

 Title XLII. ,  Ch. 735. ,  Pt. I. 
Fla. Stat. Title XLII, Ch. 735, Pt. I



PART I.
SUMMARY ADMINISTRATION.

 Title XLII. ,  Ch. 735. ,  Pt. I. ,   735.201. 
Fla. Stat.  735.201

 735.201. Summary administration; nature of proceedings.
Summary administration may be had in the administration of either a

resident or nonresident decedents estate, when it appears:
(1) In a testate estate, that the decedents will does not direct

administration as required by chapter 733.
(2) That the value of the entire estate subject to administration in this

state, less the value of property exempt from the claims of creditors, does
not exceed $75,000 or that the decedent has been dead for more than 2
years.

HISTORY:
S. 1, ch. 74-106; s. 105, ch. 75-220; s. 2, ch. 80-203; s. 13, ch. 89-340; s.

179, ch. 2001-226.



 Title XLII. ,  Ch. 735. ,  Pt. I. ,   735.202. 
Fla. Stat.  735.202

 735.202. May be administered in the same manner as other estates.
The estate may be administered in the same manner as the administration

of any other estate, or it may be administered as provided in this part.

HISTORY:
S. 1, ch. 74-106.

Editors notes.
Created from former s. 735.02.



 Title XLII. ,  Ch. 735. ,  Pt. I. ,   735.203. 
Fla. Stat.  735.203

 735.203. Petition for summary administration.
(1) A petition for summary administration may be filed by any

beneficiary or person nominated as personal representative in the
decedents will offered for probate. The petition must be signed and
verified by the surviving spouse, if any, and any beneficiaries except that
the joinder in a petition for summary administration is not required of a
beneficiary who will receive a full distributive share under the proposed
distribution. However, formal notice of the petition must be served on a
beneficiary not joining in the petition.

(2) If a person named in subsection (1) has died, is incapacitated, or is a
minor, or has conveyed or transferred all interest in the property of the
estate, then, as to that person, the petition must be signed and verified by:
(a) The personal representative, if any, of a deceased person or, if none, the

surviving spouse, if any, and the beneficiaries;
(b) The guardian of an incapacitated person or a minor; or
(c) The grantee or transferee of any of them shall be authorized to sign and

verify the petition instead of the beneficiary or surviving spouse.
(3) If each trustee of a trust that is a beneficiary of the estate of the

deceased person is also a petitioner, formal notice of the petition for
summary administration shall be served on each qualified beneficiary of
the trust as defined in s. 736.0103 unless joinder in, or consent to, the
petition is obtained from each qualified beneficiary of the trust.

HISTORY:
S. 1, ch. 74-106; s. 107, ch. 75-220; s. 1, ch. 77-174; s. 180, ch. 2001-226;

s. 12, ch. 2009-115, eff. July 1, 2009; s. 16, ch. 2010-132, eff. Oct. 1, 2010.

Editors notes.
Created from former s. 735.05.



 Title XLII. ,  Ch. 735. ,  Pt. I. ,   735.2055. 
Fla. Stat.  735.2055

 735.2055. Filing of petition.
The petition for summary administration may be filed at any stage of the

administration of an estate if it appears that at the time of filing the estate
would qualify.

HISTORY:
S. 47, ch. 77-87.



 Title XLII. ,  Ch. 735. ,  Pt. I. ,   735.206. 
Fla. Stat.  735.206

 735.206. Summary administration distribution.
(1) Upon the filing of the petition for summary administration, the will,

if any, shall be proved in accordance with chapter 733 and be admitted to
probate.

(2) Prior to entry of the order of summary administration, the petitioner
shall make a diligent search and reasonable inquiry for any known or
reasonably ascertainable creditors, serve a copy of the petition on those
creditors, and make provision for payment for those creditors to the extent
that assets are available.

(3) The court may enter an order of summary administration allowing
immediate distribution of the assets to the persons entitled to them.

(4) The order of summary administration and distribution so entered
shall have the following effect:
(a) Those to whom specified parts of the decedents estate, including

exempt property, are assigned by the order shall be entitled to receive and
collect the parts and to have the parts transferred to them. They may maintain
actions to enforce the right.

(b) Debtors of the decedent, those holding property of the decedent, and
those with whom securities or other property of the decedent are registered
are authorized and empowered to comply with the order by paying,
delivering, or transferring to those specified in the order the parts of the
decedents estate assigned to them by the order, and the persons so paying,
delivering, or transferring shall not be accountable to anyone else for the
property.

(c) After the entry of the order, bona fide purchasers for value from those
to whom property of the decedent may be assigned by the order shall take the
property free of all claims of creditors of the decedent and all rights of the
surviving spouse and all other beneficiaries.

(d) Property of the decedent that is not exempt from claims of creditors and
that remains in the hands of those to whom it may be assigned by the order
shall continue to be liable for claims against the decedent until barred as



provided in the code. Any known or reasonably ascertainable creditor who
did not receive notice and for whom provision for payment was not made
may enforce the claim and, if the creditor prevails, shall be awarded
reasonable attorneys fees as an element of costs against those who joined in
the petition.

(e) The recipients of the decedents property under the order of summary
administration shall be personally liable for a pro rata share of all lawful
claims against the estate of the decedent, but only to the extent of the value of
the estate of the decedent actually received by each recipient, exclusive of the
property exempt from claims of creditors under the constitution and statutes
of Florida.

(f) After 2 years from the death of the decedent, neither the decedents
estate nor those to whom it may be assigned shall be liable for any claim
against the decedent, unless proceedings have been taken for the enforcement
of the claim.

(g) Any heir or devisee of the decedent who was lawfully entitled to share
in the estate but who was not included in the order of summary
administration and distribution may enforce all rights in appropriate
proceedings against those who procured the order and, if successful, shall be
awarded reasonable attorneys fees as an element of costs.

HISTORY:
S. 1, ch. 74-106; s. 108, ch. 75-220; s. 48, ch. 77-87; s. 1, ch. 77-174; s. 14,

ch. 89-340; s. 1035, ch. 97-102; s. 181, ch. 2001-226.

Editors notes.
Created from former s. 735.07.



 Title XLII. ,  Ch. 735. ,  Pt. I. ,   735.2063. 
Fla. Stat.  735.2063

 735.2063. Notice to creditors.
(1) Any person who has obtained an order of summary administration

may publish a notice to creditors according to the relevant requirements of
s. 733.2121, notifying all persons having claims or demands against the
estate of the decedent that an order of summary administration has been
entered by the court. The notice shall specify the total value of the estate
and the names and addresses of those to whom it has been assigned by the
order.

(2) If proof of publication of the notice is filed with the court, all claims
and demands of creditors against the estate of the decedent who are not
known or are not reasonably ascertainable shall be forever barred unless
the claims and demands are filed with the court within 3 months after the
first publication of the notice.

HISTORY:
S. 3, ch. 80-203; s. 182, ch. 2001-226; s. 13, ch. 2003-154.



 Title XLII. ,  Ch. 735. ,  Pt. II. 
Fla. Stat. Title XLII, Ch. 735, Pt. II



PART II.
DISPOSITION OF PERSONAL PROPERTY WITHOUT

ADMINISTRATION.
 Title XLII. ,  Ch. 735. ,  Pt. II. ,   735.301. 

Fla. Stat.  735.301

 735.301. Disposition without administration.
(1) No administration shall be required or formal proceedings instituted

upon the estate of a decedent leaving only personal property exempt under
the provisions of s. 732.402, personal property exempt from the claims of
creditors under the Constitution of Florida, and nonexempt personal
property the value of which does not exceed the sum of the amount of
preferred funeral expenses and reasonable and necessary medical and
hospital expenses of the last 60 days of the last illness.

(2) Upon informal application by affidavit, letter, or otherwise by any
interested party, and if the court is satisfied that subsection (1) is
applicable, the court, by letter or other writing under the seal of the court,
may authorize the payment, transfer, or disposition of the personal
property, tangible or intangible, belonging to the decedent to those persons
entitled.

(3) Any person, firm, or corporation paying, delivering, or transferring
property under the authorization shall be forever discharged from liability
thereon.

HISTORY:
S. 1, ch. 74-106; s. 111, ch. 75-220; s. 50, ch. 77-87; s. 1, ch. 77-174; s.

275, ch. 79-400; s. 52, ch. 98-421; s. 184, ch. 2001-226.



 Title XLII. ,  Ch. 735. ,  Pt. II. ,   735.302. 
Fla. Stat.  735.302

 735.302. Income tax refunds in certain cases.
(1) In any case when the United States Treasury Department determines

that an overpayment of federal income tax exists and the person in whose
favor the overpayment is determined is dead at the time the overpayment
of tax is to be refunded, and irrespective of whether the decedent had filed
a joint and several or separate income tax return, the amount of the
overpayment, if not in excess of $2,500, may be refunded as follows:
(a) Directly to the surviving spouse on his or her verified application; or
(b) If there is no surviving spouse, to one of the decedents children who is

designated in a verified application purporting to be executed by all of the
decedents children over the age of 14 years.

In either event, the application must show that the decedent was not
indebted, that provision has been made for the payment of the decedents
debts, or that the entire estate is exempt from the claims of creditors under
the constitution and statutes of the state, and that no administration of the
estate, including summary administration, has been initiated and that none
is planned, to the knowledge of the applicant.

(2) If a refund is made to the surviving spouse or designated child
pursuant to the application, the refund shall operate as a complete
discharge to the United States from liability from any action, claim, or
demand by any beneficiary of the decedent or other person. This section
shall be construed as establishing the ownership or rights of the payee in
the refund.

HISTORY:
S. 1, ch. 74-106; s. 112, ch. 75-220; s. 51, ch. 77-87; s. 1, ch. 77-174; s.

185, ch. 2001-226.

Editors notes.
Created from former s. 735.15.



 Title XLII. ,  Ch. 735. ,  Pt. II. ,   735.303. 
Fla. Stat.  735.303

 735.303. Payment to successor without court proceedings.
(1) As used in this section, the term:

(a) Family member means:
1. The surviving spouse of the decedent;
2. An adult child of the decedent if the decedent left no surviving spouse;
3. An adult descendant of the decedent if the decedent left no surviving

spouse and no surviving adult child; or
4. A parent of the decedent if the decedent left no surviving spouse, no

surviving adult child, and no surviving adult descendant.
(b) Qualified account means a depository account or certificate of

deposit held by a financial institution in the sole name of the decedent
without a pay-on-death or any other survivor designation.

(2) A financial institution in this state may pay to the family member of
a decedent, without any court proceeding, order, or judgment, the funds on
deposit in all qualified accounts of the decedent at the financial institution
if the total amount of the combined funds in the qualified accounts at the
financial institution do not exceed an aggregate total of $1,000. The
financial institution may not make such payment earlier than 6 months
after the date of the decedents death.

(3) In order to receive the funds described in subsection (2), the family
member must provide to the financial institution a certified copy of the
decedents death certificate and a sworn affidavit that includes all of the
following:
(a) A statement attesting that the affiant is the surviving spouse, adult

child, adult descendant, or parent of the decedent.
1. If the affiant is an adult child of the decedent, the affidavit must attest

that the decedent left no surviving spouse.
2. If the affiant is an adult descendant of the decedent, the affidavit must

attest that the decedent left no surviving spouse and no surviving adult child.



3. If the affiant is a parent of the decedent, the affidavit must attest that the
decedent left no surviving spouse, no surviving adult child, and no surviving
adult descendant.

(b) The date of death and the address of the decedents last residence.
(c) A statement attesting that the total amount in all qualified accounts held

by the decedent in all financial institutions known to the affiant does not
exceed an aggregate total of $1,000.

(d) A statement acknowledging that a personal representative has not been
appointed to administer the decedents estate and attesting that no probate
proceeding or summary administration procedure has been commenced with
respect to the estate.

(e) A statement acknowledging that the affiant has no knowledge of the
existence of any last will and testament or other document or agreement
relating to the distribution of the decedents estate.

(f) A statement acknowledging that the payment of the funds constitutes a
full release and discharge of the financial institutions obligation regarding
the amount paid.

(g) A statement acknowledging that the affiant understands that he or she
is personally liable to the creditors of the decedent and other persons
rightfully entitled to the funds under the Florida Probate Code, to the extent
the amount paid exceeds the amount properly attributable to the affiants
share.

(h) A statement acknowledging that the affiant understands that making a
false statement in the affidavit may be punishable as a criminal offense.

(4) The family member may use an affidavit in substantially the
following form to fulfill the requirements of subsection (3):
AFFIDAVIT UNDER 

SECTION 735.303, FLORIDA STATUTES, 
TO OBTAIN BANK PROPERTY OF DECEASED 
ACCOUNT HOLDER: (Name of decedent)

State of ________________
County of ________________



Before the undersigned authority personally appeared(name of affiant), of
(residential address of affiant), who has been sworn and says the following
statements are true:

(a) The affiant is (initial one of the following responses):
The surviving spouse of the decedent.
A surviving adult child of the decedent, and the decedent left no surviving

spouse.
A surviving adult descendant of the decedent, and the decedent left no

surviving spouse and no surviving adult child.
A surviving parent of the decedent, and the decedent left no surviving

spouse, no surviving adult child, and no surviving adult descendant.
(b) As shown in the certified death certificate, the date of death of the

decedent was (date of death), and the address of the decedents last residence
was (address of last residence)

(c) The affiant is entitled to payment of the funds in the decedents
depository accounts and certificates of deposit held by the financial
institution (name of financial institution) The total amount in all qualified
accounts held by the decedent in all financial institutions known to the affiant
does not exceed an aggregate total of $1,000. The affiant requests full
payment from the financial institution.

(d) A personal representative has not been appointed to administer the
decedents estate, and no probate proceeding or summary administration
procedure has been commenced with respect to the estate.

(e) The affiant has no knowledge of any last will and testament or other
document or agreement relating to the distribution of the decedents estate.

(f) The payment of the funds constitutes a full release and discharge of the
financial institution regarding the amount paid.

(g) The affiant understands that he or she is personally liable to the
creditors of the decedent and other persons rightfully entitled to the funds
under the Florida Probate Code, to the extent the amount paid exceeds the
amount properly attributable to the affiants share.

(h) The affiant understands that making a false statement in this affidavit



may be punishable as a criminal offense.
By(signature of Affiant)
Sworn to and subscribed before me this day of __________ by(name of

Affiant), who is personally known to me or produced as identification, and
did take an oath.

(Signature of Notary Public - State of Florida)
(Print, Type, or Stamp Commissioned Name of Notary Public)
My commission expires: (date of expiration of commission)

(5) The financial institution is not required to determine whether the
contents of the sworn affidavit are truthful. The payment of the funds by
the financial institution to the affiant constitutes the financial institutions
full release and discharge regarding the amount paid. A person does not
have a right or cause of action against the financial institution for taking an
action, or for failing to take an action, in connection with the affidavit or
the payment of the funds.

(6) The family member who withdraws the funds under this section is
personally liable to the creditors of the decedent and any other person
rightfully entitled to the funds under the Florida Probate Code, to the
extent the amount paid exceeds the amount properly attributable to the
family members share.

(7) The financial institution shall maintain a copy or an image of the
affidavit in accordance with its customary retention policies. If a surviving
spouse or descendant of the decedent requests a copy of the affidavit
during such time, the financial institution may provide a copy of the
affidavit to the requesting surviving spouse or descendant of the decedent.

(8) In addition to any other penalty provided by law, a person who
knowingly makes a false statement in a sworn affidavit given to a financial
institution to receive a decedents funds under this section commits theft,
punishable as provided in s. 812.014.

History.
S. 2, ch. 2020-110, effective July 1, 2020.



 Title XLII. ,  Ch. 735. ,  Pt. II. ,   735.304. 
Fla. Stat.  735.304

 735.304. Disposition without administration of intestate property in
small estates.
(1) No administration shall be required or formal proceedings instituted

upon the estate of a decedent who has died intestate leaving only personal
property exempt under the provisions of s. 732.402, personal property
exempt from the claims of creditors under the Florida Constitution, and
nonexempt personal property the value of which does not exceed the sum
of $10,000 and the amount of preferred funeral expenses and reasonable
and necessary medical and hospital expenses of the last 60 days of the last
illness, provided the decedent has been deceased for more than 1 year and
no administration of the decedents estate is pending in this state.

(2) Any heir at law of the decedent entitled to a share of the intestate
estate pursuant to s. 732.102 or s. 732.103 may by affidavit request
distribution of assets of the decedent through informal application under
this section. The affidavit must be signed and verified by the surviving
spouse, if any, and any heirs at law, except that joinder in the affidavit is
not required of an heir who will receive a full intestate share under the
proposed distribution of the personal property. Before the filing of the
affidavit, the affiant must make a diligent search and reasonable inquiry for
any known or reasonably ascertainable creditors, and the proposed
distribution must make provision for payment of those creditors to the
extent that assets are available or the creditors must consent to the
proposed distribution. The affidavit must be served in the manner of
formal notice upon all heirs at law who have not joined in the affidavit;
upon all known or reasonably ascertainable creditors of the decedent; and,
if the decedent at the time of death was over the age of 55 years of age,
upon the Agency for Health Care Administration.

(3) If the court is satisfied that subsection (1) is applicable and the
affidavit filed by the heir at law meets the requirements of subsection (2),
the court, by letter or other writing under the seal of the court, may
authorize the payment, transfer, disposition, delivery, or assignment of the
tangible or intangible personal property to those persons entitled.



(a) Any individual, corporation, or other person paying, transferring,
delivering, or assigning personal property under the authorization shall be
forever discharged from liability thereon.

(b) Bona fide purchasers for value from those to whom personal property
of the decedent has been paid, transferred, delivered, or assigned shall take
the property free of all claims of creditors of the decedent and all rights of the
surviving spouse and all other beneficiaries or heirs at law of the decedent.

(c) Personal property of the decedent that is not exempt from claims of
creditors and that remains in the possession of those to whom it has been
paid, delivered, transferred, or assigned shall continue to be liable for claims
against the decedent until barred as provided in the Florida Probate Code.
Any known or reasonably ascertainable creditor who did not consent to the
proposed distribution and for whom provision for payment was not made
may enforce the claim and, if the creditor prevails, shall be awarded costs,
including reasonable attorney fees, against those who joined in the affidavit.

(d) Recipients of the decedents personal property under this section shall
be personally liable for a pro rata share of all lawful claims against the estate
of the decedent, but only to the extent of the value on the date of distribution
of the personal property actually received by each recipient, exclusive of the
property exempt from claims of creditors under the constitution and statutes
of Florida.

(e) Except as otherwise provided in s. 733.710, after 2 years from the death
of the decedent, neither the decedents estate nor those to whom it may be
distributed shall be liable for any claim against the decedent, unless within
that time proceedings have been taken for the enforcement of the claim.

(f) Any heir or devisee of the decedent who was lawfully entitled to share
in the estate but who was not included in the distribution under this section
may enforce all rights in appropriate proceedings against those who signed
the affidavit or received distribution of personal property and, if successful,
shall be awarded costs including reasonable attorney fees as in chancery
actions.

History.
S. 3, ch. 2020-110, effective July 1, 2020.



 Title XLII. ,  Ch. 736. 
Fla. Stat. Title XLII, Ch. 736



CHAPTER 736.
FLORIDA TRUST CODE.

 Title XLII. ,  Ch. 736. ,  Pt. I. 
Fla. Stat. Title XLII, Ch. 736, Pt. I



PART I.
GENERAL PROVISIONS AND DEFINITIONS.

 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0101. 
Fla. Stat.  736.0101

 736.0101. Short title.
This chapter may be cited as the Florida Trust Code and for purposes of

this chapter is referred to as the code.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0102. 
Fla. Stat.  736.0102

 736.0102. Scope.
(1) Except as otherwise provided in this section, this code applies to

express trusts, charitable or noncharitable, and trusts created pursuant to a
law, judgment, or decree that requires the trust to be administered in the
manner of an express trust.

(2) This code does not apply to constructive or resulting trusts;
conservatorships; custodial arrangements pursuant to the Florida Uniform
Transfers to Minors Act; business trusts providing for certificates to be
issued to beneficiaries; common trust funds; trusts created by the form of
the account or by the deposit agreement at a financial institution; voting
trusts; security arrangements; liquidation trusts; trusts for the primary
purpose of paying debts, dividends, interest, salaries, wages, profits,
pensions, or employee benefits of any kind; and any arrangement under
which a person is nominee or escrowee for another.

(3) This code does not apply to any land trust under s. 689.071, except to
the extent provided in s. 689.071(7), s. 721.08(2)(c)4., or s. 721.53(1)(e). A
trust governed at its creation by this chapter, former chapter 737, or any
prior trust statute superseded or replaced by any provision of former
chapter 737, is not a land trust regardless of any amendment or
modification of the trust, any change in the assets held in the trust, or any
continuing trust resulting from the distribution or retention in further trust
of assets from the trust.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007; s. 10, ch. 2007-153, eff. July 1, 2007;

s. 3, ch. 2013-240, eff. June 28, 2013.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0103. 
Fla. Stat.  736.0103

 736.0103. Definitions.
Unless the context otherwise requires, in this code:

(1) Action, with respect to an act of a trustee, includes a failure to act.
(2) Affiliate means any person or entity that directly or indirectly

through one or more intermediaries owns or controls, is owned or
controlled by, or is under common control or ownership with, the
fiduciary. An affiliate may include, but is not limited to, an investment
adviser, administrator, broker, transfer agent, placement agent, servicing
agent, registrar, custodian, underwriter, sponsor, distributor, or manager.

(3) Ascertainable standard means a standard relating to an individuals
health, education, support, or maintenance within the meaning of s.
2041(b)(1)(A) or s. 2514(c)(1) of the Internal Revenue Code of 1986, as
amended.

(4) Beneficiary means a person who has a present or future beneficial
interest in a trust, vested or contingent, or who holds a power of
appointment over trust property in a capacity other than that of trustee. An
interest as a permissible appointee of a power of appointment, held by a
person in a capacity other than that of trustee, is not a beneficial interest for
purposes of this subsection. Upon an irrevocable exercise of a power of
appointment, the interest of a person in whose favor the appointment is
made shall be considered a present or future beneficial interest in a trust in
the same manner as if the interest had been included in the trust
instrument.

(5) Charitable trust means a trust, or portion of a trust, created for a
charitable purpose as described in s. 736.0405(1).

(6) Directed trust means a trust for which the terms of the trust grant a
power of direction.

(7) Directed trustee means a trustee that is subject to a trust directors
power of direction.

(8) Distributee means a beneficiary who is currently entitled to receive



a distribution.
(9) Environmental law means a federal, state, or local law, rule,

regulation, or ordinance that relates to protection of the environment or
human health.

(10) General power of appointment means a power of appointment
exercisable in favor of the holder of the power, the power holders
creditors, the power holders estate, or the creditors of the power holders
estate.

(11) Guardian of the person means a person appointed by the court to
make decisions regarding the support, care, education, health, and welfare
of a minor or an incapacitated adult. The term does not include a guardian
ad litem.

(12) Guardian of the property means a person appointed by the court
to administer the estate of a minor or incapacitated adult.

(13) Interests of the beneficiaries means the beneficial interests
intended by the settlor as provided in the terms of a trust.

(14) Jurisdiction with respect to a geographic area, includes a state or
country.

(15) Permissible distributee means a beneficiary who is currently
eligible to receive a distribution.

(16) Power of direction means a power over a trust granted to a person
by the terms of the trust to the extent the power is exercisable while the
person is not serving as a trustee. The term includes a power over the
investment, management, or distribution of trust property, a power to
amend a trust instrument or terminate a trust, or a power over other matters
of trust administration. The term excludes the powers excluded from part
XIV of this chapter under s. 736.1405(2).

(17) Power of withdrawal means a presently exercisable general
power of appointment other than a power:
(a) Exercisable by a trustee and limited by an ascertainable standard; or
(b) Exercisable by another person only upon consent of the trustee or a

person holding an adverse interest.



(18) Property means anything that may be the subject of ownership,
real or personal, legal or equitable, or any interest therein.

(19) Qualified beneficiary means a living beneficiary who, on the date
the beneficiarys qualification is determined:
(a) Is a distributee or permissible distributee of trust income or principal;
(b) Would be a distributee or permissible distributee of trust income or

principal if the interests of the distributees described in paragraph (a)
terminated on that date without causing the trust to terminate; or

(c) Would be a distributee or permissible distributee of trust income or
principal if the trust terminated in accordance with its terms on that date.

(20) Revocable, as applied to a trust, means revocable by the settlor
without the consent of the trustee or a person holding an adverse interest.

(21) Settlor means a person, including a testator, who creates or
contributes property to a trust. If more than one person creates or
contributes property to a trust, each person is a settlor of the portion of the
trust property attributable to that persons contribution except to the extent
another person has the power to revoke or withdraw that portion.

(22) Spendthrift provision means a term of a trust that restrains both
voluntary and involuntary transfer of a beneficiarys interest.

(23) State means any state of the United States and includes the
District of Columbia, the Commonwealth of Puerto Rico, and any territory
or possession subject to the legislative authority of the United States.

(24) Terms of a trust means:
(a) Except as otherwise provided in paragraph (b), the manifestation of the

settlors intent regarding a trusts provisions as:
1. Expressed in the trust instrument; or
2. Established by other evidence that would be admissible in a judicial

proceeding; or
(b) The trusts provisions as established, determined, or amended by:
1. A trustee or trust director in accordance with applicable law;
2. Court order; or



3. A nonjudicial settlement agreement under s. 736.0111, relating to
nonjudicial settlement agreements.

(25) Trust director means a person who is granted a power of direction
by the terms of a trust to the extent the power is exercisable while the
person is not serving as a trustee. The person is a trust director whether or
not the terms of the trust refer to the person as a trust director and whether
or not the person is a beneficiary or settlor of the trust.

(26) Trust instrument means an instrument executed by a settlor that
contains terms of the trust, including any amendments to the trust.

(27) Trustee means the original trustee and includes any additional
trustee, any successor trustee, and any cotrustee.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007; s. 1, ch. 2009-117, eff. July 1, 2009;

s. 9, ch. 2013-172, eff. Oct. 1, 2013; s. 1, ch. 2018-35, effective July 1, 2018;
s. 3, ch. 2021-183, effective July 1, 2021.

Editors notes.
Sections 2041(b)(1)(A) and 2514(c)(1) of the Internal Revenue Code,

referred to in this section, are codified as 26 U.S.C.S.  2041(b)(1)(A) and
2514(c)(1), respectively.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0104. 
Fla. Stat.  736.0104

 736.0104. Knowledge.
(1) Subject to subsection (2), a person has knowledge of a fact if the

person:
(a) Has actual knowledge of the fact;
(b) Has received a notice or notification of the fact; or
(c) Has reason to know the fact from all the other facts and circumstances

known to the person at the time in question.
(2) An organization that conducts activities through employees has

notice or knowledge of a fact involving a trust only from the time the
information was received by an employee having responsibility to act on
matters involving the trust, or would have been brought to the employees
attention if the organization had exercised reasonable diligence. An
organization exercises reasonable diligence if the organization maintains
reasonable routines for communicating significant information to the
employee having responsibility to act on matters involving the trust and
there is reasonable compliance with the routines. Reasonable diligence
does not require an employee of the organization to communicate
information unless the communication is part of the individuals regular
duties or the individual knows a matter involving the trust would be
materially affected by the information.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0105. 
Fla. Stat.  736.0105

 736.0105. Default and mandatory rules.
(1) Except as otherwise provided in the terms of the trust, this code

governs the duties and powers of a trustee, relations among trustees, and
the rights and interests of a beneficiary.

(2) The terms of a trust prevail over any provision of this code except:
(a) The requirements for creating a trust.
(b) Subject to s. 736.1409, relating to the duties and liabilities of a directed

trustee; s. 736.1411, relating to limitations on duties of a trustee or trust
director to monitor, inform, or advise on matters involving the other; and s.
736.1412, relating to the allocation of powers among cotrustees, requirements
for excluded cotrustees to act as a directed trustee, and liability and related
obligations of directing cotrustees, the duty of the trustee to act in good faith
and in accordance with the terms and purposes of the trust and the interests of
the beneficiaries.

(c) The requirement that a trust have a purpose that is lawful, not contrary
to public policy, and possible to achieve.

(d) The periods of limitation for commencing a judicial proceeding.
(e) The power of the court to take such action and exercise such

jurisdiction as may be necessary in the interests of justice.
(f) The requirements under s. 736.0108(1) for the designation of a principal

place of administration of the trust and the requirements under s. 736.0107
for the designation of a jurisdiction the law of which determines the meaning
and effect of the terms of a trust.

(g) The jurisdiction and venue provisions in ss. 736.0202, 736.0203, and
736.0204.

(h) The restrictions on the designation of representative under s. 736.0306.
(i) The formalities required under s. 736.0403(2) for the execution

of a trust.
(j) The power of the court to modify or terminate a trust under ss.



736.0410-736.04115, except as provided in s. 736.04115(3)(b), and under ss.
736.0413, 736.0415, and 736.0416.

(k) The ability to modify a trust under s. 736.0412, except as provided in s.
736.0412(4)(b).

(l) The effect of a spendthrift provision and the rights of certain creditors
and assignees to reach a trust as provided in part V.

(m) The trustees duty under s. 736.05053 to pay expenses and obligations
of the settlors estate.

(n) The trustees duty under s. 736.05055 to file a notice of trust at the
settlors death.

(o) The right of a trustee under s. 736.0701 to decline a trusteeship and the
right of a trustee under s. 736.0705 to resign a trusteeship.

(p) The power of the court under s. 736.0702 to require, dispense with,
modify, or terminate a bond.

(q) The power of the court under s. 736.0708(2) to adjust a trustees
compensation specified in the terms of the trust that is unreasonably low or
high.

(r) The duty under s. 736.0813(1)(a) and (b) to notify qualified
beneficiaries of an irrevocable trust of the existence of the trust, of the
identity of the trustee, and of their rights to trust accountings.

(s) The duty under s. 736.0813(1)(c) and (d) to provide a complete copy of
the trust instrument and to account to qualified beneficiaries except as
otherwise provided in s. 736.0813(1)(d).

(t) The duty under s. 736.0813(1)(e) to respond to the request of a qualified
beneficiary of an irrevocable trust for relevant information about the assets
and liabilities of the trust and the particulars relating to trust administration.

(u) The effect of an exculpatory term under s. 736.1011.
(v) The rights under ss. 736.1013-736.1017 of a person other than a

trustee or beneficiary.
(w) The effect of a penalty clause for contesting a trust under s. 736.1108.

HISTORY:



S. 1, ch. 2006-217, eff. July 1, 2007; s. 2, ch. 2009-117, eff. July 1, 2009;
s. 2, ch. 2018-35, effective July 1, 2018; s. 4, ch. 2021-183, effective July 1,
2021; s. 2, ch. 2022-96, effective July 1, 2022.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0106. 
Fla. Stat.  736.0106

 736.0106. Common law of trusts; principles of equity.
The common law of trusts and principles of equity supplement this code,

except to the extent modified by this code or another law of this state.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0107. 
Fla. Stat.  736.0107

 736.0107. Governing law.
The meaning and effect of the terms of a trust are determined by:

(1) The law of the jurisdiction designated in the terms of the trust,
provided there is a sufficient nexus to the designated jurisdiction at the
time of the creation of the trust or during the trust administration,
including, but not limited to, the location of real property held by the trust
or the residence or location of an office of the settlor, trustee, or any
beneficiary; or

(2) In the absence of a controlling designation in the terms of the trust,
the law of the jurisdiction where the settlor resides at the time the trust is
first created.
Notwithstanding subsection (1) or subsection (2), a designation in the
terms of a trust is not controlling as to any matter for which the designation
would be contrary to a strong public policy of this state.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0108. 
Fla. Stat.  736.0108

 736.0108. Principal place of administration.
(1) Terms of a trust designating the principal place of administration of

the trust are valid only if there is a sufficient connection with the
designated jurisdiction. Without precluding other means for establishing a
sufficient connection, terms of a trust designating the principal place of
administration are valid and controlling if:
(a) A trustees principal place of business is located in or a trustee is a

resident of the designated jurisdiction; or
(b) All or part of the administration occurs in the designated jurisdiction.

(2) Unless otherwise validly designated in the trust instrument, the
principal place of administration of a trust is the trustees usual place of
business where the records pertaining to the trust are kept or, if the trustee
has no place of business, the trustees residence. In the case of cotrustees,
the principal place of administration is:
(a) The usual place of business of the corporate trustee, if there is only one

corporate cotrustee;
(b) The usual place of business or residence of the individual trustee who is

a professional fiduciary, if there is only one such person and no corporate
cotrustee; or otherwise

(c) The usual place of business or residence of any of the cotrustees as
agreed on by the cotrustees.

(3) Notwithstanding any other provision of this section, the principal
place of administration of a trust, for which a bank, association, or trust
company organized under the laws of this state or bank or savings
association organized under the laws of the United States with its main
office in this state has been appointed trustee, shall not be moved or
otherwise affected solely because the trustee engaged in an interstate
merger transaction with an out-of-state bank pursuant to s. 658.2953 in
which the out-of-state bank is the resulting bank.

(4) A trustee is under a continuing duty to administer the trust at a place



appropriate to its purposes and its administration.
(5) Without precluding the right of the court to order, approve, or

disapprove a transfer, the trustee, in furtherance of the duty prescribed by
subsection (4), may transfer the trusts principal place of administration to
another state or to a jurisdiction outside of the United States.

(6) The trustee shall notify the qualified beneficiaries of a proposed
transfer of a trusts principal place of administration not less than 60 days
before initiating the transfer. The notice of proposed transfer must include:
(a) The name of the jurisdiction to which the principal place of

administration is to be transferred.
(b) The address and telephone number at the new location at which the

trustee can be contacted.
(c) An explanation of the reasons for the proposed transfer.
(d) The date on which the proposed transfer is anticipated to occur.
(e) The date, not less than 60 days after the notice is provided, by which

the qualified beneficiary must notify the trustee of an objection to the
proposed transfer.

(7) The authority of a trustee to act under this section without court
approval to transfer a trusts principal place of administration is suspended
if a qualified beneficiary files a lawsuit objecting to the proposed transfer
on or before the date specified in the notice. The suspension is effective
until the lawsuit is dismissed or withdrawn.

(8) In connection with a transfer of the trusts principal place of
administration, the trustee may transfer any of the trust property to a
successor trustee designated in the terms of the trust or appointed pursuant
to s. 736.0704.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0109. 
Fla. Stat.  736.0109

 736.0109. Methods and waiver of notice.
(1) Notice to a person under this code or the sending of a document to a

person under this code must be accomplished in a manner reasonably
suitable under the circumstances and likely to result in receipt of the notice
or document. Permissible methods of notice or for sending a document
include first-class mail, personal delivery, delivery to the persons last
known place of residence or place of business, a properly directed
facsimile or other electronic message, including e-mail, or posting on a
secure electronic account or website in accordance with subsection (3).

(2) Notice otherwise required under this code or a document otherwise
required to be sent under this code need not be provided to a person whose
identity or location is unknown to and not reasonably ascertainable by the
trustee.

(3) A document that is sent solely by posting on an electronic account or
website is not deemed sent for purposes of this section unless the sender
complies with this subsection. The sender has the burden of proving
compliance with this subsection.
(a) The recipient must sign a separate written authorization solely for the

purpose of authorizing the sender to post documents on an electronic account
or website before such posting. The written authorization must:

1. Specifically indicate whether a trust accounting, trust disclosure
document, or limitation notice, as those terms are defined in s. 736.1008(4),
will be posted in this manner, and generally enumerate the other types of
documents that may be posted in this manner.

2. Contain specific instructions for accessing the electronic account or
website, including the security procedures required to access the electronic
account or website, such as a username and password.

3. Advise the recipient that a separate notice will be sent when a document
is posted on the electronic account or website and the manner in which the
separate notice will be sent.

4. Advise the recipient that the authorization to receive documents by



electronic posting may be amended or revoked at any time and include
specific instructions for revoking or amending the authorization, including
the address designated for the purpose of receiving notice of the revocation or
amendment.

5. Advise the recipient that posting a document on the electronic account
or website may commence a limitations period as short as 6 months even if
the recipient never actually accesses the electronic account, electronic
website, or document.

(b) Once the recipient signs the written authorization, the sender must
provide a separate notice to the recipient when a document is posted on the
electronic account or website. As used in this subsection, the term separate
notice means a notice sent to the recipient by means other than electronic
posting, which identifies each document posted to the electronic account or
website and provides instructions for accessing the document. The separate
notice requirement is deemed satisfied if the recipient accesses the document
on the electronic account or website.

(c) A document sent by electronic posting is deemed received by the
recipient on the earlier of the date on which the separate notice is received or
the date on which the recipient accesses the document on the electronic
account or website.

(d) At least annually after a recipient signs a written authorization, a sender
shall send a notice advising recipients who have authorized one or more
documents to be posted on an electronic account or website that such posting
may commence a limitations period as short as 6 months even if the recipient
never accesses the electronic account or website or the document and that
authority to receive documents by electronic posting may be amended or
revoked at any time. This notice must be given by means other than
electronic posting and may not be accompanied by any other written
communication. Failure to provide such notice within 380 days after the last
notice is deemed to automatically revoke the authorization to receive
documents in the manner permitted under this subsection 380 days after the
last notice is sent.

(e) The notice required in paragraph (d) may be in substantially the
following form: You have authorized the receipt of documents through
posting on an electronic account or website on which the documents can be



accessed. This notice is being sent to advise you that a limitations period,
which may be as short as 6 months, may be running as to matters disclosed in
a trust accounting or other written report of a trustee posted to the electronic
account or website even if you never actually access the electronic account or
website or the documents. You may amend or revoke the authorization to
receive documents by electronic posting at any time. If you have any
questions, please consult your attorney.

(f) A sender may rely on the recipients authorization until the recipient
amends or revokes the authorization by sending a notice to the address
designated for that purpose in the authorization or in the manner specified on
the electronic account or website. The recipient, at any time, may amend or
revoke an authorization to have documents posted on the electronic account
or website.

(g) If a document is provided to a recipient solely through electronic
posting pursuant to this subsection, the recipient must be able to access and
print or download the document until the earlier of 4 years after the date that
the document is deemed received by the recipient or the date upon which the
recipients access to the electronic account or website is terminated for any
reason.

1. If the recipients access to the electronic account or website is
terminated for any reason, such termination does not invalidate the notice or
sending of any document previously posted on the electronic account or
website in accordance with this subsection, but may toll the applicable
limitations period as provided in subparagraph 2.

2. If the recipients access to the electronic account or website is
terminated by the sender sooner than 4 years after the date on which the
document was received by the recipient, any applicable limitations period set
forth in s. 736.1008(1) or (2) which is still running is tolled for any
information adequately disclosed in a document sent solely by electronic
posting, from the date on which the recipients access to the electronic
account or website was terminated by the sender until 45 days after the date
on which the sender provides one of the following to the recipient by means
other than electronic posting:

a. Notice of such termination and notification to the recipient that he or she
may request that any documents sent during the prior 4 years solely through



electronic posting be provided to him or her by other means at no cost; or
b. Notice of such termination and notification to the recipient that his or

her access to the electronic account or website has been restored.
Any applicable limitations period is further tolled from the date on which

any request is made pursuant to sub-subparagraph 2.a. until 20 days after the
date on which the requested documents are provided to the recipient by
means other than electronic posting.

(h) For purposes of this subsection, access to an electronic account or
website is terminated by the sender when the sender unilaterally terminates
the recipients ability to access the electronic website or account or to
download or print any document posted on such website or account. Access
is not terminated by the sender when access is terminated by an action of the
recipient or by an action of the sender in response to the recipients request to
terminate access. The recipients revocation of authorization pursuant to
paragraph (f) is not considered a request to terminate access.

(i) This subsection does not affect or alter the duties of a trustee to
keep clear, distinct, and accurate records pursuant to s. 736.0810 or
affect or alter the time periods for which the trustee must maintain
such records.

(j) This subsection governs the posting of a document solely for the
purpose of giving notice under this code or the sending of a document to a
person under this code and does not prohibit or otherwise apply to the posting
of a document on an electronic account or website for any other purpose or
preclude the sending of a document by any other means.

(4) Notwithstanding subsection (3), a family trust company, licensed
family trust company, or foreign licensed family trust company, as defined
in s. 662.111, that is a trustee of a trust may use any permissible method
for providing notice or for sending a document specified in subsection (1)
or may send a properly directed e-mail that contains an attached notice or
document or contains a hyperlink through which the recipient can view the
notice or document as a permissible method of providing notice or sending
a document. For purposes of this subsection, such notice or document sent
by e-mail is deemed to have been sent if any username, password, or other
specific instructions needed to access the notice or document are



communicated to the recipient beforehand or contemporaneously with the
sending of the e-mail message containing the notice, document, or
hyperlink, or upon the request of the recipient.

(5) Notice to a person under this code, or the sending of a document to a
person under this code electronically, is complete when sent.
(a) An electronic message is presumed received on the date that the

message is sent.
(b) If the sender has knowledge that an electronic message did not reach

the recipient, the electronic message is deemed to have not been received.
The sender has the burden to prove that another copy of the notice or
document was sent by electronic message or by other means authorized by
this section.

(6) Notice under this code or the sending of a document under this code
may be waived by the person to be notified or to whom the document is to
be sent.

(7) Notice and service of documents in a judicial proceeding are
governed by the Florida Rules of Civil Procedure.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007; s. 1, ch. 2015-176, effective July 1,

2015; s. 3, ch. 2018-35, effective July 1, 2018; s. 3, ch. 2022-96, effective
July 1, 2022.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0110. 
Fla. Stat.  736.0110

 736.0110. Others treated as qualified beneficiaries.
(1) A charitable organization expressly designated to receive

distributions under the terms of a charitable trust has the rights of a
qualified beneficiary under this code if the charitable organization, on the
date the charitable organizations qualification is being determined:
(a) Is a distributee or permissible distributee of trust income or principal;
(b) Would be a distributee or permissible distributee of trust income or

principal on termination of the interests of other distributees or permissible
distributees then receiving or eligible to receive distributions; or

(c) Would be a distributee or permissible distributee of trust income or
principal if the trust terminated on that date.

(2) A person appointed to enforce a trust created for the care of an
animal or another noncharitable purpose as provided in s. 736.0408 or s.
736.0409 has the rights of a qualified beneficiary under this code.

(3) The Attorney General may assert the rights of a qualified beneficiary
with respect to a charitable trust having its principal place of
administration in this state. The Attorney General has standing to assert
such rights in any judicial proceedings.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007; s. 5, ch. 2017-155, effective July 1,

2017.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0111. 
Fla. Stat.  736.0111

 736.0111. Nonjudicial settlement agreements.
(1) For purposes of this section, the term interested persons means

persons whose interest would be affected by a settlement agreement.
(2) Except as otherwise provided in subsection (3), interested persons

may enter into a binding nonjudicial settlement agreement with respect to
any matter involving a trust.

(3) A nonjudicial settlement agreement among the trustee and trust
beneficiaries is valid only to the extent the terms and conditions could be
properly approved by the court. A nonjudicial settlement may not be used
to produce a result not authorized by other provisions of this code,
including, but not limited to, terminating or modifying a trust in an
impermissible manner.

(4) Matters that may be resolved by a nonjudicial settlement agreement
include:
(a) The interpretation or construction of the terms of the trust.
(b) The approval of a trustees report or accounting.
(c) The direction to a trustee to refrain from performing a particular act or

the grant to a trustee of any necessary or desirable power.
(d) The resignation or appointment of a trustee and the determination of a

trustees compensation.
(e) The transfer of a trusts principal place of administration.
(f) The liability of a trustee for an action relating to the trust.

(5) Any interested person may request the court to approve or
disapprove a nonjudicial settlement agreement.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. I. ,   736.0112. 
Fla. Stat.  736.0112

 736.0112. Qualification of foreign trustee.
Unless otherwise doing business in this state, local qualification by a

foreign trustee is not required for the trustee to receive distribution from a
local estate. Nothing in this chapter shall affect the provisions of s. 660.41.

HISTORY:
S. 1, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. II. 
Fla. Stat. Title XLII, Ch. 736, Pt. II



PART II.
JUDICIAL PROCEEDINGS.

 Title XLII. ,  Ch. 736. ,  Pt. II. ,   736.0201. 
Fla. Stat.  736.0201

 736.0201. Role of court in trust proceedings.
(1) Except as provided in subsections (5), (6), and (7) and s. 736.0206,

judicial proceedings concerning trusts shall be commenced by filing a
complaint and shall be governed by the Florida Rules of Civil Procedure.

(2) The court may intervene in the administration of a trust to the extent
the courts jurisdiction is invoked by an interested person or as provided by
law.

(3) A trust is not subject to continuing judicial supervision unless
ordered by the court.

(4) A judicial proceeding involving a trust may relate to the validity,
administration, or distribution of a trust, including proceedings to:
(a) Determine the validity of all or part of a trust;
(b) Appoint or remove a trustee;
(c) Review trustees fees;
(d) Review and settle interim or final accounts;
(e) Ascertain beneficiaries; determine any question arising in the

administration or distribution of any trust, including questions of construction
of trust instruments; instruct trustees; and determine the existence or
nonexistence of any immunity, power, privilege, duty, or right;

(f) Obtain a declaration of rights; or
(g) Determine any other matters involving trustees and beneficiaries.

(5) A proceeding for the construction of a testamentary trust may be
filed in the probate proceeding for the testators estate. The proceeding
shall be governed by the Florida Probate Rules.

(6) Rule 1.525, Florida Rules of Civil Procedure, shall apply to judicial



proceedings concerning trusts, except that the following do not constitute
taxation of costs or attorney fees even if the payment is for services
rendered or costs incurred in a judicial proceeding:
(a) A trustees payment of compensation or reimbursement of costs to

persons employed by the trustee from assets of the trust.
(b) A determination by the court directing from what part of the trust fees

or costs shall be paid, unless the determination is made under s. 736.1004 in
an action for breach of fiduciary duty or challenging the exercise of, or failure
to exercise, a trustees powers.

(7) A proceeding to determine the homestead status of real property
owned by a trust may be filed in the probate proceeding for the settlors
estate if the settlor was treated as the owner of the interest held in the trust
under s. 732.4015. The proceeding shall be governed by the Florida
Probate Rules.

HISTORY:
S. 2, ch. 2006-217, eff. July 1, 2007; s. 13, ch. 2011-183, eff. June 21,

2011; s. 5, ch. 2021-183, effective July 1, 2021.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLII. ,  Ch. 736. ,  Pt. II. ,   736.0202. 
Fla. Stat.  736.0202

 736.0202. Jurisdiction over trustee and beneficiary.
(1) In rem jurisdiction.  Any beneficiary of a trust having its

principal place of administration in this state is subject to the jurisdiction
of the courts of this state to the extent of the beneficiarys interest in the
trust.

(2) Personal jurisdiction.
(a) Any trustee, trust beneficiary, or other person, whether or not a citizen

or resident of this state, who personally or through an agent does any of the
following acts related to a trust, submits to the jurisdiction of the courts of
this state involving that trust:

1. Accepts trusteeship of a trust having its principal place of administration
in this state at the time of acceptance.

2. Moves the principal place of administration of a trust to this state.
3. Serves as trustee of a trust created by a settlor who was a resident of this

state at the time of creation of the trust or serves as trustee of a trust having
its principal place of administration in this state.

4. Accepts or exercises a delegation of powers or duties from the trustee of
a trust having its principal place of administration in this state.

5. Commits a breach of trust in this state, or commits a breach of trust with
respect to a trust having its principal place of administration in this state at
the time of the breach.

6. Accepts compensation from a trust having its principal place of
administration in this state.

7. Performs any act or service for a trust having its principal place of
administration in this state.

8. Accepts a distribution from a trust having its principal place of
administration in this state with respect to any matter involving the
distribution.

(b) A court of this state may exercise personal jurisdiction over a trustee,



trust beneficiary, or other person, whether found within or outside the state,
to the maximum extent permitted by the State Constitution or the Federal
Constitution.

HISTORY:
S. 2, ch. 2006-217, eff. July 1, 2007; s. 10, ch. 2013-172, eff. Oct. 1, 2013.



 Title XLII. ,  Ch. 736. ,  Pt. II. ,   736.02025. 
Fla. Stat.  736.02025

 736.02025. Service of process.
(1) Except as otherwise provided in this section, service of process upon

any person may be made as provided in chapter 48.
(2) Where only in rem or quasi in rem relief is sought against a person in

a matter involving a trust, service of process on that person may be made
by sending a copy of the summons and complaint by any commercial
delivery service requiring a signed receipt or by any form of mail requiring
a signed receipt. Service under this subsection shall be complete upon
signing of a receipt by the addressee or by any person authorized to receive
service of a summons on behalf of the addressee as provided in chapter 48.
Proof of service shall be by verified statement of the person serving the
summons, to which must be attached the signed receipt or other evidence
satisfactory to the court that delivery was made to the addressee or other
authorized person.

(3) Under any of the following circumstances, service of original
process pursuant to subsection (2) may be made by first-class mail:
(a) If registered or certified mail service to the addressee is unavailable and

if delivery by commercial delivery service is also unavailable.
(b) If delivery is attempted and is refused by the addressee.
(c) If delivery by mail requiring a signed receipt is unclaimed after notice

to the addressee by the delivering entity.
(4) If service of process is obtained under subsection (3), proof of

service shall be made by verified statement of the person serving the
summons. The verified statement must state the basis for service by first-
class mail, the date of mailing, and the address to which the mail was sent.

HISTORY:
S. 11, ch. 2013-172, eff. Oct. 1, 2013.



 Title XLII. ,  Ch. 736. ,  Pt. II. ,   736.0203. 
Fla. Stat.  736.0203

 736.0203. Subject matter jurisdiction.
The circuit court has original jurisdiction in this state of all proceedings

arising under this code.

HISTORY:
S. 2, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. II. ,   736.0204. 
Fla. Stat.  736.0204

 736.0204. Venue.
Venue for actions and proceedings concerning trusts, including those under

s. 736.0201, may be laid in:
(1) Any county where the venue is proper under chapter 47;
(2) Any county where the beneficiary suing or being sued resides or has

its principal place of business; or
(3) The county where the trust has its principal place of administration.

HISTORY:
S. 2, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. II. ,   736.0205. 
Fla. Stat.  736.0205

 736.0205. Trust proceedings; dismissal of matters relating to foreign
trusts. [Repealed]

Repealed by s. 12, ch. 2013-172, effective October 1, 2013.

HISTORY:
S. 2, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. II. ,   736.0206. 
Fla. Stat.  736.0206

 736.0206. Proceedings for review of employment of agents and review
of compensation of trustee and employees of trust.
(1) The court may review the propriety of the employment by a trustee

of any person, including any attorney, auditor, investment adviser, or other
specialized agent or assistant, and the reasonableness of any compensation
paid to that person or to the trustee.

(2) If the settlors estate is being probated, and the settlors trust or the
trustee of the settlors trust is a beneficiary under the settlors will, the
trustee, any person employed by the trustee, or any interested person may
have the propriety of employment and the reasonableness of the
compensation of the trustee or any person employed by the trustee
determined in the probate proceeding.

(3) The burden of proof of the propriety of the employment and the
reasonableness of the compensation shall be on the trustee and the person
employed by the trustee. Any person who is determined to have received
excessive compensation from a trust for services rendered may be ordered
to make appropriate refunds.

(4) Court proceedings to determine reasonable compensation of a trustee
or any person employed by a trustee, if required, are a part of the trust
administration process. The costs, including attorneys fees, of the person
assuming the burden of proof of propriety of the employment and
reasonableness of the compensation shall be determined by the court and
paid from the assets of the trust unless the court finds the compensation
paid or requested to be substantially unreasonable. The court shall direct
from which part of the trust assets the compensation shall be paid.

(5) The court may determine reasonable compensation for a trustee or
any person employed by a trustee without receiving expert testimony. Any
party may offer expert testimony after notice to interested persons. If
expert testimony is offered, a reasonable expert witness fee may be
awarded by the court and paid from the assets of the trust unless the court
finds that the expert testimony did not assist the court. The court shall
direct from which part of the trust assets the fee shall be paid.



(6) In a proceeding pursuant to subsection (2), the petitioner may serve
formal notice as provided in the Florida Probate Rules, and such notice
shall be sufficient for the court to acquire jurisdiction over the person
receiving the notice to the extent of the persons interest in the trust.

HISTORY:
S. 2, ch. 2006-217, eff. July 1, 2007; s. 3, ch. 2010-122, eff. July 1, 2010.



 Title XLII. ,  Ch. 736. ,  Pt. II. ,   736.0207. 
Fla. Stat.  736.0207

 736.0207. Trust contests.
(1) In an action to contest the validity or revocation of all or part of a

trust, the contestant has the burden of establishing the grounds for
invalidity.

(2) An action to contest the validity of all or part of a revocable trust, or
the revocation of part of a revocable trust, may not be commenced until the
trust becomes irrevocable by its terms or by the settlors death. If all of a
revocable trust has been revoked, an action to contest the revocation may
not be commenced until after the settlors death. This section does not
prohibit such action by the guardian of the property of an incapacitated
settlor.

HISTORY:
S. 2, ch. 2006-217, eff. July 1, 2007; s. 9, ch. 2011-183, eff. June 21, 2011;

s. 7, ch. 2014-127, effective July 1, 2014.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.

Section 8, ch. 2014-127, provides: The changes made by this act to s.
736.0207, Florida Statutes, apply to all cases commenced on or after the
effective date of this act.



 Title XLII. ,  Ch. 736. ,  Pt. III. 
Fla. Stat. Title XLII, Ch. 736, Pt. III



PART III.
REPRESENTATION.

 Title XLII. ,  Ch. 736. ,  Pt. III. ,   736.0301. 
Fla. Stat.  736.0301

 736.0301. Representation; basic effect.
(1) Notice, information, accountings, or reports given to a person who

may represent and bind another person under this part may serve as a
substitute for and have the same effect as notice, information, accountings,
or reports given directly to the other person.

(2) Actions taken by a person who represents the interests of another
person under this part are binding on the person whose interests are
represented to the same extent as if the actions had been taken by the
person whose interests are represented.

(3) Except as otherwise provided in s. 736.0602, a person under this part
who represents a settlor lacking capacity may receive notice and give a
binding consent on the settlors behalf.

(4) A trustee is not liable for giving notice, information, accountings, or
reports to a beneficiary who is represented by another person under this
part, and nothing in this part prohibits the trustee from giving notice,
information, accountings, or reports to the person represented.

HISTORY:
S. 3, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. III. ,   736.0302. 
Fla. Stat.  736.0302

 736.0302. Representation by holder of power of appointment.
(1) The holder of a power of appointment may represent and bind

persons whose interests, as permissible appointees, takers in default, or
otherwise, are subject to the power.

(2) The takers in default of the exercise of a power of appointment may
represent and bind persons whose interests, as permissible appointees, are
subject to the power.

(3) Subsection (1) does not apply to:
(a) Any matter determined by the court to involve fraud or bad faith by the

trustee; or
(b) A power of appointment held by a person while the person is the sole

trustee.
(4) As used in this section, the term power of appointment does not

include a power of a trustee to make discretionary distributions of trust
property.

HISTORY:
S. 3, ch. 2006-217, eff. July 1, 2007; s. 3, ch. 2009-117, eff. July 1, 2009.



 Title XLII. ,  Ch. 736. ,  Pt. III. ,   736.0303. 
Fla. Stat.  736.0303

 736.0303. Representation by fiduciaries and parents.
To the extent there is no conflict of interest between the representative and

the person represented or among those being represented with respect to a
particular question or dispute:

(1) A guardian of the property may represent and bind the estate that the
guardian of the property controls.

(2) An agent having authority to act with respect to the particular
question or dispute may represent and bind the principal.

(3) A trustee may represent and bind the beneficiaries of the trust.
(4) A personal representative of a decedents estate may represent and

bind persons interested in the estate.
(5) A parent may represent and bind the parents unborn child and the

unborn descendants of such unborn child, or the parents minor child and
the minor or unborn descendants of such minor child, if a guardian of the
property for the unborn child, minor child, or such childs descendants has
not been appointed.

HISTORY:
S. 3, ch. 2006-217, eff. July 1, 2007; s. 4, ch. 2022-96, effective July 1,

2022.



 Title XLII. ,  Ch. 736. ,  Pt. III. ,   736.0304. 
Fla. Stat.  736.0304

 736.0304. Representation by person having substantially identical
interest.

Unless otherwise represented, a minor, incapacitated, or unborn individual,
or a person whose identity or location is unknown and not reasonably
ascertainable, may be represented by and bound by another person having a
substantially identical interest with respect to the particular question or
dispute, but only to the extent there is no conflict of interest between the
representative and the person represented.

HISTORY:
S. 3, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. III. ,   736.0305. 
Fla. Stat.  736.0305

 736.0305. Appointment of representative.
(1) If the court determines that an interest is not represented under this

part, or that the otherwise available representation might be inadequate, the
court may appoint a representative to receive notice, give consent, and
otherwise represent, bind, and act on behalf of a minor, incapacitated, or
unborn individual, or a person whose identity or location is unknown. If
not precluded by a conflict of interest, a representative may be appointed to
represent several persons or interests.

(2) A representative may act on behalf of the individual represented with
respect to any matter arising under this code, whether or not a judicial
proceeding concerning the trust is pending.

(3) In making decisions, a representative may consider general benefits
accruing to the living members of the represented individuals family.

HISTORY:
S. 3, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. III. ,   736.0306. 
Fla. Stat.  736.0306

 736.0306. Designated representative.
(1) If specifically nominated in the trust instrument, one or more persons

may be designated to represent and bind a beneficiary and receive any
notice, information, accounting, or report. The trust instrument may also
authorize any person or persons, other than a trustee of the trust, to
designate one or more persons to represent and bind a beneficiary and
receive any notice, information, accounting, or report.

(2) Except as otherwise provided in this code, a person designated, as
provided in subsection (1) may not represent and bind a beneficiary while
that person is serving as trustee.

(3) Except as otherwise provided in this code, a person designated, as
provided in subsection (1) may not represent and bind another beneficiary
if the person designated also is a beneficiary, unless:
(a) That person was named by the settlor; or
(b) That person is the beneficiarys spouse or a grandparent or descendant

of a grandparent of the beneficiary or the beneficiarys spouse.
(4) No person designated, as provided in subsection (1), is liable to the

beneficiary whose interests are represented, or to anyone claiming through
that beneficiary, for any actions or omissions to act made in good faith.

HISTORY:
S. 3, ch. 2006-217, eff. July 1, 2007; s. 4, ch. 2009-117, eff. July 1, 2009.



 Title XLII. ,  Ch. 736. ,  Pt. IV. 
Fla. Stat. Title XLII, Ch. 736, Pt. IV



PART IV.
CREATION, VALIDITY, MODIFICATION, AND

TERMINATION.
 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0401. 

Fla. Stat.  736.0401

 736.0401. Methods of creating trust.
A trust may be created by:

(1) Transfer of property to another person as trustee during the settlors
lifetime or by will or other disposition taking effect on the settlors death;

(2) Declaration by the owner of property that the owner holds
identifiable property as trustee; or

(3) Exercise of a power of appointment in favor of a trustee.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0402. 
Fla. Stat.  736.0402

 736.0402. Requirements for creation.
(1) A trust is created only if:

(a) The settlor has capacity to create a trust.
(b) The settlor indicates an intent to create the trust.
(c) The trust has a definite beneficiary or is:
1. A charitable trust;
2. A trust for the care of an animal, as provided in s. 736.0408; or
3. A trust for a noncharitable purpose, as provided in s. 736.0409.
(d) The trustee has duties to perform.
(e) The same person is not the sole trustee and sole beneficiary.

(2) A beneficiary is definite if the beneficiary can be ascertained now or
in the future, subject to any applicable rule against perpetuities.

(3) A power of a trustee to select a beneficiary from an indefinite class is
valid. If the power is not exercised within a reasonable time, the power
fails and the property subject to the power passes to the persons who would
have taken the property had the power not been conferred.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0403. 
Fla. Stat.  736.0403

 736.0403. Trusts created in other jurisdictions; formalities required for
revocable trusts.
(1) A trust not created by will is validly created if the creation of the

trust complies with the law of the jurisdiction in which the trust instrument
was executed or the law of the jurisdiction in which, at the time of creation,
the settlor was domiciled.

(2) Notwithstanding subsection (1):
(a) No trust or confidence of or in any messuages, lands, tenements, or

hereditaments shall arise or result unless the trust complies with the
provisions of s. 689.05.

(b) The testamentary aspects of a revocable trust, executed by a settlor who
is a domiciliary of this state at the time of execution, are invalid unless the
trust instrument is executed by the settlor with the formalities required for the
execution of a will in this state. For purposes of this subsection, the term
testamentary aspects means those provisions of the trust instrument that
dispose of the trust property on or after the death of the settlor other than to
the settlors estate.

(3) Paragraph (2)(b) does not apply to trusts established as part of an
employee annuity described in s. 403 of the Internal Revenue Code of
1986, as amended, an individual retirement account as described in s. 408
of the Internal Revenue Code of 1986, as amended, a Keogh (HR-10) Plan,
or a retirement or other plan that is qualified under s. 401 of the Internal
Revenue Code of 1986, as amended.

(4) Paragraph (2)(b) applies to trusts created on or after the effective
date of this code. Former s. 737.111, as in effect prior to the effective date
of this code, continues to apply to trusts created before the effective date of
this code.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007; s. 103, ch. 2019-3, effective July 3,

2019.



Editors notes.
Sections 401, 403, and 408 of the Internal Revenue Code, referred to in

this section, are codified as 26 U.S.C.S.  401, 403, and 408, respectively.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0404. 
Fla. Stat.  736.0404

 736.0404. Trust purposes.
A trust may be created only to the extent the purposes of the trust are

lawful, not contrary to public policy, and possible to achieve.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007; s. 4, ch. 2018-35, effective July 1,

2018.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0405. 
Fla. Stat.  736.0405

 736.0405. Charitable purposes; enforcement.
(1) A trust may be created for charitable purposes. Charitable purposes

include, but are not limited to, the relief of poverty; the advancement of
arts, sciences, education, or religion; and the promotion of health,
governmental, or municipal purposes.

(2) If the terms of a charitable trust do not indicate a particular charitable
purpose or beneficiary, the court may select one or more charitable
purposes or beneficiaries. The selection must be consistent with the
settlors intent to the extent such intent can be ascertained.

(3) The settlor of a charitable trust, among others, has standing to
enforce the trust.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0406. 
Fla. Stat.  736.0406

 736.0406. Effect of fraud, duress, mistake, or undue influence.
If the creation, amendment, or restatement of a trust is procured by fraud,

duress, mistake, or undue influence, the trust or any part so procured is void.
The remainder of the trust not procured by such means is valid if the
remainder is not invalid for other reasons. If the revocation of a trust, or any
part thereof, is procured by fraud, duress, mistake, or undue influence, such
revocation is void.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007; s. 10, ch. 2011-183, eff. June 21,

2011.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0407. 
Fla. Stat.  736.0407

 736.0407. Evidence of oral trust.
Except as required by s. 736.0403 or a law other than this code, a trust

need not be evidenced by a trust instrument but the creation of an oral trust
and its terms may be established only by clear and convincing evidence.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0408. 
Fla. Stat.  736.0408

 736.0408. Trust for care of an animal.
(1) A trust may be created to provide for the care of an animal alive

during the settlors lifetime. The trust terminates on the death of the animal
or, if the trust was created to provide for the care of more than one animal
alive during the settlors lifetime, on the death of the last surviving animal.

(2) A trust authorized by this section may be enforced by a person
appointed in the terms of the trust or, if no person is appointed, by a person
appointed by the court. A person having an interest in the welfare of the
animal may request the court to appoint a person to enforce the trust or to
remove a person appointed.

(3) Property of a trust authorized by this section may be applied only to
the intended use of the property, except to the extent the court determines
that the value of the trust property exceeds the amount required for the
intended use. Except as otherwise provided in the terms of the trust,
property not required for the intended use must be distributed to the settlor,
if then living, otherwise as part of the settlors estate.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0409. 
Fla. Stat.  736.0409

 736.0409. Noncharitable trust without ascertainable beneficiary.
Except as otherwise provided in s. 736.0408 or by another provision of

law, the following rules apply:
(1) A trust may be created for a noncharitable purpose without a definite

or definitely ascertainable beneficiary or for a noncharitable but otherwise
valid purpose to be selected by the trustee. The trust may not be enforced
for more than 1,000 years.

(2) A trust authorized by this section may be enforced by a person
appointed in the terms of the trust or, if no person is appointed, by a person
appointed by the court.

(3) Property of a trust authorized by this section may be applied only to
the intended use of the property, except to the extent the court determines
that the value of the trust property exceeds the amount required for the
intended use. Except as otherwise provided in the terms of the trust,
property not required for the intended use must be distributed to the settlor,
if then living, otherwise as part of the settlors estate.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007; s. 5, ch. 2022-96, effective July 1,

2022.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0410. 
Fla. Stat.  736.0410

 736.0410. Modification or termination of trust; proceedings for
disapproval of nonjudicial acts.
(1) In addition to the methods of termination prescribed by ss.

736.04113-736.0414, a trust terminates to the extent the trust expires or is
revoked or is properly distributed pursuant to the terms of the trust.

(2) A proceeding to disapprove a proposed modification or termination
under s. 736.0412 or a trust combination or division under s. 736.0417 may
be commenced by any beneficiary.

(3) A proceeding to disapprove a proposed termination under s.
736.0414(1) may be commenced by any qualified beneficiary.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.04113. 
Fla. Stat.  736.04113

 736.04113. Judicial modification of irrevocable trust when modification
is not inconsistent with settlors purpose.
(1) Upon the application of a trustee of the trust or any qualified

beneficiary, a court at any time may modify the terms of a trust that is not
then revocable in the manner provided in subsection (2), if:
(a) The purposes of the trust have been fulfilled or have become illegal,

impossible, wasteful, or impracticable to fulfill;
(b) Because of circumstances not anticipated by the settlor, compliance

with the terms of the trust would defeat or substantially impair the
accomplishment of a material purpose of the trust; or

(c) A material purpose of the trust no longer exists.
(2) In modifying a trust under this section, a court may:

(a) Amend or change the terms of the trust, including terms governing
distribution of the trust income or principal or terms governing administration
of the trust;

(b) Terminate the trust in whole or in part;
(c) Direct or permit the trustee to do acts that are not authorized or that are

prohibited by the terms of the trust; or
(d) Prohibit the trustee from performing acts that are permitted or required

by the terms of the trust.
(3) In exercising discretion to modify a trust under this section:

(a) The court shall consider the terms and purposes of the trust, the facts
and circumstances surrounding the creation of the trust, and extrinsic
evidence relevant to the proposed modification.

(b) The court shall consider spendthrift provisions as a factor in making a
decision, but the court is not precluded from modifying a trust because the
trust contains spendthrift provisions.

(4) The provisions of this section are in addition to, and not in
derogation of, rights under the common law to modify, amend, terminate,



or revoke trusts.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.04114. 
Fla. Stat.  736.04114

 736.04114. Limited judicial construction of irrevocable trust with
federal tax provisions.
(1) Upon the application of a trustee or any qualified beneficiary of a

trust, a court at any time may construe the terms of a trust that is not then
revocable to define the respective shares or determine beneficiaries, in
accordance with the intention of the settlor, if a disposition occurs during
the applicable period and the trust contains a provision that:
(a) Includes a formula disposition referring to the unified credit, estate

tax exemption, applicable exemption amount, applicable credit amount,
applicable exclusion amount, generation-skipping transfer tax exemption,
GST exemption, marital deduction, maximum marital deduction,
unlimited marital deduction, or maximum charitable deduction;

(b) Measures a share of a trust based on the amount that can pass free of
federal estate tax or the amount that can pass free of federal generation-
skipping transfer tax;

(c) Otherwise makes a disposition referring to a charitable deduction,
marital deduction, or another provision of federal estate tax or generation-
skipping transfer tax law; or

(d) Appears to be intended to reduce or minimize federal estate tax or
generation-skipping transfer tax.

(2) For the purpose of this section:
(a) Applicable period means a period beginning January 1, 2010, and

ending on the end of the day on the earlier of:
1. December 31, 2010; or
2. The day before the date that an act becomes law which repeals or

otherwise modifies or has the effect of repealing or modifying s. 901 of the
Economic Growth and Tax Relief Reconciliation Act of 2001.

(b) A disposition occurs when an interest takes effect in possession or
enjoyment.



(3) In construing the trust, the court shall consider the terms and
purposes of the trust, the facts and circumstances surrounding the creation
of the trust, and the settlors probable intent. In determining the settlors
probable intent, the court may consider evidence relevant to the settlors
intent even though the evidence contradicts an apparent plain meaning of
the trust instrument.

(4) This section does not apply to a disposition that is specifically
conditioned upon no federal estate or generation-skipping transfer tax
being imposed.

(5) Unless otherwise ordered by the court, during the applicable period
and without court order, the trustee administering a trust containing one or
more provisions described in subsection (1) may:
(a) Delay or refrain from making any distribution;
(b) Incur and pay fees and costs reasonably necessary to determine its

duties and obligations, including compliance with provisions of existing and
reasonably anticipated future federal tax laws; and

(c) Establish and maintain reserves for the payment of these fees and costs
and federal taxes.

The trustee is not liable for its actions as provided in this subsection which
are made or taken in good faith.

(6) The provisions of this section are in addition to, and not in
derogation of, rights under this code or the common law to construe a trust.

(7) This section is remedial in order to provide a new or modified legal
remedy. This section applies retroactively and is effective as of January 1,
2010.

HISTORY:
S. 4, ch. 2010-122, eff. May 27, 2010.

Editors notes.
Section 901 of the Economic Growth and Tax Relief Reconciliation Act of

2001, referred to in this section, is carried as a note to 26 U.S.C.S.  1.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.04115. 
Fla. Stat.  736.04115

 736.04115. Judicial modification of irrevocable trust when modification
is in best interests of beneficiaries.
(1) Without regard to the reasons for modification provided in s.

736.04113, if compliance with the terms of a trust is not in the best
interests of the beneficiaries, upon the application of a trustee or any
qualified beneficiary, a court may at any time modify a trust that is not
then revocable as provided in s. 736.04113(2).

(2) In exercising discretion to modify a trust under this section:
(a) The court shall exercise discretion in a manner that conforms to the

extent possible with the intent of the settlor, taking into account the current
circumstances and best interests of the beneficiaries.

(b) The court shall consider the terms and purposes of the trust, the facts
and circumstances surrounding the creation of the trust, and extrinsic
evidence relevant to the proposed modification.

(c) The court shall consider spendthrift provisions as a factor in making a
decision, but the court is not precluded from modifying a trust because the
trust contains spendthrift provisions.

(3) This section shall not apply to:
(a) Any trust created prior to January 1, 2001.
(b) Any trust created after December 31, 2000, if:
1. Under the terms of the trust, all beneficial interests in the trust must vest

or terminate within the period prescribed by the rule against perpetuities in s.
689.225(2), notwithstanding s. 689.225(2)(f) and (g).

2. The terms of the trust expressly prohibit judicial modification.
(4) For purposes of subsection (3), a revocable trust shall be treated as

created when the right of revocation terminates.
(5) The provisions of this section are in addition to, and not in

derogation of, rights under the common law to modify, amend, terminate,
or revoke trusts.



HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007; s. 6, ch. 2022-96, effective July 1,

2022.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.04117. 
Fla. Stat.  736.04117

 736.04117. Trustees power to invade principal in trust.
(1) Definitions.  As used in this section, the term:

(a) Absolute power means a power to invade principal that is not limited
to specific or ascertainable purposes, such as health, education, maintenance,
and support, regardless of whether the term absolute is used. A power to
invade principal for purposes such as best interests, welfare, comfort, or
happiness constitutes an absolute power not limited to specific or
ascertainable purposes.

(b) Authorized trustee means a trustee, other than the settlor or a
beneficiary, who has the power to invade the principal of a trust.

(c) Beneficiary with a disability means a beneficiary of the first trust
who the authorized trustee believes may qualify for government benefits
based on disability, regardless of whether the beneficiary currently receives
those benefits or has been adjudicated incapacitated.

(d) Current beneficiary means a beneficiary who, on the date his or her
qualification is determined, is a distributee or permissible distributee of trust
income or principal. The term includes the holder of a presently exercisable
general power of appointment but does not include a person who is a
beneficiary only because he or she holds another power of appointment.

(e) Government benefits means financial aid or services from any state,
federal, or other public agency.

(f) Internal Revenue Code means the Internal Revenue Code of 1986, as
amended.

(g) Power of appointment has the same meaning as provided in s.
731.201.

(h) Presently exercisable general power of appointment means a power
of appointment exercisable by the power holder at the relevant time. The
term:

1. Includes a power of appointment that is exercisable only after the
occurrence of a specified event or that is subject to a specified restriction, but



only after the event has occurred or the restriction has been satisfied.
2. Does not include a power of appointment that is exercisable only upon

the death of the power holder.
(i) Substantially similar means that there is no material change in

a beneficiarys beneficial interests or in the power to make
distributions and that the power to make a distribution under a second
trust for the benefit of a beneficiary who is an individual is
substantially similar to the power under the first trust to make a
distribution directly to the beneficiary. A distribution is deemed to be
for the benefit of a beneficiary if:

1. The distribution is applied for the benefit of a beneficiary;
2. The beneficiary is under a legal disability or the trustee reasonably

believes the beneficiary is incapacitated, and the distribution is made as
permitted under this code; or

3. The distribution is made as permitted under the terms of the first trust
instrument and the second trust instrument for the benefit of the beneficiary.

(j) Supplemental needs trust means a trust that the authorized trustee
believes would not be considered a resource for purposes of determining
whether the beneficiary who has a disability is eligible for government
benefits.

(k) Vested interest means a current unconditional right to receive a
mandatory distribution of income, a specified dollar amount, or a percentage
of value of a trust, or a current unconditional right to withdraw income, a
specified dollar amount, or a percentage of value of a trust, which right is not
subject to the occurrence of a specified event, the passage of a specified time,
or the exercise of discretion.

1. The term includes a presently exercisable general power of appointment.
2. The term does not include a beneficiarys interest in a trust if the trustee

has discretion to make a distribution of trust property to a person other than
such beneficiary.

(2) Distribution from first trust to second trust when authorized trustee
has absolute power to invade. 



(a) Unless a trust instrument expressly provides otherwise, an authorized
trustee who has absolute power under the terms of the trust to invade its
principal, referred to in this section as the first trust, to make current
distributions to or for the benefit of one or more beneficiaries may instead
exercise such power by appointing all or part of the principal of the trust
subject to such power in favor of a trustee of one or more other trusts,
whether created under the same trust instrument as the first trust or a different
trust instrument, including a trust instrument created for the purposes of
exercising the power granted by this section, each referred to in this section
as the second trust, for the current benefit of one or more of such
beneficiaries only if:

1. The beneficiaries of the second trust include only beneficiaries of the
first trust; and

2. The second trust does not reduce any vested interest.
(b) In an exercise of absolute power, the second trust may:
1. Retain a power of appointment granted in the first trust;
2. Omit a power of appointment granted in the first trust, other than a

presently exercisable general power of appointment;
3. Create or modify a power of appointment if the power holder is a current

beneficiary of the first trust;
4. Create or modify a power of appointment if the power holder is a

beneficiary of the first trust who is not a current beneficiary, but the exercise
of the power of appointment may take effect only after the power holder
becomes, or would have become if then living, a current beneficiary of the
first trust; and

5. Extend the term of the second trust beyond the term of the first trust.
(c) The class of permissible appointees in favor of which a created or

modified power of appointment may be exercised may differ from the class
identified in the first trust.

(3) Distribution from first trust to second trust when authorized
trustee does not have absolute power to invade.  Unless the trust
instrument expressly provides otherwise, an authorized trustee who has a
power, other than an absolute power, under the terms of a first trust to



invade principal to make current distributions to or for the benefit of one or
more beneficiaries may instead exercise such power by appointing all or
part of the principal of the first trust subject to such power in favor of a
trustee of one or more second trusts. If the authorized trustee exercises
such power:
(a) The second trusts, in the aggregate, shall grant each beneficiary of the

first trust beneficial interests in the second trusts which are substantially
similar to the beneficial interests of the beneficiary in the first trust.

(b) If the first trust grants a power of appointment to a beneficiary of the
first trust, the second trust shall grant such power of appointment in the
second trust to such beneficiary, and the class of permissible appointees shall
be the same as in the first trust.

(c) If the first trust does not grant a power of appointment to a beneficiary
of the first trust, the second trust may not grant a power of appointment in the
second trust to such beneficiary.

(d) Notwithstanding paragraphs (a), (b), and (c), the term of the second
trust may extend beyond the term of the first trust, and, for any period after
the first trust would have otherwise terminated, in whole or in part, under the
provisions of the first trust, the trust instrument of the second trust may, with
respect to property subject to such extended term:

1. Include language providing the trustee with the absolute power to invade
the principal of the second trust during such extended term; and

2. Create a power of appointment, if the power holder is a current
beneficiary of the first trust, or expand the class of permissible appointees in
favor of which a power of appointment may be exercised.

(4) Distribution from first trust to supplemental needs trust. 
(a) Notwithstanding subsections (2) and (3), unless the trust instrument

expressly provides otherwise, an authorized trustee who has the power under
the terms of a first trust to invade the principal of the first trust to make
current distributions to or for the benefit of a beneficiary with a disability
may instead exercise such power by appointing all or part of the principal of
the first trust in favor of a trustee of a second trust that is a supplemental
needs trust if:



1. The supplemental needs trust benefits the beneficiary with a disability;
2. The beneficiaries of the second trust include only beneficiaries of the

first trust; and
3. The authorized trustee determines that the exercise of such power will

further the purposes of the first trust.
(b) Except as affected by any change to the interests of the beneficiary with

a disability, the second trusts, in the aggregate, shall grant each other
beneficiary of the first trust beneficial interests in the second trusts which are
substantially similar to such other beneficiarys beneficial interests in the first
trust.

(5) Prohibited distributions. 
(a) An authorized trustee may not distribute the principal of a trust under

this section in a manner that would prevent a contribution to that trust from
qualifying for, or that would reduce a federal tax benefit, including a federal
tax exclusion or deduction, which was originally claimed or could have been
claimed for that contribution, including:

1. An exclusion under s. 2503(b) or s. 2503(c) of the Internal Revenue
Code;

2. A marital deduction under s. 2056, s. 2056A, or s. 2523 of the Internal
Revenue Code;

3. A charitable deduction under s. 170(a), s. 642(c), s. 2055(a), or s.
2522(a) of the Internal Revenue Code;

4. Direct skip treatment under s. 2642(c) of the Internal Revenue Code; or
5. Any other tax benefit for income, gift, estate, or generation-skipping

transfer tax purposes under the Internal Revenue Code.
(b) If S corporation stock is held in the first trust, an authorized trustee may

not distribute all or part of that stock to a second trust that is not a permitted
shareholder under s. 1361(c)(2) of the Internal Revenue Code. If the first trust
holds stock in an S corporation and is, or but for provisions of paragraphs (a),
(c), and (d) would be, a qualified subchapter S trust within the meaning of s.
1361(d) of the Internal Revenue Code, the second trust instrument may not
include or omit a term that prevents it from qualifying as a qualified



subchapter S trust.
(c) Except as provided in paragraphs (a), (b), and (d), an authorized trustee

may distribute the principal of a first trust to a second trust regardless of
whether the settlor is treated as the owner of either trust under ss. 671-679 of
the Internal Revenue Code; however, if the settlor is not treated as the owner
of the first trust, he or she may not be treated as the owner of the second trust
unless he or she at all times has the power to cause the second trust to cease
being treated as if it were owned by the settlor.

(d) If an interest in property which is subject to the minimum distribution
rules of s. 401(a)(9) of the Internal Revenue Code is held in trust, an
authorized trustee may not distribute such an interest to a second trust under
subsection (2), subsection (3), or subsection (4) if the distribution would
shorten the otherwise applicable maximum distribution period.

(6) Exercise by writing.  The exercise of a power to invade principal
under subsection (2), subsection (3), or subsection (4) must be by a written
instrument signed and acknowledged by the authorized trustee and filed
with the records of the first trust.

(7) Restrictions on exercise of power.  The exercise of a power to
invade principal under subsection (2), subsection (3), or subsection (4):
(a) Is considered the exercise of a power of appointment, excluding a

power to appoint to the authorized trustee, the authorized trustees creditors,
the authorized trustees estate, or the creditors of the authorized trustees
estate.

(b) Is subject to the provisions of s. 689.225 covering the time at which the
permissible period of the rule against perpetuities begins and the law that
determines the permissible period of the rule against perpetuities of the first
trust.

(c) May apply to a second trust created or administered under the law of
any jurisdiction.

(d) May not:
1. Increase the authorized trustees compensation beyond the compensation

specified in the first trust instrument; or
2. Relieve the authorized trustee from liability for breach of trust or



provide for indemnification of the authorized trustee for any liability or claim
to a greater extent than the first trust instrument; however, the exercise of the
power may divide and reallocate fiduciary powers among fiduciaries and
relieve a fiduciary from liability for an act or failure to act of another
fiduciary as otherwise allowed under law or common law.

(8) Notice. 
(a) The authorized trustee shall provide written notification of the manner

in which he or she intends to exercise his or her power to invade principal to
all of the following parties at least 60 days before the effective date of the
authorized trustees exercise of such power pursuant to subsection (2),
subsection (3), or subsection (4):

1. All qualified beneficiaries of the first trust.
2. If paragraph (5)(c) applies, the settlor of the first trust.
3. All trustees of the first trust.
4. Any person who has the power to remove or replace the authorized

trustee of the first trust.
(b) The authorized trustees obligation to provide notice under this

subsection is satisfied when he or she provides copies of the proposed
instrument exercising the power, the trust instrument of the first trust, and the
proposed trust instrument of the second trust.

(c) If all of those required to be notified waive the notice period by signed
written instrument delivered to the authorized trustee, the authorized trustees
power to invade principal shall be exercisable immediately.

(d) The authorized trustees notice under this subsection does not limit the
right of any beneficiary to object to the exercise of the authorized trustees
power to invade principal except as otherwise provided in other applicable
provisions of this code.

(9) Inapplicability of spendthrift clause or other prohibition.  The
exercise of the power to invade principal under subsection (2), subsection
(3), or subsection (4) is not prohibited by a spendthrift clause or by a
provision in the trust instrument that prohibits amendment or revocation of
the trust.



(10) No duty to exercise.  Nothing in this section is intended to create
or imply a duty to exercise a power to invade principal, and no inference of
impropriety may be made as a result of an authorized trustees failure to
exercise the power to invade principal conferred under subsections (2), (3),
and (4).

(11) No abridgement of common law rights.  This section may not
be construed to abridge the right of any trustee who has a power of
invasion to appoint property in further trust that arises under the terms of
the first trust or under any other section of this code or under another
provision of law or under common law.

HISTORY:
S. 2, ch. 2007-153, eff. July 1, 2007; s. 5, ch. 2018-35, effective March 19,

2018.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0412. 
Fla. Stat.  736.0412

 736.0412. Nonjudicial modification of irrevocable trust.
(1) After the settlors death, a trust may be modified at any time as

provided in s. 736.04113(2) upon the unanimous agreement of the trustee
and all qualified beneficiaries.

(2) Modification of a trust as authorized in this section is not prohibited
by a spendthrift clause or by a provision in the trust instrument that
prohibits amendment or revocation of the trust.

(3) An agreement to modify a trust under this section is binding on a
beneficiary whose interest is represented by another person under part III
of this code.

(4) This section shall not apply to:
(a) Any trust created prior to January 1, 2001.
(b) Any trust created after December 31, 2000, if, under the terms of the

trust, all beneficial interests in the trust must vest or terminate within the
period prescribed by the rule against perpetuities in s. 689.225(2),
notwithstanding s. 689.225(2)(f) and (g), unless the terms of the trust
expressly authorize nonjudicial modification.

(c) Any trust for which a charitable deduction is allowed or allowable
under the Internal Revenue Code until the termination of all charitable
interests in the trust.

(5) For purposes of subsection (4), a revocable trust shall be treated as
created when the right of revocation terminates.

(6) The provisions of this section are in addition to, and not in
derogation of, rights under the common law to modify, amend, terminate,
or revoke trusts.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007; s. 7, ch. 2022-96, effective July 1,

2022.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0413. 
Fla. Stat.  736.0413

 736.0413. Cy pres.
(1) If a particular charitable purpose becomes unlawful, impracticable,

impossible to achieve, or wasteful, the court may apply the doctrine of cy
pres to modify or terminate the trust by directing that the trust property be
applied or distributed, in whole or in part, in a manner consistent with the
settlors charitable purposes.

(2) A proceeding to modify or terminate a trust under this section may
be commenced by a settlor, a trustee, or any qualified beneficiary.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0414. 
Fla. Stat.  736.0414

 736.0414. Modification or termination of uneconomic trust.
(1) After notice to the qualified beneficiaries, the trustee of a trust

consisting of trust property having a total value less than $50,000 may
terminate the trust if the trustee concludes that the value of the trust
property is insufficient to justify the cost of administration.

(2) Upon application of a trustee or any qualified beneficiary, the court
may modify or terminate a trust or remove the trustee and appoint a
different trustee if the court determines that the value of the trust property
is insufficient to justify the cost of administration.

(3) Upon termination of a trust under this section, the trustee shall
distribute the trust property in a manner consistent with the purposes of the
trust. The trustee may enter into agreements or make such other provisions
that the trustee deems necessary or appropriate to protect the interests of
the beneficiaries and the trustee and to carry out the intent and purposes of
the trust.

(4) The existence of a spendthrift provision in the trust does not make
this section inapplicable unless the trust instrument expressly provides that
the trustee may not terminate the trust pursuant to this section.

(5) This section does not apply to an easement for conservation or
preservation.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0415. 
Fla. Stat.  736.0415

 736.0415. Reformation to correct mistakes.
Upon application of a settlor or any interested person, the court may

reform the terms of a trust, even if unambiguous, to conform the terms to the
settlors intent if it is proved by clear and convincing evidence that both the
accomplishment of the settlors intent and the terms of the trust were affected
by a mistake of fact or law, whether in expression or inducement. In
determining the settlors original intent, the court may consider evidence
relevant to the settlors intent even though the evidence contradicts an
apparent plain meaning of the trust instrument.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0416. 
Fla. Stat.  736.0416

 736.0416. Modification to achieve settlors tax objectives.
Upon application of any interested person, to achieve the settlors tax

objectives the court may modify the terms of a trust in a manner that is not
contrary to the settlors probable intent. The court may provide that the
modification has retroactive effect.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IV. ,   736.0417. 
Fla. Stat.  736.0417

 736.0417. Combination and division of trusts.
(1) After notice to the qualified beneficiaries, a trustee may combine two

or more trusts into a single trust or divide a trust into two or more separate
trusts, if the result does not impair rights of any beneficiary or adversely
affect achievement of the purposes of the trusts or trust, respectively.

(2) Subject to the terms of the trust, the trustee may take into
consideration differences in federal tax attributes and other pertinent
factors in administering the trust property of any separate account or trust,
in making applicable tax elections, and in making distributions. A separate
trust created by severance must be treated as a separate trust for all
purposes from the date on which the severance is effective. The effective
date of the severance may be retroactive to a date before the date on which
the trustee exercises such power.

HISTORY:
S. 4, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. V. 
Fla. Stat. Title XLII, Ch. 736, Pt. V



PART V.
CREDITORS CLAIMS; SPENDTHRIFT AND

DISCRETIONARY TRUSTS.
 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.0501. 

Fla. Stat.  736.0501

 736.0501. Rights of beneficiarys creditor or assignee.
Except as provided in s. 736.0504, to the extent a beneficiarys interest is

not subject to a spendthrift provision, the court may authorize a creditor or
assignee of the beneficiary to reach the beneficiarys interest by attachment
of present or future distributions to or for the benefit of the beneficiary or by
other means. The court may limit the award to such relief as is appropriate
under the circumstances.

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007; s. 11, ch. 2007-153, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.0502. 
Fla. Stat.  736.0502

 736.0502. Spendthrift provision.
(1) A spendthrift provision is valid only if the provision restrains both

voluntary and involuntary transfer of a beneficiarys interest. This
subsection does not apply to any trust the terms of which are included in an
instrument executed before the effective date of this code.

(2) A term of a trust providing that the interest of a beneficiary is held
subject to a spendthrift trust, or words of similar import, is sufficient to
restrain both voluntary and involuntary transfer of the beneficiarys
interest.

(3) A beneficiary may not transfer an interest in a trust in violation of a
valid spendthrift provision and, except as otherwise provided in this part, a
creditor or assignee of the beneficiary may not reach the interest or a
distribution by the trustee before receipt of the interest or distribution by
the beneficiary.

(4) A valid spendthrift provision does not prevent the appointment of
interests through the exercise of a power of appointment.

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007; s. 12, ch. 2007-153, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.0503. 
Fla. Stat.  736.0503

 736.0503. Exceptions to spendthrift provision.
(1) As used in this section, the term child includes any person for

whom an order or judgment for child support has been entered in this or
any other state.

(2) To the extent provided in subsection (3), a spendthrift provision is
unenforceable against:
(a) A beneficiarys child, spouse, or former spouse who has a judgment or

court order against the beneficiary for support or maintenance.
(b) A judgment creditor who has provided services for the protection of a

beneficiarys interest in the trust.
(c) A claim of this state or the United States to the extent a law of this state

or a federal law so provides.
(3) Except as otherwise provided in this subsection and in s. 736.0504, a

claimant against which a spendthrift provision may not be enforced may
obtain from a court, or pursuant to the Uniform Interstate Family Support
Act, an order attaching present or future distributions to or for the benefit
of the beneficiary. The court may limit the award to such relief as is
appropriate under the circumstances. Notwithstanding this subsection, the
remedies provided in this subsection apply to a claim by a beneficiarys
child, spouse, former spouse, or a judgment creditor described in paragraph
(2)(a) or paragraph (2)(b) only as a last resort upon an initial showing that
traditional methods of enforcing the claim are insufficient.

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007; s. 13, ch. 2007-153, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.0504. 
Fla. Stat.  736.0504

 736.0504. Discretionary trusts; effect of standard.
(1) As used in this section, the term discretionary distribution means a

distribution that is subject to the trustees discretion whether or not the
discretion is expressed in the form of a standard of distribution and
whether or not the trustee has abused the discretion.

(2) Whether or not a trust contains a spendthrift provision, if a trustee
may make discretionary distributions to or for the benefit of a beneficiary,
a creditor of the beneficiary, including a creditor as described in s.
736.0503(2), may not:
(a) Compel a distribution that is subject to the trustees discretion; or
(b) Attach or otherwise reach the interest, if any, which the beneficiary

might have as a result of the trustees authority to make discretionary
distributions to or for the benefit of the beneficiary.

(3) If the trustees discretion to make distributions for the trustees own
benefit is limited by an ascertainable standard, a creditor may not reach or
compel distribution of the beneficial interest except to the extent the
interest would be subject to the creditors claim were the beneficiary not
acting as trustee.

(4) This section does not limit the right of a beneficiary to maintain a
judicial proceeding against a trustee for an abuse of discretion or failure to
comply with a standard for distribution.

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007; s. 14, ch. 2007-153, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.0505. 
Fla. Stat.  736.0505

 736.0505. Creditors claims against settlor.
(1) Whether or not the terms of a trust contain a spendthrift provision,

the following rules apply:
(a) The property of a revocable trust is subject to the claims of the settlors

creditors during the settlors lifetime to the extent the property would not
otherwise be exempt by law if owned directly by the settlor.

(b) With respect to an irrevocable trust, a creditor or assignee of the settlor
may reach the maximum amount that can be distributed to or for the settlors
benefit. If a trust has more than one settlor, the amount the creditor or
assignee of a particular settlor may reach may not exceed the settlors interest
in the portion of the trust attributable to that settlors contribution.

(c) Notwithstanding the provisions of paragraph (b), the assets of an
irrevocable trust may not be subject to the claims of an existing or subsequent
creditor or assignee of the settlor, in whole or in part, solely because of the
existence of a discretionary power granted to the trustee by the terms of the
trust, or any other provision of law, to pay directly to the taxing authorities or
to reimburse the settlor for any tax on trust income or principal which is
payable by the settlor under the law imposing such tax.

(2) For purposes of this section:
(a) During the period the power may be exercised, the holder of a power of

withdrawal is treated in the same manner as the settlor of a revocable trust to
the extent of the property subject to the power.

(b) Upon the lapse, release, or waiver of the power, the holder is treated as
the settlor of the trust only to the extent the value of the property affected by
the lapse, release, or waiver exceeds the greater of the amount specified in:

1. Section 2041(b)(2) or s. 2514(e); or
2. Section 2503(b) and, if the donor was married at the time of the transfer

to which the power of withdrawal applies, twice the amount specified in s.
2503(b),

of the Internal Revenue Code of 1986, as amended.



(3) Subject to the provisions of s. 726.105, for purposes of this section,
the assets in:
(a)1. A trust described in s. 2523(e) of the Internal Revenue Code of 1986,
as amended;
2. A trust for which the election described in s. 2523(f) of the Internal

Revenue Code of 1986, as amended, has been made; or
3. An irrevocable trust not otherwise described in subparagraph 1. or

subparagraph 2. in which:
a. The settlors spouse is a beneficiary as described in s. 736.0103(19)(a)

for the lifetime of the settlors spouse;
b. At no time during the lifetime of the settlors spouse is the settlor a

beneficiary as described in s. 736.0103(19)(a); and
c. Transfers to the trust by the settlor are completed gifts under s. 2511 of

the Internal Revenue Code of 1986, as amended; and
(b) Another trust, to the extent that the assets in the other trust are

attributable to a trust described in paragraph (a), shall, after the death of the
settlors spouse, be deemed to have been contributed by the settlors spouse
and not by the settlor.

shall, after the death of the settlors spouse, be deemed to have been
contributed by the settlors spouse and not by the settlor.

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007; s. 5, ch. 2010-122, eff. July 1, 2010;

s. 2, ch. 2022-101, effective July 1, 2022.

Editors notes.
Sections 2041(b)(2), 2503(b), 2514(e), and 2523 of the Internal Revenue

Code, referred to in this section, are codified as 26 U.S.C.S.  2041(b)(2),
2503(b), 2514(e), and 2523, respectively.



 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.05053. 
Fla. Stat.  736.05053

 736.05053. Trustees duty to pay expenses and obligations of settlors
estate.
(1) A trustee of a trust described in s. 733.707(3) shall pay to the

personal representative of a settlors estate any amounts that the personal
representative certifies in writing to the trustee are required to pay the
expenses of the administration and obligations of the settlors estate.
Payments made by a trustee, unless otherwise provided in the trust
instrument, must be charged as expenses of the trust without a contribution
from anyone. The interests of all beneficiaries of such a trust are subject to
the provisions of this subsection; however, the payments must be made
from assets, property, or the proceeds of the assets or property that are
included in the settlors gross estate for federal estate tax purposes and
may not be made from assets proscribed in s. 733.707(3) or death benefits
described in s. 733.808(4) unless the trust instrument expressly refers to s.
733.808(4) and directs that it does not apply .

(2) Unless a settlor provides by will, or designates in a trust described in
s. 733.707(3) funds or property passing under the trust to be used as
designated, the expenses of the administration and obligations of the
settlors estate must be paid from the trust in the following order:
(a) Property of the residue of the trust remaining after all distributions that

are to be satisfied by reference to a specific property or type of property,
fund, or sum.

(b) Property that is not to be distributed from specified or identified
property or a specified or identified item of property.

(c) Property that is to be distributed from specified or identified property or
a specified or identified item of property.

(3) Trust distributions that are to be satisfied from specified or identified
property must be classed as distributions to be satisfied from the general
assets of the trust and not otherwise disposed of in the trust instrument on
the failure or insufficiency of funds or property from which payment
should be made, to the extent of the insufficiency. Trust distributions given
for valuable consideration abate with other distributions of the same class



only to the extent of the excess over the value of the consideration until all
others of the same class are exhausted. Except as provided in this section,
trust distributions abate equally and ratably and without preference or
priority between real and personal property. When a specified or identified
item of property that has been designated for distribution in the trust
instrument or that is charged with a distribution is sold or taken by the
trustee, other beneficiaries shall contribute according to their respective
interests to the beneficiary whose property has been sold or taken. Before
distribution, the trustee shall determine the amounts of the respective
contributions and such amounts must be paid or withheld before
distribution is made.

(4) The trustee shall pay the expenses of trust administration, including
compensation of trustees and attorneys of the trustees, before and in
preference to the expenses of the administration and obligations of the
settlors estate.

(5) Nonresiduary trust dispositions shall abate pro rata with
nonresiduary devises pursuant to the priorities specified in this section and
s. 733.805, determined as if the beneficiaries of the will and trust, other
than the estate or trust itself, were taking under a common instrument.

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007; s. 6, ch. 2010-122, eff. July 1, 2010;

s. 9, ch. 2014-127, effective July 1, 2014.

Editors notes.
Section 10, ch. 2014-127, provides: The changes made by this act to s.

736.05053, Florida Statutes, are intended to clarify existing law, are remedial
in nature, and apply retroactively without regard to the date of the settlors
death.



 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.05055. 
Fla. Stat.  736.05055

 736.05055. Notice of trust.
(1) Upon the death of a settlor of a trust described in s. 733.707(3), the

trustee must file a notice of trust with the court of the county of the
settlors domicile and the court having jurisdiction of the settlors estate.

(2) The notice of trust must contain the name of the settlor, the settlors
date of death, the title of the trust, if any, the date of the trust, and the name
and address of the trustee.

(3) If the settlors probate proceeding has been commenced, the clerk
shall notify the trustee in writing of the date of the commencement of the
probate proceeding and the file number.

(4) The clerk shall file and index the notice of trust in the same manner
as a caveat unless there exists a probate proceeding for the settlors estate,
in which case the notice of trust must be filed in the probate proceeding
and the clerk shall send a copy to the personal representative.

(5) The clerk shall send a copy of any caveat filed regarding the settlor
to the trustee, and the notice of trust to any caveator, unless there is a
probate proceeding pending and the personal representative and the trustee
are the same.

(6) Any proceeding affecting the expenses of the administration or
obligations of the settlors estate prior to the trustee filing a notice of trust
are binding on the trustee.

(7) The trustees failure to file the notice of trust does not affect the
trustees obligation to pay expenses of administration and obligations of
the settlors estate as provided in s. 733.607(2).

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.0506. 
Fla. Stat.  736.0506

 736.0506. Overdue distribution.
(1) As used in this section, the term mandatory distribution means a

distribution of income or principal the trustee is required to make to a
beneficiary under the terms of the trust, including a distribution on
termination of the trust. The term does not include a distribution subject to
the exercise of the trustees discretion, even if:
(a) The discretion is expressed in the form of a standard of distribution; or
(b) The terms of the trust authorizing a distribution couple language of

discretion with language of direction.
(2) A creditor or assignee of a beneficiary may reach a mandatory

distribution of income or principal, including a distribution upon
termination of the trust, if the trustee has not made the distribution to the
beneficiary within a reasonable time after the designated distribution date,
whether or not a trust contains a spendthrift provision.

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. V. ,   736.0507. 
Fla. Stat.  736.0507

 736.0507. Personal obligations of trustee.
Except to the extent of the trustees interest in the trust other than as a

trustee, trust property is not subject to personal obligations of the trustee,
even if the trustee becomes insolvent or bankrupt.

HISTORY:
S. 5, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VI. 
Fla. Stat. Title XLII, Ch. 736, Pt. VI



PART VI.
REVOCABLE TRUSTS.

 Title XLII. ,  Ch. 736. ,  Pt. VI. ,   736.0601. 
Fla. Stat.  736.0601

 736.0601. Capacity of settlor of revocable trust.
The capacity required to create, amend, revoke, or add property to a

revocable trust, or to direct the actions of the trustee of a revocable trust, is
the same as that required to make a will.

HISTORY:
S. 6, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VI. ,   736.0602. 
Fla. Stat.  736.0602

 736.0602. Revocation or amendment of revocable trust.
(1) Unless the terms of a trust expressly provide that the trust is

irrevocable, the settlor may revoke or amend the trust. This subsection
does not apply to a trust created under an instrument executed before the
effective date of this code.

(2) If a revocable trust is created or funded by more than one settlor:
(a) To the extent the trust consists of community property, the trust may be

revoked by either spouse acting alone but may be amended only by joint
action of both spouses.

(b) To the extent the trust consists of property other than community
property, each settlor may revoke or amend the trust with regard to the
portion of the trust property attributable to that settlors contribution.

(c) Upon the revocation or amendment of the trust by fewer than all of the
settlors, the trustee shall promptly notify the other settlors of the revocation
or amendment.

(3) Subject to s. 736.0403(2), the settlor may revoke or amend a
revocable trust:
(a) By substantial compliance with a method provided in the terms of the

trust; or
(b) If the terms of the trust do not provide a method, by:
1. A later will or codicil that expressly refers to the trust or specifically

devises property that would otherwise have passed according to the terms of
the trust; or

2. Any other method manifesting clear and convincing evidence of the
settlors intent.

(4) Upon revocation of a revocable trust, the trustee shall deliver the
trust property as the settlor directs.

(5) A settlors powers with respect to revocation, amendment, or
distribution of trust property may be exercised by an agent under a power



of attorney only as authorized by s. 709.2202.
(6) A guardian of the property of the settlor may exercise a settlors

powers with respect to revocation, amendment, or distribution of trust
property only as provided in s. 744.441.

(7) A trustee who does not know that a trust has been revoked or
amended is not liable for distributions made and other actions taken on the
assumption that the trust had not been amended or revoked.

HISTORY:
S. 6, ch. 2006-217, eff. July 1, 2007; s. 32, ch. 2011-210, eff. Oct. 1, 2011.



 Title XLII. ,  Ch. 736. ,  Pt. VI. ,   736.0603. 
Fla. Stat.  736.0603

 736.0603. Settlors powers; powers of withdrawal.
(1) While a trust is revocable, the duties of the trustee are owed

exclusively to the settlor.
(2) During the period the power may be exercised, the holder of a power

of withdrawal has the rights of a settlor of a revocable trust under this
section to the extent of the property subject to the power.

(3) Subject to ss. 736.0403(2) and 736.0602(3)(a), the trustee may
follow a direction of the settlor that is contrary to the terms of the trust
while a trust is revocable.

HISTORY:
S. 6, ch. 2006-217, eff. July 1, 2007; s. 6, ch. 2021-183, effective July 1,

2021.



 Title XLII. ,  Ch. 736. ,  Pt. VI. ,   736.0604. 
Fla. Stat.  736.0604

 736.0604. Limitation on action contesting validity of revocable trust.
An action to contest the validity of a trust that was revocable at the settlors

death is barred, if not commenced within the earlier of:
(1) The time as provided in chapter 95; or
(2) Six months after the trustee sent the person a copy of the trust

instrument and a notice informing the person of the trusts existence, of the
trustees name and address, and of the time allowed for commencing a
proceeding.

HISTORY:
S. 6, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VII. 
Fla. Stat. Title XLII, Ch. 736, Pt. VII



PART VII.
OFFICE OF TRUSTEE.

 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0701. 
Fla. Stat.  736.0701

 736.0701. Accepting or declining trusteeship.
(1) Except as otherwise provided in subsection (3), a person designated

as trustee accepts the trusteeship:
(a) By substantially complying with a method of acceptance provided in

the terms of the trust; or
(b) If the terms of the trust do not provide a method or the method

provided in the terms is not expressly made exclusive, by accepting delivery
of the trust property, exercising powers or performing duties as trustee, or
otherwise indicating acceptance of the trusteeship.

(2) A person designated as trustee who has not accepted the trusteeship
may decline the trusteeship. A designated trustee who does not accept the
trusteeship within a reasonable time after knowing of the designation is
deemed to have declined the trusteeship.

(3) A person designated as trustee may, without accepting the
trusteeship:
(a) Act to preserve the trust property if, within a reasonable time after

acting, the person sends to a qualified beneficiary a written statement
declining the trusteeship.

(b) Inspect or investigate trust property to determine potential liability
under environmental or other law or for any other purpose.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0702. 
Fla. Stat.  736.0702

 736.0702. Trustees bond.
(1) A trustee shall give bond to secure performance of the trustees

duties only if the court finds that a bond is needed to protect the interests of
the beneficiaries or is required by the terms of the trust and the court has
not dispensed with the requirement.

(2) The court may specify the amount of a bond, the trustees liabilities
under the bond, and whether sureties are necessary. The court may modify
or terminate a bond at any time.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0703. 
Fla. Stat.  736.0703

 736.0703. Cotrustees.
(1) Cotrustees who are unable to reach a unanimous decision may act by

majority decision.
(2) If a vacancy occurs in a cotrusteeship, the remaining cotrustees or a

majority of the remaining cotrustees may act for the trust.
(3) Subject to s. 736.1412, relating to the allocation of powers among

cotrustees, requirements for excluded cotrustees to act as a directed trustee,
and liability and related obligations of directing cotrustees, a cotrustee
must participate in the performance of a trustees function unless the
cotrustee is unavailable to perform the function because of absence, illness,
disqualification under other provision of law, or other temporary
incapacity or the cotrustee has properly delegated the performance of the
function to another cotrustee.

(4) If a cotrustee is unavailable to perform duties because of absence,
illness, disqualification under other law, or other temporary incapacity, and
prompt action is necessary to achieve the purposes of the trust or to avoid
injury to the trust property, the remaining cotrustee or a majority of the
remaining cotrustees may act for the trust.

(5) A cotrustee may not delegate to another cotrustee the performance of
a function the settlor reasonably expected the cotrustees to perform jointly,
except that a cotrustee may delegate investment functions to a cotrustee
pursuant to and in compliance with s. 518.112. A cotrustee may revoke a
delegation previously made.

(6) Except as otherwise provided in subsection (7), a cotrustee who does
not join in an action of another cotrustee is not liable for the action.

(7) Except as otherwise provided in s. 736.1412, relating to the
allocation of powers among cotrustees, requirements for excluded
cotrustees to act as a directed trustee, and liability and related obligations
of directing cotrustees, each cotrustee shall exercise reasonable care to:
(a) Prevent a cotrustee from committing a breach of trust.



(b) Compel a cotrustee to redress a breach of trust.
(8) A dissenting cotrustee who joins in an action at the direction of the

majority of the cotrustees and who notifies any cotrustee of the dissent at
or before the time of the action is not liable for the action.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007; s. 1, ch. 2008-76, eff. July 1, 2008; s.

5, ch. 2009-117, eff. July 1, 2009; s. 1, ch. 2014-115, effective July 1, 2014;
s. 7, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0704. 
Fla. Stat.  736.0704

 736.0704. Vacancy in trusteeship; appointment of successor.
(1) A vacancy in a trusteeship occurs if:

(a) A person designated as trustee declines the trusteeship;
(b) A person designated as trustee cannot be identified or does not exist;
(c) A trustee resigns;
(d) A trustee is disqualified or removed;
(e) A trustee dies; or
(f) A trustee is adjudicated to be incapacitated.

(2) If one or more cotrustees remain in office, a vacancy in a trusteeship
need not be filled. A vacancy in a trusteeship must be filled if the trust has
no remaining trustee.

(3) A vacancy in a trusteeship of a noncharitable trust that is required to
be filled must be filled in the following order of priority:
(a) By a person named or designated pursuant to the terms of the trust to

act as successor trustee.
(b) By a person appointed by unanimous agreement of the qualified

beneficiaries.
(c) By a person appointed by the court.

(4) A vacancy in a trusteeship of a charitable trust that is required to be
filled must be filled in the following order of priority:
(a) By a person named or designated pursuant to the terms of the trust to

act as successor trustee.
(b) By a person selected by unanimous agreement of the charitable

organizations expressly designated to receive distributions under the terms of
the trust.

(c) By a person appointed by the court.
(5) The court may appoint an additional trustee or special fiduciary



whenever the court considers the appointment necessary for the
administration of the trust, whether or not a vacancy in a trusteeship exists
or is required to be filled.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0705. 
Fla. Stat.  736.0705

 736.0705. Resignation of trustee.
(1) A trustee may resign in accordance with the procedure set forth in

the trust instrument and upon notice to the cotrustees or, if none, to the
successor trustee who has accepted the appointment, or, if none, to the
person or persons who have the authority to appoint a successor trustee.
Notwithstanding any provision of the terms of the trust, a trustee may also
resign:
(a) Upon at least 30 days notice to the qualified beneficiaries, the settlor,

if living, and all cotrustees; or
(b) With the approval of the court.

(2) In approving a resignation, the court may issue orders and impose
conditions reasonably necessary for the protection of the trust property.

(3) Any liability of a resigning trustee or of any sureties on the trustees
bond for acts or omissions of the trustee is not discharged or affected by
the trustees resignation.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007; s. 3, ch. 2022-101, effective July 1,

2022.



 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0706. 
Fla. Stat.  736.0706

 736.0706. Removal of trustee.
(1) The settlor, a cotrustee, or a beneficiary may request the court to

remove a trustee, or a trustee may be removed by the court on the courts
own initiative.

(2) The court may remove a trustee if:
(a) The trustee has committed a serious breach of trust;
(b) The lack of cooperation among cotrustees substantially impairs the

administration of the trust;
(c) Due to the unfitness, unwillingness, or persistent failure of the trustee

to administer the trust effectively, the court determines that removal of the
trustee best serves the interests of the beneficiaries; or

(d) There has been a substantial change of circumstances or removal is
requested by all of the qualified beneficiaries, the court finds that removal of
the trustee best serves the interests of all of the beneficiaries and is not
inconsistent with a material purpose of the trust, and a suitable cotrustee or
successor trustee is available.

(3) Pending a final decision on a request to remove a trustee, or in lieu
of or in addition to removing a trustee, the court may order such
appropriate relief under s. 736.1001(2) as may be necessary to protect the
trust property or the interests of the beneficiaries.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0707. 
Fla. Stat.  736.0707

 736.0707. Delivery of property by former trustee.
(1) Unless a cotrustee remains in office or the court otherwise orders and

until the trust property is delivered to a successor trustee or other person
entitled to the property, a trustee who has resigned or been removed has
the duties of a trustee and the powers necessary to protect the trust
property.

(2) A trustee who has resigned or been removed shall within a
reasonable time deliver the trust property within the trustees possession to
the cotrustee, successor trustee, or other person entitled to the property,
subject to the right of the trustee to retain a reasonable reserve for the
payment of debts, expenses, and taxes. The provisions of this subsection
are in addition to and are not in derogation of the rights of a removed or
resigning trustee under the common law.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0708. 
Fla. Stat.  736.0708

 736.0708. Compensation of trustee.
(1) If the terms of a trust do not specify the trustees compensation, a

trustee is entitled to compensation that is reasonable under the
circumstances.

(2) If the terms of a trust specify the trustees compensation, the trustee
is entitled to be compensated as specified, but the court may allow more or
less compensation if:
(a) The duties of the trustee are substantially different from those

contemplated when the trust was created; or
(b) The compensation specified by the terms of the trust would be

unreasonably low or high.
(3) If the trustee has rendered other services in connection with the

administration of the trust, the trustee shall also be allowed reasonable
compensation for the other services rendered in addition to reasonable
compensation as trustee.
(4)(a) An attorney serving as a trustee, or a person related to such attorney,
is not entitled to compensation for serving as a trustee if the attorney
prepared or supervised the execution of the trust instrument that appointed
the attorney or person related to the attorney as trustee, unless the attorney
or person appointed is related to the settlor or the attorney makes the
following disclosures to the settlor before the trust instrument is executed:
1. Unless specifically disqualified by the terms of the trust instrument, any

person, regardless of state of residence and including a family member,
friend, or corporate fiduciary, is eligible to serve as a trustee;

2. Any person, including an attorney, who serves as a trustee is entitled to
receive reasonable compensation for serving as trustee; and

3. Compensation payable to the trustee is in addition to any attorney fees
payable to the attorney or the attorneys firm for legal services rendered to
the trustee.

(b)1. The settlor must execute a written statement acknowledging that the



disclosures required under paragraph (a) were made prior to the execution
of the trust instrument. The written statement must be in a separate writing
from the trust instrument but may be annexed to the trust instrument. The
written statement may be executed before or after the execution of the trust
in which the attorney or related person is appointed as the trustee.
2. The written statement must be in substantially the following form:
I, (Name), declare that:
I have designated my attorney, an attorney employed in the same law firm

as my attorney, or a person related to my attorney as a trustee in my trust
instrument dated (insert date)

Before executing the trust, I was informed that:
1. Unless specifically disqualified by the terms of the trust instrument,

any person, regardless of state of residence and including family members,
friends, and corporate fiduciaries, is eligible to serve as a trustee.

2. Any person, including an attorney, who serves as a trustee is entitled
to receive reasonable compensation for serving as trustee.

3. Compensation payable to the trustee is in addition to any attorney fees
payable to the attorney or the attorneys firm for legal services rendered to
the trustee.

(c) For purposes of this subsection:
1. An attorney is deemed to have prepared, or supervised the execution of,

a trust instrument if the preparation, or supervision of the execution, of the
trust instrument was performed by an employee or attorney employed by the
same firm as the attorney at the time the trust instrument was executed.

2. A person is related to an individual if, at the time the attorney
prepared or supervised the execution of the trust instrument, the person is:

a. A spouse of the individual;
b. A lineal ascendant or descendant of the individual;
c. A sibling of the individual;



d. A relative of the individual or of the individuals spouse with whom the
attorney maintains a close, familial relationship;

e. A spouse of a person described in sub-subparagraphs b.-d.;
f. A person who cohabitates with the individual; or
g. An employee or attorney employed by the same firm as the attorney at

the time the trust instrument is executed.
3. An attorney or a person related to the attorney is deemed appointed in

the trust instrument when the trust instrument appoints the attorney or the
person related to the attorney as trustee, cotrustee, successor, or alternate
trustee in the event another person nominated is unable to or unwilling to
serve, or provides the attorney or any person related to the attorney with the
power to appoint the trustee and the attorney or person related to the attorney
was appointed using that power.

(d) Other than compensation payable to the trustee, this subsection does
not limit any rights or remedies that any interested person may have at law or
equity.

(e) The failure to obtain an acknowledgment from the settlor under this
subsection does not disqualify a trustee from serving and does not affect the
validity of a trust instrument.

(f) This subsection applies to all appointments made pursuant to a trust
agreement:

1. Executed by a resident of this state on or after October 1, 2020; or
2. Amended by a resident of this state on or after October 1, 2020, if the

trust agreement nominates the attorney who prepared or supervised the
execution of the amendment or a person related to such attorney as trustee.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007; s. 9, ch. 2020-67, effective October 1,

2020.



 Title XLII. ,  Ch. 736. ,  Pt. VII. ,   736.0709. 
Fla. Stat.  736.0709

 736.0709. Reimbursement of expenses.
(1) A trustee is entitled to be reimbursed out of the trust property, with

interest as appropriate, for reasonable expenses that were properly incurred
in the administration of the trust.

(2) An advance by the trustee of money for the protection of the trust
gives rise to a lien against trust property to secure reimbursement with
reasonable interest.

HISTORY:
S. 7, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. 
Fla. Stat. Title XLII, Ch. 736, Pt. VIII



PART VIII.
DUTIES AND POWERS OF TRUSTEE.

 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0801. 
Fla. Stat.  736.0801

 736.0801. Duty to administer trust.
Upon acceptance of a trusteeship, the trustee shall administer the trust in

good faith, in accordance with its terms and purposes and the interests of the
beneficiaries, and in accordance with this code.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0802. 
Fla. Stat.  736.0802

 736.0802. Duty of loyalty.
(1) As between a trustee and the beneficiaries, a trustee shall administer

the trust solely in the interests of the beneficiaries.
(2) Subject to the rights of persons dealing with or assisting the trustee

as provided in s. 736.1016, a sale, encumbrance, or other transaction
involving the investment or management of trust property entered into by
the trustee for the trustees own personal account or which is otherwise
affected by a conflict between the trustees fiduciary and personal interests
is voidable by a beneficiary affected by the transaction unless:
(a) The transaction was authorized by the terms of the trust;
(b) The transaction was approved by the court;
(c) The beneficiary did not commence a judicial proceeding within the

time allowed by s. 736.1008;
(d) The beneficiary consented to the trustees conduct, ratified the

transaction, or released the trustee in compliance with s. 736.1012;
(e) The transaction involves a contract entered into or claim acquired by

the trustee when that person had not become or contemplated becoming
trustee;

(f) The transaction was consented to in writing by a settlor of the trust
while the trust was revocable;

(g) The transaction is one by a corporate trustee that involves a money
market mutual fund, mutual fund, or a common trust fund described in s.
736.0816(3); or

(h) With regard to a trust that is administered by a family trust company,
licensed family trust company, or foreign licensed family trust company
operating under chapter 662, the transaction is authorized by s. 662.132(4)-
(8).

(3)(a) A sale, encumbrance, or other transaction involving the investment
or management of trust property is presumed to be affected by a conflict



between personal and fiduciary interests if the sale, encumbrance, or other
transaction is entered into by the trustee with:
1. The trustees spouse;
2. The trustees descendants, siblings, parents, or their spouses;
3. An officer, director, employee, agent, or attorney of the trustee; or
4. A corporation or other person or enterprise in which the trustee, or a

person that owns a significant interest in the trustee, has an interest that might
affect the trustees best judgment.

(b) This subsection does not apply to a trust being administered by a family
trust company, licensed family trust company, or foreign licensed family trust
company operating under chapter 662 if the sale, encumbrance, or other
transaction is authorized by s. 662.132(4)-(8).

(4) A transaction not concerning trust property in which the trustee
engages in the trustees individual capacity involves a conflict between
personal and fiduciary interests if the transaction concerns an opportunity
properly belonging to the trust.
(5)(a) An investment by a trustee authorized by lawful authority to engage
in trust business, as defined in s. 658.12, in investment instruments, as
defined in s. 660.25(6), that are owned or controlled by the trustee or its
affiliate, or from which the trustee or its affiliate receives compensation for
providing services in a capacity other than as trustee, is not presumed to be
affected by a conflict between personal and fiduciary interests provided the
investment otherwise complies with chapters 518 and 660 and the trustee
complies with the requirements of this subsection.
(b) A trustee who, pursuant to this subsection, invests trust funds in

investment instruments that are owned or controlled by the trustee or its
affiliate shall disclose the following to all qualified beneficiaries:

1. Notice that the trustee has invested trust funds in investment instruments
owned or controlled by the trustee or its affiliate.

2. The identity of the investment instruments.
3. The identity and relationship to the trustee of any affiliate that owns or

controls the investment instruments.



(c) A trustee who, pursuant to this subsection, invests trust funds in
investment instruments with respect to which the trustee or its affiliate
receives compensation for providing services in a capacity other than as
trustee shall disclose to all qualified beneficiaries, the nature of the services
provided by the trustee or its affiliate, and all compensation, including, but
not limited to, fees or commissions paid or to be paid by the account and
received or to be received by an affiliate arising from such affiliated
investment.

(d) Disclosure required by this subsection shall be made at least annually
unless there has been no change in the method or increase in the rate at which
such compensation is calculated since the most recent disclosure. The
disclosure may be given in a trust disclosure document as defined in s.
736.1008, in a copy of the prospectus for the investment instrument, in any
other written disclosure prepared for the investment instrument under
applicable federal or state law, or in a written summary that includes all
compensation received or to be received by the trustee and any affiliate of the
trustee and an explanation of the manner in which such compensation is
calculated, either as a percentage of the assets invested or by some other
method.

(e) This subsection shall apply as follows:
1. This subsection does not apply to qualified investment instruments or to

a trust for which a right of revocation exists.
2. For investment instruments other than qualified investment instruments,

paragraphs (a), (b), (c), and (d) shall apply to irrevocable trusts created on or
after July 1, 2007, which expressly authorize the trustee, by specific reference
to this subsection, to invest in investment instruments owned or controlled by
the trustee or its affiliate.

3. For investment instruments other than qualified investment instruments,
paragraphs (a), (b), (c), and (d) shall apply to irrevocable trusts created on or
after July 1, 2007, that are not described in subparagraph 2. and to
irrevocable trusts created prior to July 1, 2007, only as follows:

a. Such paragraphs shall not apply until the statement required in
paragraph (f) is provided and a majority of the qualified beneficiaries have
provided written consent. All consents must be obtained within 90 days after



the date of delivery of the written request. Once given, consent shall be valid
as to all investment instruments acquired pursuant to the consent prior to the
date of any withdrawal of the consent.

(I) Any qualified beneficiary may petition the court for an order to
prohibit, limit, or restrict a trustees authority to make investments under
this subsection. The burden shall be upon the petitioning beneficiary to
show good cause for the relief sought.

(II) The court may award costs and attorney fees relating to any petition
under this subparagraph in the same manner as in chancery actions. When
costs and attorney fees are to be paid out of the trust, the court, in its
discretion, may direct from which part of the trust such costs and fees shall be
paid.

b. The consent of a majority of the qualified beneficiaries under this
subparagraph may be withdrawn prospectively by written notice of a majority
of any one of the class or classes of the qualified beneficiaries.

(f)1. The trustee of a trust as defined in s. 731.201 may request authority to
invest in investment instruments described in this subsection other than a
qualified investment instrument, by providing to all qualified beneficiaries
a written request containing the following:
a. The name, telephone number, street address, and mailing address of the

trustee and of any individuals who may be contacted for further information.
b. A statement that the investment or investments cannot be made without

the consent of a majority of each class of the qualified beneficiaries.
c. A statement that, if a majority of each class of qualified beneficiaries

consent, the trustee will have the right to make investments in investment
instruments, as defined in s. 660.25(6), which are owned or controlled by the
trustee or its affiliate, or from which the trustee or its affiliate receives
compensation for providing services in a capacity other than as trustee, that
such investment instruments may include investment instruments sold
primarily to trust accounts, and that the trustee or its affiliate may receive fees
in addition to the trustees compensation for administering the trust.

d. A statement that the consent may be withdrawn prospectively at any
time by written notice given by a majority of any class of the qualified
beneficiaries.



A statement by the trustee is not delivered if the statement is accompanied
by another written communication other than a written communication by the
trustee that refers only to the statement.

2. For purposes of paragraph (e) and this paragraph:
a. Majority of the qualified beneficiaries means:

(I) If at the time the determination is made there are one or more
beneficiaries as described in s. 736.0103(19)(c), at least a majority in
interest of the beneficiaries described in s. 736.0103(19)(a), at least a
majority in interest of the beneficiaries described in s. 736.0103(19)(b),
and at least a majority in interest of the beneficiaries described in s.
736.0103(19)(c), if the interests of the beneficiaries are reasonably
ascertainable; otherwise, a majority in number of each such class; or

(II) If there is no beneficiary as described in s. 736.0103(19)(c), at least a
majority in interest of the beneficiaries described in s. 736.0103(19)(a) and at
least a majority in interest of the beneficiaries described in s. 736.0103(19)
(b), if the interests of the beneficiaries are reasonably ascertainable;
otherwise, a majority in number of each such class.

b. Qualified investment instrument means a mutual fund, common trust
fund, or money market fund described in and governed by s. 736.0816(3).

c. An irrevocable trust is created upon execution of the trust instrument. If
a trust that was revocable when created thereafter becomes irrevocable, the
irrevocable trust is created when the right of revocation terminates.

(g) Nothing in this chapter is intended to create or imply a duty for the
trustee to seek the application of this subsection to invest in investment
instruments described in paragraph (a), and no inference of impropriety may
be made as a result of a trustee electing not to invest trust assets in investment
instruments described in paragraph (a).

(h) This subsection is not the exclusive authority under this code for
investing in investment instruments described in paragraph (a). A trustee who
invests trust funds in investment instruments described in paragraph (a) is not
required to comply with paragraph (b), paragraph (c), or paragraph (f) if the
trustee is permitted to invest in such investment instruments pursuant to
subsection (2).



(i) This subsection does not apply to a trust administered by a
family trust company, licensed family trust company, or foreign
licensed family trust company operating under chapter 662.

(6) In voting shares of stock or in exercising powers of control over
similar interests in other forms of enterprise, the trustee shall act in the best
interests of the beneficiaries. If the trust is the sole owner of a corporation
or other form of enterprise, the trustee shall elect or appoint directors or
other managers who will manage the corporation or enterprise in the best
interests of the beneficiaries.

(7) This section does not preclude the following transactions, if fair to
the beneficiaries:
(a) An agreement between a trustee and a beneficiary relating to the

appointment or compensation of the trustee;
(b) A payment of reasonable compensation to the trustee;
(c) A transaction between a trust and another trust, the decedents estate, or

a guardian of the property of which the trustee is a fiduciary or in which a
beneficiary has an interest;

(d) A deposit of trust money in a regulated financial service institution
operated by the trustee; or

(e) An advance by the trustee of money for the protection of the trust.
(8) This section does not preclude the employment of persons,

including, but not limited to, attorneys, accountants, investment advisers,
or agents, even if they are the trustee, an affiliate of the trustee, or
otherwise associated with the trustee, to advise or assist the trustee in the
exercise of any of the trustees powers and to pay reasonable compensation
and costs incurred in connection with such employment from the assets of
the trust; to act without independent investigation on their
recommendations; and, instead of acting personally, to employ one or
more agents to perform any act of administration, whether or not
discretionary.

(9) The court may appoint a special fiduciary to act with respect to any
proposed transaction that might violate this section if entered into by the
trustee.



(10) Unless otherwise provided in this subsection, payment of costs or
attorney fees incurred in any proceeding may be made by a trustee from
assets of the trust without the approval of any person and without court
authorization, as provided in ss. 736.0816(20) and 736.1007(1).
(a) As used in this subsection, the term pleading means a pleading as

defined in Rule 1.100 of the Florida Rules of Civil Procedure.
(b) If a trustee incurs attorney fees or costs in connection with a claim or

defense of breach of trust which is made in a filed pleading, the trustee may
pay such attorney fees or costs from trust assets without the approval of any
person and without any court authorization. However, the trustee must serve
a written notice of intent upon each qualified beneficiary of the trust whose
share of the trust may be affected by the payment before such payment is
made. The notice of intent does not need to be served upon a qualified
beneficiary whose identity or location is unknown to, and not reasonably
ascertainable by, the trustee.

(c) The notice of intent must identify the judicial proceeding in which the
claim or defense of breach of trust has been made in a filed pleading and
must inform the person served of his or her right under paragraph (e) to apply
to the court for an order prohibiting the trustee from using trust assets to pay
attorney fees or costs as provided in paragraph (b) or compelling the return of
such attorney fees and costs to the trust. The notice of intent must be served
by any commercial delivery service or form of mail requiring a signed
receipt; the manner provided in the Florida Rules of Civil Procedure for
service of process; or, as to any party over whom the court has already
acquired jurisdiction in that judicial proceeding, in the manner provided for
service of pleadings and other documents by the Florida Rules of Civil
Procedure.

(d) If a trustee has used trust assets to pay attorney fees or costs described
in paragraph (b) before service of a notice of intent, any qualified beneficiary
who is not barred under s. 736.1008 and whose share of the trust may have
been affected by such payment is entitled, upon the filing of a motion to
compel the return of such payment to the trust, to an order compelling the
return of such payment, with interest at the statutory rate. The court shall
award attorney fees and costs incurred in connection with the motion to
compel as provided in s. 736.1004.



(e) Upon the motion of any qualified beneficiary who is not barred under s.
736.1008 and whose share of the trust may be affected by the use of trust
assets to pay attorney fees or costs as provided in paragraph (b), the court
may prohibit the trustee from using trust assets to make such payment and, if
such payment has been made from trust assets after service of a notice of
intent, the court may enter an order compelling the return of the attorney fees
and costs to the trust, with interest at the statutory rate. In connection with
any hearing on a motion brought under this paragraph:

1. The court shall deny the motion unless it finds a reasonable basis to
conclude that there has been a breach of trust. If the court finds there is a
reasonable basis to conclude there has been a breach of trust, the court may
still deny the motion if it finds good cause to do so.

2. The movant may show that such reasonable basis exists, and the trustee
may rebut any such showing by presenting affidavits, answers to
interrogatories, admissions, depositions, and any evidence otherwise
admissible under the Florida Evidence Code.

(f) If a trustee fails to comply with an order of the court prohibiting the use
of trust assets to pay attorney fees or costs described in paragraph (b) or fails
to comply with an order compelling that such payment be refunded to the
trust, the court may impose such remedies or sanctions as the court deems
appropriate, including, without limitation, striking the defenses or pleadings
filed by the trustee.

(g) Notwithstanding the entry of an order prohibiting the use of trust assets
to pay attorney fees and costs as provided in paragraph (b), or compelling the
return of such attorney fees or costs, if a claim or defense of breach of trust is
withdrawn, dismissed, or judicially resolved in the trial court without a
determination that the trustee has committed a breach of trust, the trustee is
authorized to use trust assets to pay attorney fees and costs as provided in
paragraph (b) and may do so without service of a notice of intent or order of
the court. The attorney fees and costs may include fees and costs that were
refunded to the trust pursuant to an order of the court.

(h) This subsection does not limit proceedings under s. 736.0206 or
remedies for breach of trust under s. 736.1001, or the right of any interested
person to challenge or object to the payment of compensation or costs from
the trust.



HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007; s. 3, ch. 2007-153, eff. July 1, 2007;

s. 159, ch. 2008-4, eff. July 1, 2008; s. 2, ch. 2008-76, eff. July 1, 2008; s. 20,
ch. 2009-115, eff. July 1, 2009; s. 18, ch. 2013-172, eff. Oct. 1, 2013; s. 38,
ch. 2014-97, effective October 1, 2015; s. 5, ch. 2016-189, effective July 1,
2016; s. 41, ch. 2021-183, effective July 1, 2021; s. 18, ch. 2022-178,
effective July 1, 2022.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0803. 
Fla. Stat.  736.0803

 736.0803. Impartiality.
If a trust has two or more beneficiaries, the trustee shall act impartially in

administering the trust property, giving due regard to the beneficiaries
respective interests.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0804. 
Fla. Stat.  736.0804

 736.0804. Prudent administration.
A trustee shall administer the trust as a prudent person would, by

considering the purposes, terms, distribution requirements, and other
circumstances of the trust. In satisfying this standard, the trustee shall
exercise reasonable care, skill, and caution.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0805. 
Fla. Stat.  736.0805

 736.0805. Expenses of administration.
In administering a trust, the trustee shall only incur expenses that are

reasonable in relation to the trust property, the purposes of the trust, and the
skills of the trustee.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0806. 
Fla. Stat.  736.0806

 736.0806. Trustees skills.
A trustee who has special skills or expertise, or is named trustee in reliance

on the trustees representation that the trustee has special skills or expertise,
shall use those special skills or expertise.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0807. 
Fla. Stat.  736.0807

 736.0807. Delegation by trustee.
(1) A trustee may delegate duties and powers that a prudent trustee of

comparable skills could properly delegate under the circumstances,
including investment functions pursuant to s. 518.112. The trustee shall
exercise reasonable care, skill, and caution in:
(a) Selecting an agent.
(b) Establishing the scope and terms of the delegation, consistent with the

purposes and terms of the trust.
(c) Reviewing the agents actions periodically, in order to monitor the

agents performance and compliance with the terms of the delegation.
(2) In performing a delegated function, an agent owes a duty to the trust

to exercise reasonable care to comply with the terms of the delegation.
(3) A trustee who complies with subsection (1) and, when investment

functions are delegated, s. 518.112 is not liable to the beneficiaries or to
the trust for an action of the agent to whom the function was delegated.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007; s. 6, ch. 2009-117, eff. July 1, 2009;

s. 13, ch. 2013-172, eff. Oct. 1, 2013.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0808. 
Fla. Stat.  736.0808

 736.0808. Powers to direct. [Repealed]

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007; repealed by s. 8, ch. 2021-183,

effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0809. 
Fla. Stat.  736.0809

 736.0809. Control and protection of trust property.
A trustee shall take reasonable steps to take control of and protect the trust

property.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0810. 
Fla. Stat.  736.0810

 736.0810. Recordkeeping and identification of trust property.
(1) A trustee shall keep clear, distinct, and accurate records of the

administration of the trust.
(2) A trustee shall keep trust property separate from the trustees own

property.
(3) Except as otherwise provided in subsection (4), a trustee shall cause

the trust property to be designated so that the interest of the trust, to the
extent feasible, appears in records maintained by a party other than a
trustee or beneficiary.

(4) If the trustee maintains records clearly indicating the respective
interests, a trustee may invest as a whole the property of two or more
separate trusts.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.08105. 
Fla. Stat.  736.08105

 736.08105. Duty to ascertain marketable title of trust real property.
A trustee holding title to real property received from a settlor or estate shall

not be required to obtain title insurance or proof of marketable title until a
marketable title is required for a sale or conveyance of the real property.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0811. 
Fla. Stat.  736.0811

 736.0811. Enforcement and defense of claims.
A trustee shall take reasonable steps to enforce claims of the trust and to

defend claims against the trust.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0812. 
Fla. Stat.  736.0812

 736.0812. Collecting trust property.
A trustee shall take reasonable steps to compel a former trustee or other

person to deliver trust property to the trustee and, except as provided in s.
736.08125, to redress a breach of trust known to the trustee to have been
committed by a former trustee.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.08125. 
Fla. Stat.  736.08125

 736.08125. Protection of successor trustees.
(1) A successor trustee is not personally liable for actions taken by any

prior trustee, nor does any successor trustee have a duty to institute any
proceeding against any prior trustee, or file any claim against any prior
trustees estate, for any of the prior trustees actions as trustee under any of
the following circumstances:
(a) As to a successor trustee who succeeds a trustee who was also the

settlor of a trust that was revocable during the time that the settlor served as
trustee;

(b) As to any beneficiary who has waived any accounting required by s.
736.0813, but only as to the periods included in the waiver;

(c) As to any beneficiary who has released the successor trustee from the
duty to institute any proceeding or file any claim;

(d) As to any person who is not an eligible beneficiary; or
(e) As to any eligible beneficiary:
1. If a super majority of the eligible beneficiaries have released the

successor trustee;
2. If the eligible beneficiary has not delivered a written request to the

successor trustee to institute an action or file a claim against the prior trustee
within 6 months after the date of the successor trustees acceptance of the
trust, if the successor trustee has notified the eligible beneficiary in writing of
acceptance by the successor trustee in accordance with s. 736.0813(1)(a) and
that writing advises the beneficiary that, unless the beneficiary delivers the
written request within 6 months after the date of acceptance, the right to
proceed against the successor trustee will be barred pursuant to this section;
or

3. For any action or claim that the eligible beneficiary is barred from
bringing against the prior trustee.

(2) For the purposes of this section, the term:



(a) Eligible beneficiaries means:
1. At the time the determination is made, if there are one or more

beneficiaries as described in s. 736.0103(19)(c), the beneficiaries described in
s. 736.0103(19)(a) and (c); or

2. If there is no beneficiary as described in s. 736.0103(19)(c), the
beneficiaries described in s. 736.0103(19)(a) and (b).

(b) Super majority of eligible beneficiaries means at least two-thirds in
interest of the eligible beneficiaries if the interests of the eligible beneficiaries
are reasonably ascertainable, otherwise, at least two-thirds in number of the
eligible beneficiaries.

(3) Nothing in this section affects any liability of the prior trustee or the
right of the successor trustee or any beneficiary to pursue an action or
claim against the prior trustee.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007; s. 19, ch. 2013-172, eff. Oct. 1, 2013;

s. 42, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0813. 
Fla. Stat.  736.0813

 736.0813. Duty to inform and account.
The trustee shall keep the qualified beneficiaries of the trust reasonably

informed of the trust and its administration.
(1) The trustees duty to inform and account includes, but is not limited

to, the following:
(a) Within 60 days after acceptance of the trust, the trustee shall give notice

to the qualified beneficiaries of the acceptance of the trust, the full name and
address of the trustee, and that the fiduciary lawyer-client privilege in s.
90.5021 applies with respect to the trustee and any attorney employed by the
trustee.

(b) Within 60 days after the date the trustee acquires knowledge of the
creation of an irrevocable trust, or the date the trustee acquires knowledge
that a formerly revocable trust has become irrevocable, whether by the death
of the settlor or otherwise, the trustee shall give notice to the qualified
beneficiaries of the trusts existence, the identity of the settlor or settlors, the
right to request a copy of the trust instrument, the right to accountings under
this section, and that the fiduciary lawyer-client privilege in s. 90.5021
applies with respect to the trustee and any attorney employed by the trustee.

(c) Upon reasonable request, the trustee shall provide a qualified
beneficiary with a complete copy of the trust instrument.

(d) A trustee of an irrevocable trust shall provide a trust accounting, as set
forth in s. 736.08135, from the date of the last accounting or, if none, from
the date on which the trustee became accountable, to each qualified
beneficiary at least annually and on termination of the trust or on change of
the trustee. Notwithstanding s. 736.0105(2)(s) or the duties under this
paragraph, if a family trust company, licensed family trust company, or
foreign licensed family trust company, as defined in s. 662.111, is a trustee of
an irrevocable trust, the terms of the trust may permit for accounting to the
qualified beneficiaries only at the termination of the trust; upon the removal,
resignation, or other event resulting in a trustee ceasing to serve as a trustee;
or upon demand of a qualified beneficiary or the representative of a qualified
beneficiary. This paragraph may not be construed to prohibit a trustee that is



a family trust company, licensed family trust company, or foreign licensed
family trust company from voluntarily accounting to the qualified
beneficiaries annually or at other times selected by such trustee.

(e) Upon reasonable request, the trustee shall provide a qualified
beneficiary with relevant information about the assets and liabilities of the
trust and the particulars relating to administration.

Paragraphs (a) and (b) do not apply to an irrevocable trust created before
the effective date of this code, or to a revocable trust that becomes
irrevocable before the effective date of this code. Paragraph (a) does not
apply to a trustee who accepts a trusteeship before the effective date of this
code.

(2) A qualified beneficiary may waive the trustees duty to account
under paragraph (1)(d). A qualified beneficiary may withdraw a waiver
previously given. Waivers and withdrawals of prior waivers under this
subsection must be in writing. Withdrawals of prior waivers are effective
only with respect to accountings for future periods.

(3) The representation provisions of part III apply with respect to all
rights of a qualified beneficiary under this section.

(4) As provided in s. 736.0603(1), the trustees duties under this section
extend only to the settlor while a trust is revocable.

(5) This section applies to trust accountings rendered for accounting
periods beginning on or after July 1, 2007.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007; s. 15, ch. 2007-153, eff. July 1, 2007;

s. 11, ch. 2011-183, eff. June 21, 2011; s. 14, ch. 2013-172, eff. Oct. 1, 2013;
s. 8, ch. 2022-96, effective July 1, 2022.

Editors notes.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.08135. 
Fla. Stat.  736.08135

 736.08135. Trust accountings.
(1) A trust accounting must be a reasonably understandable report from

the date of the last accounting or, if none, from the date on which the
trustee became accountable, that adequately discloses the information
required in subsection (2).
(2)(a) The accounting must begin with a statement identifying the trust, the
trustee furnishing the accounting, and the time period covered by the
accounting.
(b) The accounting must show all cash and property transactions and all

significant transactions affecting administration during the accounting period,
including compensation paid to the trustee and the trustees agents. Gains and
losses realized during the accounting period and all receipts and
disbursements must be shown.

(c) To the extent feasible, the accounting must identify and value trust
assets on hand at the close of the accounting period. For each asset or class of
assets reasonably capable of valuation, the accounting shall contain two
values, the asset acquisition value or carrying value and the estimated current
value. The accounting must identify each known noncontingent liability with
an estimated current amount of the liability if known.

(d) To the extent feasible, the accounting must show significant
transactions that do not affect the amount for which the trustee is
accountable, including name changes in investment holdings, adjustments to
carrying value, a change of custodial institutions, and stock splits.

(e) The accounting must reflect the allocation of receipts, disbursements,
accruals, or allowances between income and principal when the allocation
affects the interest of any beneficiary of the trust.

(f) The trustee shall include in the final accounting a plan of distribution
for any undistributed assets shown on the final accounting.

(3) Notwithstanding subsections (1) and (2), if a family trust company,
licensed family trust company, or foreign licensed family trust company,
as defined in s. 662.111, is a trustee of the trust, such trustee may elect, for



any accounting period, to provide the qualified beneficiaries with all of the
following information:
(a) A notice stating that the trustee has made an election to provide the

information described in this subsection.
(b) The information required by paragraph (2)(a) and, if applicable, the

information required by paragraph (2)(f).
(c) A financial statement for the trust which summarizes the information

provided pursuant to paragraphs (2)(b)-(e). The financial statement must
contain sufficient information to put the beneficiary on notice of the trusts
comprehensive assets and liabilities as well as of the transactions occurring
during the accounting period. A financial statement that reports a summary of
the comprehensive assets and liabilities at the beginning and end of the
accounting period and the aggregate amounts of all cash and property
transactions, gains, losses, receipts, expenses, disbursements, distributions,
accruals, or allowances occurring within the accounting period for each
category of assets and liabilities meets the requirements of this paragraph.

For the purposes of this chapter, a financial statement that a trustee
provides to a beneficiary of a trust under this subsection is deemed to be a
trust accounting. Any trustee that makes the election provided in this
subsection shall, upon request of any beneficiary made within the limitations
period under s. 736.1008, make available the detailed information necessary
for preparation of the financial statement to the beneficiary within 30 days
after the date of such request, including providing copies of the requested
information. A request by a beneficiary for the detailed information necessary
for the preparation of the financial statement tolls the running of any
applicable limitations period until the detailed information is made available
to the beneficiary.

(4) Subsections (1) and (2) govern the form and content of all trust
accountings rendered for any accounting periods beginning on or after
January 1, 2003, and all trust accountings rendered on or after July 1, 2018.
The election provided in subsection (3) for trusts for which a family trust
company, licensed family trust company, or foreign licensed family trust
company, as defined in s. 662.111, is a trustee is available for any
accounting periods beginning on or after July 1, 2022. This subsection
does not affect the beginning period from which a trustee is required to



render a trust accounting.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007; s. 6, ch. 2018-35, effective July 1,

2018; s. 9, ch. 2022-96, effective July 1, 2022.

Editors Notes
S. 8 of ch. 2018-35 provides: The changes to ss. 736.08135 and 736.1008,

Florida Statutes, made by this act are intended to clarify existing law, are
remedial in nature, and apply retroactively to all cases pending or
commenced on or after July 1, 2018.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0814. 
Fla. Stat.  736.0814

 736.0814. Discretionary powers; tax savings.
(1) Notwithstanding the breadth of discretion granted to a trustee in the

terms of the trust, including the use of such terms as absolute, sole, or
uncontrolled, the trustee shall exercise a discretionary power in good
faith and in accordance with the terms and purposes of the trust and the
interests of the beneficiaries. A court shall not determine that a trustee
abused its discretion merely because the court would have exercised the
discretion in a different manner or would not have exercised the discretion.

(2) Subject to subsection (3) and unless the terms of the trust expressly
indicate that a rule in this subsection does not apply, a person who is a
beneficiary and a trustee may not:
(a) Make discretionary distributions of either principal or income to or for

the benefit of that trustee, except to provide for that trustees health,
education, maintenance, or support as described under ss. 2041 and 2514 of
the Internal Revenue Code;

(b) Make discretionary allocations of receipts or expenses as between
principal and income, unless the trustee acts in a fiduciary capacity whereby
the trustee has no power to enlarge or shift any beneficial interest except as
an incidental consequence of the discharge of the trustees fiduciary duties;

(c) Make discretionary distributions of either principal or income to satisfy
any of the trustees legal support obligations; or

(d) Exercise any other power, including, but not limited to, the right to
remove or to replace any trustee, so as to cause the powers enumerated in
paragraph (a), paragraph (b), or paragraph (c) to be exercised on behalf of, or
for the benefit of, a beneficiary who is also a trustee.

(3) Subsection (2) does not apply to:
(a) A power held by the settlor of the trust;
(b) A power held by the settlors spouse who is the trustee of a trust for

which a marital deduction, as defined in s. 2056(a) or s. 2523(a) of the
Internal Revenue Code of 1986, as amended, was previously allowed;



(c) Any trust during any period that the trust may be revoked or amended
by its settlor; or

(d) A trust if contributions to the trust qualify for the annual exclusion
under s. 2503(c) of the Internal Revenue Code of 1986, as amended.

(4) A power whose exercise is limited or prohibited by subsection (2)
may be exercised by the remaining trustees whose exercise of the power is
not so limited or prohibited. If there is no trustee qualified to exercise the
power, on petition by any qualified beneficiary, the court may appoint an
independent trustee with authority to exercise the power.

(5) A person who has the right to remove or to replace a trustee does not
possess nor may that person be deemed to possess, by virtue of having that
right, the powers of the trustee that is subject to removal or to replacement.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.

Editors notes.
Sections 2041, 2056(a), 2503(c), 2514, and 2523(a) of the Internal

Revenue Code, referred to in this section, are codified as 26 U.S.C.S. 
2041, 2056(a), 2503(c), 2514, and 2523(a), respectively.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.08145. 
Fla. Stat.  736.08145

 736.08145. Grantor trust reimbursement.
(1)(a) Except as otherwise provided under the terms of a trust, if all or any
portion of the trust is treated as being owned by a person under s. 671 of
the Internal Revenue Code or any similar federal, state, or other tax law,
the trustee may, in the trustees sole discretion, reimburse the person being
treated as the owner for any amount of the persons personal federal, state,
or other income tax liability which is attributable to the inclusion of the
trusts income, capital gains, deductions, or credits in the calculation of the
persons taxable income. In the trustees sole discretion, the trustee may
pay such tax reimbursement amount, determined without regard to any
other distribution or payment made from trust assets, to the person directly
or to the appropriate taxing authority.
(b) A life insurance policy held in the trust, the cash value of any such

policy, or the proceeds of any loan secured by an interest in the policy may
not be used for such reimbursement or such payment if the person is an
insured.

(2) This section applies to all trusts that are governed by the laws of this
state or that have a principal place of administration within this state,
whether created on, before, or after July 1, 2020, unless:
(a) The trustee provides written notification that the trustee intends to

irrevocably elect out of the application of this section, at least 60 days before
the effective date of such election, to the person treated as the owner of all or
a portion of the trust under s. 671 of the Internal Revenue Code or any similar
federal, state, or other tax law and to all persons who have the ability to
remove and replace the trustee.

(b) Applying this section would prevent a contribution to the trust from
qualifying for, or would reduce, a federal tax benefit, including a federal tax
exclusion or deduction, which was originally claimed or could have been
claimed for the contribution, including:

1. An exclusion under s. 2503(b) or s. 2503(c) of the Internal Revenue
Code;



2. A marital deduction under s. 2056, s. 2056A, or s. 2523 of the Internal
Revenue Code;

3. A charitable deduction under s. 170(a), s. 642(c), s. 2055(a), or s.
2522(a) of the Internal Revenue Code; or

4. Direct skip treatment under s. 2642(c) of the Internal Revenue Code.
(3) A trustee may not exercise, or participate in the exercise of, the

powers granted by this section with respect to any trust if any of the
following applies:
(a) The trustee is treated as the owner of all or part of such trust under s.

671 of the Internal Revenue Code or any similar federal, state, or other tax
law.

(b) The trustee is a beneficiary of such trust.
(c) The trustee is a related or subordinate party, as defined in s. 672(c) of

the Internal Revenue Code, with respect to a person treated as the owner of
all or part of such trust under s. 671 of the Internal Revenue Code or any
similar federal, state, or other tax law or with respect to a beneficiary of such
trust.

(4) If the terms of a trust require the trustee to act at the direction or with
the consent of a trust advisor, a protector, or any other person, or that the
decisions addressed in this section be made directly by a trust advisor, a
protector, or any other person, the powers granted by this section to the
trustee must instead or also be granted, as applicable under the terms of the
trust, to the advisor, protector, or other person subject to the limitations set
forth in subsection (3), which must be applied as if the advisor, protector,
or other person were a trustee.

(5) A person may not be considered a beneficiary of a trust solely by
reason of the application of this section, including for purposes of
determining the elective estate.

History.
S. 1, ch. 2020-70, effective July 1, 2020; s. 10, ch. 2022-96, effective July

1, 2022.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.08147. 
Fla. Stat.  736.08147

 736.08147. Duty to distribute trust income.
If a will or trust instrument granting income to the settlors or testators

spouse for life is silent as to the time of distribution of income and the
frequency of distributions, the trustee shall distribute all net income, as
defined in chapter 738, to the spouse no less frequently than annually. This
provision shall apply to any trust established before, on, or after July 1, 2007,
unless the trust instrument expressly directs or permits net income to be
distributed less frequently than annually.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0815. 
Fla. Stat.  736.0815

 736.0815. General powers of trustee.
(1) A trustee, without authorization by the court, may, except as limited

or restricted by this code, exercise:
(a) Powers conferred by the terms of the trust.
(b) Except as limited by the terms of the trust:
1. All powers over the trust property that an unmarried competent owner

has over individually owned property.
2. Any other powers appropriate to achieve the proper investment,

management, and distribution of the trust property.
3. Any other powers conferred by this code.

(2) The exercise of a power is subject to the fiduciary duties prescribed
by this code.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0816. 
Fla. Stat.  736.0816

 736.0816. Specific powers of trustee.
Except as limited or restricted by this code, a trustee may:

(1) Collect trust property and accept or reject additions to the trust
property from a settlor, including an asset in which the trustee is personally
interested, and hold property in the name of a nominee or in other form
without disclosure of the trust so that title to the property may pass by
delivery but the trustee is liable for any act of the nominee in connection
with the property so held.

(2) Acquire or sell property, for cash or on credit, at public or private
sale.

(3) Acquire an undivided interest in a trust asset, including, but not
limited to, a money market mutual fund, mutual fund, or common trust
fund, in which asset the trustee holds an undivided interest in any trust
capacity, including any money market or other mutual fund from which the
trustee or any affiliate or associate of the trustee is entitled to receive
reasonable compensation for providing necessary services as an investment
adviser, portfolio manager, or servicing agent. A trustee or affiliate or
associate of the trustee may receive compensation for such services in
addition to fees received for administering the trust provided such
compensation is fully disclosed in writing to all qualified beneficiaries. As
used in this subsection, the term mutual fund includes an open-end or
closed-end management investment company or investment trust registered
under the Investment Company Act of 1940, 15 U.S.C. ss. 80a-1 et seq., as
amended.

(4) Exchange, partition, or otherwise change the character of trust
property.

(5) Deposit trust money in an account in a regulated financial service
institution.

(6) Borrow money, with or without security, and mortgage or pledge
trust property for a period within or extending beyond the duration of the
trust and advance money for the protection of the trust.



(7) With respect to an interest in a proprietorship, partnership, limited
liability company, business trust, corporation, or other form of business or
enterprise, continue the business or other enterprise and take any action
that may be taken by shareholders, members, or property owners,
including, but not limited to, merging, dissolving, or otherwise changing
the form of business organization or contributing additional capital.

(8) With respect to stocks or other securities, exercise the rights of an
absolute owner, including, but not limited to, the right to:
(a) Vote, or give proxies to vote, with or without power of substitution, or

enter into or continue a voting trust agreement.
(b) Hold a security in the name of a nominee or in other form without

disclosure of the trust so that title may pass by delivery.
(c) Pay calls, assessments, and other sums chargeable or accruing against

the securities, and sell or exercise stock subscription or conversion rights.
(d) Deposit the securities with a depositary or other regulated financial

service institution.
(9) With respect to an interest in real property, construct, or make

ordinary or extraordinary repairs to, alterations to, or improvements in,
buildings or other structures, demolish improvements, raze existing or
erect new party walls or buildings, subdivide or develop land, dedicate
land to public use or grant public or private easements, and make or vacate
plats and adjust boundaries.

(10) Enter into a lease for any purpose as lessor or lessee, including a
lease or other arrangement for exploration and removal of natural
resources, with or without the option to purchase or renew, for a period
within or extending beyond the duration of the trust.

(11) Grant an option involving a sale, lease, or other disposition of trust
property or acquire an option for the acquisition of property, including an
option exercisable beyond the duration of the trust, and exercise an option
so acquired.

(12) Insure the property of the trust against damage or loss and insure
the trustee, trustees agents, and beneficiaries against liability arising from
the administration of the trust.



(13) Abandon or decline to administer property of no value or of
insufficient value to justify the collection or continued administration of
such property.

(14) Pay or contest any claim, settle a claim by or against the trust, and
release, in whole or in part, a claim belonging to the trust.

(15) Pay taxes, assessments, compensation of the trustee and of
employees and agents of the trust, and other expenses incurred in the
administration of the trust.

(16) Allocate items of income or expense to trust income or principal, as
provided by law.

(17) Exercise elections with respect to federal, state, and local taxes.
(18) Select a mode of payment under any employee benefit or retirement

plan, annuity, or life insurance payable to the trustee, exercise rights under
such plan, annuity, or insurance, including exercise of the right to
indemnification for expenses and against liabilities, and take appropriate
action to collect the proceeds.

(19) Make loans out of trust property, including, but not limited to, loans
to a beneficiary on terms and conditions that are fair and reasonable under
the circumstances, and the trustee has a lien on future distributions for
repayment of those loans.

(20) Employ persons, including, but not limited to, attorneys,
accountants, investment advisers, or agents, even if they are the trustee, an
affiliate of the trustee, or otherwise associated with the trustee, to advise or
assist the trustee in the exercise of any of the trustees powers and pay
reasonable compensation and costs incurred in connection with such
employment from the assets of the trust, subject to s. 736.0802(10) with
respect to attorney fees and costs, and act without independent
investigation on the recommendations of such persons.

(21) Pay an amount distributable to a beneficiary who is under a legal
disability or who the trustee reasonably believes is incapacitated, by paying
the amount directly to the beneficiary or applying the amount for the
beneficiarys benefit, or by:
(a) Paying the amount to the beneficiarys guardian of the property or, if



the beneficiary does not have a guardian of the property, the beneficiarys
guardian of the person;

(b) Paying the amount to the beneficiarys custodian under a Uniform
Transfers to Minors Act or custodial trustee under a Uniform Custodial Trust
Act, and, for that purpose, creating a custodianship or custodial trust;

(c) Paying the amount to an adult relative or other person having legal or
physical care or custody of the beneficiary, to be expended on the
beneficiarys behalf, if the trustee does not know of a guardian of the
property, guardian of the person, custodian, or custodial trustee; or

(d) Managing the amount as a separate fund on the beneficiarys behalf,
subject to the beneficiarys continuing right to withdraw the distribution.

(22) On distribution of trust property or the division or termination of a
trust, make distributions in divided or undivided interests, allocate
particular assets in proportionate or disproportionate shares, value the trust
property for those purposes, and adjust for resulting differences in
valuation.

(23) Prosecute or defend, including appeals, an action, claim, or judicial
proceeding in any jurisdiction to protect trust property or the trustee in the
performance of the trustees duties.

(24) Sign and deliver contracts and other instruments that are useful to
achieve or facilitate the exercise of the trustees powers.

(25) On termination of the trust, exercise the powers appropriate to wind
up the administration of the trust and distribute the trust property to the
persons entitled to the property, subject to the right of the trustee to retain a
reasonable reserve for the payment of debts, expenses, and taxes.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007; s. 4, ch. 2007-153, eff. July 1, 2007;

s. 6, ch. 2016-189, effective July 1, 2016.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.08163. 
Fla. Stat.  736.08163

 736.08163. Powers of trustees relating to environmental or human
health laws or to trust property contaminated with hazardous or
toxic substances; liability.
(1) From the creation of a trust until final distribution of the assets from

the trust, the trustee has, without court authorization, the powers specified
in subsection (2).

(2) Unless otherwise provided in the trust instrument, a trustee has the
power, acting reasonably, to:
(a) Inspect or investigate, or cause to be inspected or investigated, property

held by the trustee, including interests in sole proprietorships, partnerships, or
corporations and any assets owned by any such business entity for the
purpose of determining compliance with an environmental law affecting that
property or to respond to an actual or threatened violation of an
environmental law affecting that property;

(b) Take, on behalf of the trust, any action necessary to prevent, abate, or
otherwise remedy an actual or potential violation of an environmental law
affecting property held by the trustee, before or after initiation of an
enforcement action by a governmental body;

(c) Refuse to accept property in trust if the trustee determines that any
property to be donated or conveyed to the trustee is contaminated with a
hazardous substance or is being used or has been used for an activity directly
or indirectly involving a hazardous substance, which circumstance could
result in liability to the trust or trustee or otherwise impair the value of the
assets to be held;

(d) Settle or compromise at any time any claim against the trust or trustee
that may be asserted by a governmental body or private party that involves
the alleged violation of an environmental law affecting property of any trust
over which the trustee has responsibility;

(e) Disclaim any power granted by any document, law, or rule of law that,
in the sole judgment of the trustee, may cause the trustee to incur personal
liability, or the trust to incur liability, under any environmental law;



(f) Decline to serve as a trustee, or having undertaken to serve as a trustee,
resign at any time, if the trustee believes there is or may be a conflict of
interest in its fiduciary capacity and in its individual capacity because of
potential claims or liabilities that may be asserted against the trustee on
behalf of the trust by reason of the type or condition of the assets held; or

(g) Charge against the income and principal of the trust the cost of any
inspection, investigation, review, abatement, response, cleanup, or remedial
action that this section authorizes the trustee to take and, if the trust
terminates or closes or the trust property is transferred to another trustee, hold
assets sufficient to cover the cost of cleaning up any known environmental
problem.

(3) A trustee is not personally liable to any beneficiary or any other
person for a decrease in value of assets in a trust by reason of the trustees
compliance or efforts to comply with an environmental law, specifically
including any reporting requirement under that law.

(4) A trustee that acquires ownership or control of a vessel or other
property, without having owned, operated, or materially participated in the
management of that vessel or property before assuming ownership or
control as trustee, is not considered an owner or operator for purposes of
liability under chapter 376, chapter 403, or any other environmental law. A
trustee that willfully, knowingly, or recklessly causes or exacerbates a
release or threatened release of a hazardous substance is personally liable
for the cost of the response, to the extent that the release or threatened
release is attributable to the trustees activities. This subsection does not
preclude the filing of claims against the assets that constitute the trust held
by the trustee or the filing of actions against the trustee in its representative
capacity and in any such action, an award or judgment against the trustee
must be satisfied only from the assets of the trust.

(5) The acceptance by the trustee of the property or a failure by the
trustee to inspect or investigate the property does not create any inference
as to whether there is liability under an environmental law with respect to
that property.

(6) For the purposes of this section, the term hazardous substance
means a substance defined as hazardous or toxic, or any contaminant,
pollutant, or constituent thereof, or otherwise regulated, by an



environmental law.
(7) This section does not apply to any trust created under a document

executed before July 1, 1995, unless the trust is amendable and the settlor
amends the trust at any time to incorporate the provisions of this section.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.08165. 
Fla. Stat.  736.08165

 736.08165. Administration pending outcome of contest or other
proceeding.
(1) Pending the outcome of a proceeding filed to determine the validity

of all or part of a trust or the beneficiaries of all or part of a trust, the
trustee shall proceed with the administration of the trust as if no
proceeding had been commenced, except no action may be taken and no
distribution may be made to a beneficiary in contravention of the rights of
those persons who may be affected by the outcome of the proceeding.

(2) Upon motion of a party and after notice to interested persons, a
court, on good cause shown, may make an exception to the prohibition
under subsection (1) and authorize the trustee to act or to distribute trust
assets to a beneficiary subject to any conditions the court, in the courts
discretion, may impose, including the posting of bond by the beneficiary.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. VIII. ,   736.0817. 
Fla. Stat.  736.0817

 736.0817. Distribution on termination.
Upon the occurrence of an event terminating or partially terminating a

trust, the trustee shall proceed expeditiously to distribute the trust property to
the persons entitled to the property, subject to the right of the trustee to retain
a reasonable reserve for the payment of debts, expenses, and taxes. The
provisions of this section are in addition to and are not in derogation of the
rights of a trustee under the common law with respect to final distribution of
a trust.

HISTORY:
S. 8, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IX. 
Fla. Stat. Title XLII, Ch. 736, Pt. IX



PART IX.
TRUST INVESTMENTS.

 Title XLII. ,  Ch. 736. ,  Pt. IX. ,   736.0901. 
Fla. Stat.  736.0901

 736.0901. Applicability of chapter 518.
A trustee shall invest trust property in accordance with chapter 518.

HISTORY:
S. 9, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. IX. ,   736.0902. 
Fla. Stat.  736.0902

 736.0902. Nonapplication of prudent investor rule.
(1) Notwithstanding the provisions of s. 518.11 or s. 736.0804, with

respect to any contract for life insurance acquired or retained on the life of
a qualified person, a trustee has no duty to:
(a) Determine whether the contract of life insurance is or was procured or

effected in compliance with s. 627.404;
(b) Determine whether any contract of life insurance is, or remains, a

proper investment;
(c) Investigate the financial strength of the life insurance company;
(d) Determine whether to exercise any policy option available under the

contract for life insurance;
(e) Diversify any such contract for life insurance or the assets of the trust

with respect to the contract for life insurance; or
(f) Inquire about or investigate the health or financial condition of any

insureds.
(2) For purposes of this section, a qualified person is a person who is

insured or a proposed insured, or the spouse of that person, who has
provided the trustee with the funds used to acquire or pay premiums with
respect to a policy of insurance on the life of that person or the spouse of
that person, or on the lives of that person and the spouse of that person.

(3) The trustee is not liable to the beneficiaries of the trust or any other
person for any loss sustained with respect to a contract for life insurance to
which this section applies.

(4) Unless otherwise provided in the trust instrument, paragraph (1)(a)
applies to any contract for life insurance on the life of a qualified person.

(5) Unless otherwise provided in the trust instrument, paragraphs (1)(b)-
(f) apply if:
(a) The trust instrument, by reference to this section, makes this section

applicable to contracts for life insurance held by the trust; or



(b) The trustee gives notice that this section applies to a contract for life
insurance held by the trust.

1. The notice of the application of this section shall be given to the
qualified beneficiaries and shall contain a copy or restatement of this section.

2. Notice given pursuant to any of the provisions of part III of this chapter
to a person who represents the interests of any of the persons set forth in
subparagraph 1. shall be treated as notice to the person so represented.

3. Notice shall be given in the manner provided in s. 736.0109.
4. If any person notified pursuant to this paragraph delivers a written

objection to the application of this section to the trustee within 30 days after
the date on which the objector received such notice, paragraphs (1)(b)-(f)
shall not apply until the objection is withdrawn.

5. There shall exist a rebuttable presumption that any notice sent by United
States mail is received 3 days after depositing the notice in the United States
mail system with proper postage prepaid.

(6) This section does not apply to any contract for life insurance
purchased from any affiliate of the trustee, or with respect to which the
trustee or any affiliate of the trustee receives any commission unless the
duties have been delegated to another person in accordance with s.
518.112. For purposes of this subsection, an affiliate is any person who
controls, is controlled by, or is under common control with the trustee.

(7) Paragraph (1)(a) does not apply if the trustee applied for or accepted
ownership of a contract of life insurance and the trustee had knowledge
that:
(a) The benefits were not payable to a person specified in s. 627.404 when

the contract of life insurance was issued; or
(b) The contract of life insurance is or was purchased with resources or

guarantees directly or indirectly provided by a person who, at the time of the
inception of such contract, did not have an insurable interest in the insured as
defined by s. 627.404, and, at the time of the inception of such contract, there
is a verbal or written arrangement, agreement, or plan with a third party to
transfer ownership of the policy or policy benefits in a manner that would be
in violation of state law.



(8) A trustee who performs fiduciary or advisory services related to a
policy of life insurance to which subsection (1) applies shall not be
compensated for performing the applicable service to which subsection (1)
applies.

HISTORY:
S. 1, ch. 2010-172, eff. July 1, 2010.



 Title XLII. ,  Ch. 736. ,  Pt. X. 
Fla. Stat. Title XLII, Ch. 736, Pt. X



PART X.
LIABILITY OF TRUSTEE AND RIGHTS OF PERSONS

DEALING WITH TRUSTEE.
 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1001. 

Fla. Stat.  736.1001

 736.1001. Remedies for breach of trust.
(1) A violation by a trustee of a duty the trustee owes to a beneficiary is

a breach of trust.
(2) To remedy a breach of trust that has occurred or may occur, the court

may:
(a) Compel the trustee to perform the trustees duties;
(b) Enjoin the trustee from committing a breach of trust;
(c) Compel the trustee to redress a breach of trust by paying money or

restoring property or by other means;
(d) Order a trustee to account;
(e) Appoint a special fiduciary to take possession of the trust property and

administer the trust;
(f) Suspend the trustee;
(g) Remove the trustee as provided in s. 736.0706;
(h) Reduce or deny compensation to the trustee;

(i) Subject to s. 736.1016, void an act of the trustee, impose a lien
or a constructive trust on trust property, or trace trust property
wrongfully disposed of and recover the property or its proceeds; or

(j) Order any other appropriate relief.
(3) As an illustration of the remedies available to the court and without

limiting the courts discretion as provided in subsection (2), if a breach of
trust results in the favoring of any beneficiary to the detriment of any other
beneficiary or consists of an abuse of the trustees discretion:



(a) To the extent the breach of trust has resulted in no distribution to a
beneficiary or a distribution that is too small, the court may require the trustee
to pay from the trust to the beneficiary an amount the court determines will
restore the beneficiary, in whole or in part, to his or her appropriate position.

(b) To the extent the breach of trust has resulted in a distribution to a
beneficiary that is too large, the court may restore the beneficiaries, the trust,
or both, in whole or in part, to their appropriate positions by requiring the
trustee to withhold an amount from one or more future distributions to the
beneficiary who received the distribution that was too large or by requiring
that beneficiary to return some or all of the distribution to the trust.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007; s. 147, ch. 2007-5, eff. July 1, 2007;

s. 19, ch. 2007-153, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1002. 
Fla. Stat.  736.1002

 736.1002. Damages for breach of trust.
(1) A trustee who commits a breach of trust is liable for the greater of:

(a) The amount required to restore the value of the trust property and trust
distributions to what they would have been if the breach had not occurred,
including lost income, capital gain, or appreciation that would have resulted
from proper administration; or

(b) The profit the trustee made by reason of the breach.
(2) Except as otherwise provided in this subsection, if more than one

person, including a trustee or trustees, is liable to the beneficiaries for a
breach of trust, each liable person is entitled to pro rata contribution from
the other person or persons. A person is not entitled to contribution if the
person committed the breach of trust in bad faith. A person who received a
benefit from the breach of trust is not entitled to contribution from another
person to the extent of the benefit received.

(3) In determining the pro rata shares of liable persons in the entire
liability for a breach of trust:
(a) Their relative degrees of fault shall be the basis for allocation of

liability.
(b) If equity requires, the collective liability of some as a group shall

constitute a single share.
(c) Principles of equity applicable to contribution generally shall apply.

(4) The right of contribution shall be enforced as follows:
(a) Contribution may be enforced by separate action, whether or not

judgment has been entered in an action against two or more liable persons for
the same breach of trust.

(b) When a judgment has been entered in an action against two or more
liable persons for the same breach of trust, contribution may be enforced in
that action by judgment in favor of one judgment defendant against any other
judgment defendants by motion upon notice to all parties to the action.



(c) If there is a judgment for breach of trust against the liable person
seeking contribution, any separate action by that person to enforce
contribution must be commenced within 1 year after the judgment has
become final by lapse of time for appeal or after appellate review.

(d) If there is no judgment for the breach of trust against the liable person
seeking contribution, the persons right of contribution is barred unless the
person has:

1. Discharged by payment the common liability within the period of the
statute of limitations applicable to the beneficiarys right of action against the
liable person and the person has commenced an action for contribution within
1 year after payment, or

2. Agreed, while action is pending against the liable person, to discharge
the common liability and has within 1 year after the agreement paid the
liability and commenced the persons action for contribution.

(5) The beneficiarys recovery of a judgment for breach of trust against
one liable person does not of itself discharge other liable persons from
liability for the breach of trust unless the judgment is satisfied. The
satisfaction of the judgment does not impair any right of contribution.

(6) The judgment of the court in determining the liability of several
defendants to the beneficiary for breach of trust is binding upon such
defendants in determining the right of such defendants to contribution.

(7) Subsection (2) applies to all causes of action for breach of trust
pending on July 1, 2007, under which causes of action the right of
contribution among persons jointly and severally liable is involved and to
all causes of action filed after July 1, 2007.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1003. 
Fla. Stat.  736.1003

 736.1003. Damages in absence of breach.
Absent a breach of trust, a trustee is not liable to a beneficiary for a loss or

depreciation in the value of trust property or for not having made a profit.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1004. 
Fla. Stat.  736.1004

 736.1004. Attorneys fees and costs.
(1)(a) In all actions for breach of fiduciary duty or challenging the exercise
of, or failure to exercise, a trustees powers; and
(b) In proceedings arising under ss. 736.0410-736.0417,
the court shall award taxable costs as in chancery actions, including
attorney fees and guardian ad litem fees.

(2) When awarding taxable costs under this section, including attorney
fees and guardian ad litem fees, the court, in its discretion, may direct
payment from a partys interest, if any, in the trust or enter a judgment that
may be satisfied from other property of the party, or both.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1005. 
Fla. Stat.  736.1005

 736.1005. Attorney fees for services to the trust.
(1) Any attorney who has rendered services to a trust may be awarded

reasonable compensation from the trust. The attorney may apply to the
court for an order awarding attorney fees and, after notice and service on
the trustee and all beneficiaries entitled to an accounting under s.
736.0813, the court shall enter an order on the fee application.

(2) If attorney fees are to be paid from the trust under subsection (1), s.
736.1007(5)(a), or s. 733.106(4)(a), the court, in its discretion, may direct
from what part of the trust the fees shall be paid.
(a) All or any part of the attorney fees to be paid from the trust may be

assessed against one or more persons part of the trust in such proportions as
the court finds to be just and proper.

(b) In the exercise of its discretion, the court may consider the following
factors:

1. The relative impact of an assessment on the estimated value of each
persons part of the trust.

2. The amount of attorney fees to be assessed against a persons part of the
trust.

3. The extent to which a person whose part of the trust is to be assessed,
individually or through counsel, actively participated in the proceeding.

4. The potential benefit or detriment to a persons part of the trust expected
from the outcome of the proceeding.

5. The relative strength or weakness of the merits of the claims, defenses,
or objections, if any, asserted by a person whose part of the trust is to be
assessed.

6. Whether a person whose part of the trust is to be assessed was a
prevailing party with respect to one or more claims, defenses, or objections.

7. Whether a person whose part of the trust is to be assessed unjustly
caused an increase in the amount of attorney fees incurred by the trustee or



another person in connection with the proceeding.
8. Any other relevant fact, circumstance, or equity.
(c) The court may assess a persons part of the trust without finding that

the person engaged in bad faith, wrongdoing, or frivolousness.
(3) Except when a trustees interest may be adverse in a particular

matter, the attorney shall give reasonable notice in writing to the trustee of
the attorneys retention by an interested person and the attorneys
entitlement to fees pursuant to this section. A court may reduce any fee
award for services rendered by the attorney prior to the date of actual
notice to the trustee, if the actual notice date is later than a date of
reasonable notice. In exercising this discretion, the court may exclude
compensation for services rendered after the reasonable notice date but
before the date of actual notice.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007; s. 7, ch. 2015-27, effective July 1,

2015.

Editors notes.
Section 11, ch. 2015-27, provides: The amendments made by this act to

ss. 733.106, 736.1005, and 736.1006, Florida Statutes, apply to proceedings
commenced on or after July 1, 2015. The law in effect before July 1, 2015,
applies to proceedings commenced before that date.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1006. 
Fla. Stat.  736.1006

 736.1006. Costs in trust proceedings.
(1) In all trust proceedings, costs may be awarded as in chancery

actions.
(2) If costs are to be paid from the trust under subsection (1) or s.

733.106(4)(a), the court, in its discretion, may direct from what part of the
trust the costs shall be paid. All or any part of the costs to be paid from the
trust may be assessed against one or more persons part of the trust in such
proportions as the court finds to be just and proper. In the exercise of its
discretion, the court may consider the factors set forth in s. 736.1005(2).

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007; s. 8, ch. 2015-27, effective July 1,

2015.

Editors notes.
Section 11, ch. 2015-27, provides: The amendments made by this act to

ss. 733.106, 736.1005, and 736.1006, Florida Statutes, apply to proceedings
commenced on or after July 1, 2015. The law in effect before July 1, 2015,
applies to proceedings commenced before that date.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1007. 
Fla. Stat.  736.1007

 736.1007. Trustees attorney fees.
(1)(a) Except as provided in paragraph (d), if the trustee of a revocable
trust retains an attorney to render legal services in connection with the
initial administration of the trust, the attorney is entitled to reasonable
compensation for those legal services, payable from the assets of the trust,
subject to s. 736.0802(10), without court order. The trustee and the
attorney may agree to compensation that is determined in a manner or
amount other than the manner or amount provided in this section. The
agreement is not binding on a person who bears the impact of the
compensation unless that person is a party to or otherwise consents to be
bound by the agreement. The agreement may provide that the trustee is not
individually liable for the attorney fees and costs.
(b) An attorney representing a trustee in the initial administration of the

trust who intends to charge a fee based upon the schedule set forth in
subsection (2) shall make the following disclosures in writing to the trustee:

1. There is not a mandatory statutory attorney fee for trust administration.
2. The attorney fee is not required to be based on the size of the trust, and

the presumed reasonable fee provided in subsection (2) may not be
appropriate in all trust administrations.

3. The fee is subject to negotiation between the trustee and the attorney.
4. The selection of the attorney is made at the discretion of the trustee, who

is not required to select the attorney who prepared the trust.
5. The trustee shall be entitled to a summary of ordinary and extraordinary

services rendered for the fees agreed upon at the conclusion of the
representation. The summary shall be provided by counsel and shall consist
of the total hours devoted to the representation or a detailed summary of the
services performed during the representation.

(c) The attorney shall obtain the trustees timely signature acknowledging
the disclosures.

(d) If the attorney does not make the disclosures required by this section,



the attorney may not be paid for legal services without prior court approval of
the fees or the written consent of the trustee and all qualified beneficiaries.

(2) Unless otherwise agreed and subject to subsection (1), compensation
based on the value of the trust assets immediately following the settlors
death and the income earned by the trust during initial administration at the
rate of 75 percent of the schedule provided in s. 733.6171(3)(a)-(h) is
presumed to be reasonable total compensation for ordinary services of all
attorneys employed generally to advise a trustee concerning the trustees
duties in the initial trust administration.

(3) Subject to subsection (1), an attorney who is retained to render only
limited and specifically defined legal services shall be compensated as
provided in the retaining agreement. If the amount or method of
determining compensation is not provided in the agreement, the attorney is
entitled to a reasonable fee, taking into account the factors set forth in
subsection (6).

(4) Ordinary services of the attorney in an initial trust administration
include legal advice and representation concerning the trustees duties
relating to:
(a) Review of the trust instrument and each amendment for legal

sufficiency and interpretation.
(b) Implementation of substitution of the successor trustee.
(c) Persons who must or should be served with required notices and the

method and timing of such service.
(d) The obligation of a successor to require a former trustee to provide an

accounting.
(e) The trustees duty to protect, insure, and manage trust assets and the

trustees liability relating to these duties.
(f) The trustees duty regarding investments imposed by the prudent

investor rule.
(g) The trustees obligation to inform and account to beneficiaries and the

method of satisfaction of such obligations, the liability of the trust and trustee
to the settlors creditors, and the advisability or necessity for probate
proceedings to bar creditors.



(h) Contributions due to the personal representative of the settlors estate
for payment of expenses of administration and obligations of the settlors
estate.

(i) Identifying tax returns required to be filed by the trustee, the
trustees liability for payment of taxes, and the due date of returns.

(j) Filing a nontaxable affidavit, if not filed by a personal representative.
(k) Order of payment of expenses of administration of the trust and order

and priority of abatement of trust distributions.
(l) Distribution of income or principal to beneficiaries or funding of further

trusts provided in the governing instrument.
(m) Preparation of any legal documents required to effect distribution.
(n) Fiduciary duties, avoidance of self-dealing, conflicts of interest, duty of

impartiality, and obligations to beneficiaries.
(o) If there is a conflict of interest between a trustee who is a beneficiary

and other beneficiaries of the trust, advice to the trustee on limitations of
certain authority of the trustee regarding discretionary distributions or
exercise of certain powers and alternatives for appointment of an independent
trustee and appropriate procedures.

(p) Procedures for the trustees discharge from liability for administration
of the trust on termination or resignation.

(5) Subject to subsection (1), in addition to the attorney fees for ordinary
services, the attorney for the trustee shall be allowed further reasonable
compensation for any extraordinary service. What constitutes an
extraordinary service may vary depending on many factors, including the
size and complexity of the trust. Extraordinary services may include, but
are not limited to:
(a) Involvement in a trust contest, trust construction, a proceeding for

determination of beneficiaries, a contested claim, elective share proceedings,
apportionment of estate taxes, or other adversary proceedings or litigation by
or against the trust.

(b) Representation of the trustee in an audit or any proceeding for
adjustment, determination, or collection of any taxes.



(c) Tax advice on postmortem tax planning, including, but not limited to,
disclaimer, renunciation of fiduciary commission, alternate valuation date,
allocation of administrative expenses between tax returns, the QTIP or
reverse QTIP election, allocation of GST exemption, qualification for
Internal Revenue Code ss. 303 and 6166 privileges, deduction of last illness
expenses, distribution planning, asset basis considerations, throwback rules,
handling income or deductions in respect of a decedent, valuation discounts,
special use and other valuation, handling employee benefit or retirement
proceeds, prompt assessment request, or request for release from personal
liability for payment of tax.

(d) Review of an estate tax return and preparation or review of other tax
returns required to be filed by the trustee.

(e) Preparation of decedents federal estate tax return. If this return is
prepared by the attorney, a fee of one-half of 1 percent up to a value of $10
million and one-fourth of 1 percent on the value in excess of $10 million, of
the gross estate as finally determined for federal estate tax purposes, is
presumed to be reasonable compensation for the attorney for this service.
These fees shall include services for routine audit of the return, not beyond
the examining agent level, if required.

(f) Purchase, sale, lease, or encumbrance of real property by the trustee or
involvement in zoning, land use, environmental, or other similar matters.

(g) Legal advice regarding carrying on of decedents business or
conducting other commercial activity by the trustee.

(h) Legal advice regarding claims for damage to the environment or related
procedures.

(i) Legal advice regarding homestead status of trust real property or
proceedings involving the status.

(j) Involvement in fiduciary, employee, or attorney compensation disputes.
(k) Considerations of special valuation of trust assets, including discounts

for blockage, minority interests, lack of marketability, and environmental
liability.

(6) Upon petition of any interested person in a proceeding to review the
compensation paid or to be paid to the attorney for the trustee, the court



may increase or decrease the compensation for ordinary services of the
attorney for the trustee or award compensation for extraordinary services if
the facts and circumstances of the particular administration warrant. In
determining reasonable compensation, the court shall consider all of the
following factors giving such weight to each as the court may determine to
be appropriate:
(a) The promptness, efficiency, and skill with which the initial

administration was handled by the attorney.
(b) The responsibilities assumed by, and potential liabilities of, the

attorney.
(c) The nature and value of the assets that are affected by the decedents

death.
(d) The benefits or detriments resulting to the trust or the trusts

beneficiaries from the attorneys services.
(e) The complexity or simplicity of the administration and the novelty of

issues presented.
(f) The attorneys participation in tax planning for the estate, the trust, and

the trusts beneficiaries and tax return preparation or review and approval.
(g) The nature of the trust assets, the expenses of administration, and the

claims payable by the trust and the compensation paid to other professionals
and fiduciaries.

(h) Any delay in payment of the compensation after the services were
furnished.

(i) Any agreement relating to the attorneys compensation and
whether written disclosures were made to the trustee in a timely
manner under the circumstances pursuant to paragraph (1)(b).

(j) Any other relevant factors.
(7) If a separate written agreement regarding compensation exists

between the attorney and the settlor, the attorney shall furnish a copy to the
trustee prior to commencement of employment and, if employed, shall
promptly file and serve a copy on all interested persons. A separate
agreement or a provision in the trust suggesting or directing the trustee to



retain a specific attorney does not obligate the trustee to employ the
attorney or obligate the attorney to accept the representation but, if the
attorney who is a party to the agreement or who drafted the trust is
employed, the compensation paid shall not exceed the compensation
provided in the agreement.

(8) As used in this section, the term initial trust administration means
administration of a revocable trust during the period that begins with the
death of the settlor and ends on the final distribution of trust assets outright
or to continuing trusts created under the trust agreement but, if an estate
tax return is required, not until after issuance of an estate tax closing letter
or other evidence of termination of the estate tax proceeding. This initial
period is not intended to include continued regular administration of the
trust.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007; s. 7, ch. 2010-122, eff. July 1, 2010;

s. 7, ch. 2016-189, effective July 1, 2016; s. 2, ch. 2021-145, effective
October 1, 2021.

Editors notes.
Sections 303 and 6166 of the Internal Revenue Code, referred to in this

section, are codified as 26 U.S.C.S.  303 and 6166, respectively.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1008. 
Fla. Stat.  736.1008

 736.1008. Limitations on proceedings against trustees.
(1) Except as provided in subsection (2), all claims by a beneficiary

against a trustee for breach of trust are barred as provided in chapter 95 as
to:
(a) All matters adequately disclosed in a trust disclosure document issued

by the trustee or a trust director, with the limitations period beginning on the
date of receipt of adequate disclosure.

(b) All matters not adequately disclosed in a trust disclosure document if
the trustee has issued a final trust accounting and has given written notice to
the beneficiary of the availability of the trust records for examination and that
any claims with respect to matters not adequately disclosed may be barred
unless an action is commenced within the applicable limitations period
provided in chapter 95. The limitations period begins on the date of receipt of
the final trust accounting and notice.

(2) Unless sooner barred by adjudication, consent, or limitations, a
beneficiary is barred from bringing an action against a trustee for breach of
trust with respect to a matter that was adequately disclosed in a trust
disclosure document unless a proceeding to assert the claim is commenced
within 6 months after receipt from the trustee or a trust director of the trust
disclosure document or a limitation notice that applies to that disclosure
document, whichever is received later.

(3) When a trustee has not issued a final trust accounting or has not
given written notice to the beneficiary of the availability of the trust
records for examination and that claims with respect to matters not
adequately disclosed may be barred, a claim against the trustee for breach
of trust based on a matter not adequately disclosed in a trust disclosure
document is barred as provided in chapter 95 and accrues when the
beneficiary has actual knowledge of:
(a) The facts upon which the claim is based, if such actual knowledge is

established by clear and convincing evidence; or
(b) The trustees repudiation of the trust or adverse possession of trust



assets.
Paragraph (a) applies to claims based upon acts or omissions occurring on

or after July 1, 2008. A beneficiarys actual knowledge that he or she has not
received a trust accounting does not cause a claim to accrue against the
trustee for breach of trust based upon the failure to provide a trust accounting
required by s. 736.0813 or former s. 737.303 and does not commence the
running of any period of limitations or laches for such a claim, and paragraph
(a) and chapter 95 do not bar any such claim.

(4) As used in this section, the term:
(a) Limitation notice means a written statement of the trustee or a trust

director that an action by a beneficiary for breach of trust based on any matter
adequately disclosed in a trust disclosure document may be barred unless the
action is commenced within 6 months after receipt of the trust disclosure
document or receipt of a limitation notice that applies to that trust disclosure
document, whichever is later. A limitation notice may but is not required to
be in the following form: An action for breach of trust based on matters
disclosed in a trust accounting or other written report of the trustee or a trust
director may be subject to a 6-month statute of limitations from the receipt of
the trust accounting or other written report. If you have questions, please
consult your attorney.

(b) Trust accounting means an accounting that adequately discloses the
information required by and that substantially complies with the standards set
forth in s. 736.08135.

(c) Trust disclosure document means a trust accounting or any other
written report of the trustee or a trust director. A trust disclosure document
adequately discloses a matter if the document provides sufficient information
so that a beneficiary knows of a claim or reasonably should have inquired
into the existence of a claim with respect to that matter.

(5) For purposes of this section, a limitation notice applies to a trust
disclosure document when the limitation notice is:
(a) Contained as a part of the trust disclosure document or as a part of

another trust disclosure document received within 1 year prior to the receipt
of the latter trust disclosure document;

(b) Accompanied concurrently by the trust disclosure document or by



another trust disclosure document that was received within 1 year prior to the
receipt of the latter trust disclosure document;

(c) Delivered separately within 10 days after the delivery of the trust
disclosure document or of another trust disclosure document that was
received within 1 year prior to the receipt of the latter trust disclosure
document. For purposes of this paragraph, a limitation notice is not delivered
separately if the notice is accompanied by another written communication,
other than a written communication that refers only to the limitation notice;
or

(d) Received more than 10 days after the delivery of the trust disclosure
document, but only if the limitation notice references that trust disclosure
document and:

1. Offers to provide to the beneficiary on request another copy of that trust
disclosure document if the document was received by the beneficiary within
1 year prior to receipt of the limitation notice; or

2. Is accompanied by another copy of that trust disclosure document if the
trust disclosure document was received by the beneficiary 1 year or more
prior to the receipt of the limitation notice.

(6)(a) Notwithstanding subsections (1), (2), and (3), all claims by a
beneficiary against a trustee are barred:
1. Upon the later of:
a. Ten years after the date the trust terminates, the trustee resigns, or the

fiduciary relationship between the trustee and the beneficiary otherwise ends
if the beneficiary had actual knowledge of the existence of the trust and the
beneficiarys status as a beneficiary throughout the 10-year period; or

b. Twenty years after the date of the act or omission of the trustee that is
complained of if the beneficiary had actual knowledge of the existence of the
trust and the beneficiarys status as a beneficiary throughout the 20-year
period; or

2. Forty years after the date the trust terminates, the trustee resigns, or the
fiduciary relationship between the trustee and the beneficiary otherwise ends.

(b) When a beneficiary shows by clear and convincing evidence that a
trustee actively concealed facts supporting a cause of action, any existing



applicable statute of repose shall be extended by 30 years.
(c) For purposes of sub-subparagraph (a)1.b., the failure of the trustee to

take corrective action is not a separate act or omission and does not extend
the period of repose established by this subsection.

(d) This subsection applies to claims based upon acts or omissions
occurring on or after July 1, 2008.

(7) Any claim barred against a trustee or trust director under this section
is also barred against the directors, officers, and employees acting for the
trustee or trust director.

(8) This section applies to trust accountings for accounting periods
beginning on or after July 1, 2007, and to written reports, other than trust
accountings, received by a beneficiary on or after July 1, 2007.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007; s. 5, ch. 2007-153, eff. July 1, 2007;

s. 3, ch. 2008-76, eff. July 1, 2008; s. 7, ch. 2018-35, effective July 1, 2018;
s. 9, ch. 2021-183, effective July 1, 2021; s. 57, ch. 2022-4, effective May 13,
2022.

Editors Notes
S. 8 of ch. 2018-35 provides: The changes to ss. 736.08135 and 736.1008,

Florida Statutes, made by this act are intended to clarify existing law, are
remedial in nature, and apply retroactively to all cases pending or
commenced on or after July 1, 2018.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1009. 
Fla. Stat.  736.1009

 736.1009. Reliance on trust instrument.
A trustee who acts in reasonable reliance on the terms of the trust as

expressed in the trust instrument is not liable to a beneficiary for a breach of
trust to the extent the breach resulted from the reliance.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1010. 
Fla. Stat.  736.1010

 736.1010. Event affecting administration or distribution.
If the happening of an event, including marriage, divorce, performance of

educational requirements, or death, affects the administration or distribution
of a trust, a trustee who has exercised reasonable care to ascertain the
happening of the event is not liable for a loss resulting from the trustees lack
of knowledge.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1011. 
Fla. Stat.  736.1011

 736.1011. Exculpation of trustee.
(1) A term of a trust relieving a trustee of liability for breach of trust is

unenforceable to the extent that the term:
(a) Relieves the trustee of liability for breach of trust committed in bad

faith or with reckless indifference to the purposes of the trust or the interests
of the beneficiaries; or

(b) Was inserted into the trust instrument as the result of an abuse by the
trustee of a fiduciary or confidential relationship with the settlor.

(2) An exculpatory term drafted or caused to be drafted by the trustee is
invalid as an abuse of a fiduciary or confidential relationship unless:
(a) The trustee proves that the exculpatory term is fair under the

circumstances.
(b) The terms existence and contents were adequately communicated

directly to the settlor or the independent attorney of the settlor. This
paragraph applies only to trusts created on or after July 1, 2007.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007; s. 6, ch. 2007-153, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1012. 
Fla. Stat.  736.1012

 736.1012. Beneficiarys consent, release, or ratification.
A trustee is not liable to a beneficiary for breach of trust if the beneficiary

consented to the conduct constituting the breach, released the trustee from
liability for the breach, or ratified the transaction constituting the breach,
unless:

(1) The consent, release, or ratification of the beneficiary was induced
by improper conduct of the trustee; or

(2) At the time of the consent, release, or ratification, the beneficiary did
not know of the beneficiarys rights or of the material facts relating to the
breach.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1013. 
Fla. Stat.  736.1013

 736.1013. Limitation on personal liability of trustee.
(1) Except as otherwise provided in the contract, a trustee is not

personally liable on a contract properly entered into in the trustees
fiduciary capacity in the course of administering the trust if the trustee in
the contract disclosed the fiduciary capacity.

(2) A trustee is personally liable for torts committed in the course of
administering a trust or for obligations arising from ownership or control
of trust property only if the trustee is personally at fault.

(3) A claim based on a contract entered into by a trustee in the trustees
fiduciary capacity, on an obligation arising from ownership or control of
trust property, or on a tort committed in the course of administering a trust
may be asserted in a judicial proceeding against the trustee in the trustees
fiduciary capacity, whether or not the trustee is personally liable for the
claim.

(4) Issues of liability between the trust estate and the trustee individually
may be determined in a proceeding for accounting, surcharge, or
indemnification or in any other appropriate proceeding.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1014. 
Fla. Stat.  736.1014

 736.1014. Limitations on actions against certain trusts.
(1) After the death of a settlor, no creditor of the settlor may bring,

maintain, or continue any direct action against a trust described in s.
733.707(3), the trustee of the trust, or any beneficiary of the trust that is
dependent on the individual liability of the settlor. Such claims and causes
of action against the settlor shall be presented and enforced against the
settlors estate as provided in part VII of chapter 733, and the personal
representative of the settlors estate may obtain payment from the trustee
of a trust described in s. 733.707(3) as provided in ss. 733.607(2),
733.707(3), and 736.05053.

(2) This section does not preclude a direct action against a trust
described in s. 733.707(3), the trustee of the trust, or a beneficiary of the
trust that is not dependent on the individual liability of the settlor.

(3) This section does not affect the lien of any duly recorded mortgage
or security interest or the lien of any person in possession of personal
property or the right to foreclose and enforce the mortgage or lien.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1015. 
Fla. Stat.  736.1015

 736.1015. Interest as general partner.
(1) Unless personal liability is imposed in the contract, a trustee who

holds an interest as a general partner in a general or limited partnership is
not personally liable on a contract entered into by the partnership after the
trusts acquisition of the interest if the fiduciary capacity was disclosed in
the contract or in a statement previously filed pursuant to a Uniform
Partnership Act or Uniform Limited Partnership Act.

(2) A trustee who holds an interest as a general partner is not personally
liable for torts committed by the partnership or for obligations arising from
ownership or control of the interest unless the trustee is personally at fault.

(3) If the trustee of a revocable trust holds an interest as a general
partner, the settlor is personally liable for contracts and other obligations of
the partnership as if the settlor were a general partner.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1016. 
Fla. Stat.  736.1016

 736.1016. Protection of person dealing with trustee.
(1) A person other than a beneficiary who in good faith assists a trustee

or who in good faith and for value deals with a trustee, without knowledge
that the trustee is exceeding or improperly exercising the trustees powers,
is protected from liability as if the trustee properly exercised the power.

(2) A person other than a beneficiary who in good faith deals with a
trustee is not required to inquire into the extent of the trustees powers or
the propriety of their exercise.

(3) A person who in good faith delivers assets to a trustee need not
ensure their proper application.

(4) A person other than a beneficiary who in good faith assists a former
trustee or who in good faith and for value deals with a former trustee,
without knowledge that the trusteeship has terminated, is protected from
liability as if the former trustee were still a trustee.

(5) Comparable protective provisions of other laws relating to
commercial transactions or transfer of securities by fiduciaries prevail over
the protection provided by this section.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1017. 
Fla. Stat.  736.1017

 736.1017. Certification of trust.
(1) Instead of furnishing a copy of the trust instrument to a person other

than a beneficiary, the trustee may furnish to the person a certification of
trust containing the following information:
(a) The trust exists and the date the trust instrument was executed.
(b) The identity of the settlor.
(c) The identity and address of the currently acting trustee.
(d) The powers of the trustee.
(e) Whether the trust contains any powers of direction, and if so, the

identity of the current trust directors, the trustee powers subject to a power of
direction, and whether the trust directors have directed or authorized the
trustee to engage in the proposed transaction for which the certification of
trust was issued.

(f) The revocability or irrevocability of the trust and the identity of any
person holding a power to revoke the trust.

(g) The authority of cotrustees to sign or otherwise authenticate and
whether all or less than all are required in order to exercise powers of the
trustee.

(h) The manner of taking title to trust property.
(2) A certification of trust may be signed or otherwise authenticated by

any trustee.
(3) A certification of trust must state that the trust has not been revoked,

modified, or amended in any manner that would cause the representations
contained in the certification of trust to be incorrect.

(4) A certification of trust need not contain the dispositive terms of a
trust.

(5) A recipient of a certification of trust may require the trustee to
furnish copies of any excerpts from the original trust instrument and later
amendments that designate the trustee and confer upon the trustee the



power to act in the pending transaction.
(6) A person who acts in reliance on a certification of trust without

knowledge that the representations contained in the certification are
incorrect is not liable to any person for so acting and may assume without
inquiry the existence of the facts contained in the certification. Knowledge
of the terms of the trust may not be inferred solely from the fact that a copy
of all or part of the trust instrument is held by the person relying on the
certification.

(7) A person who in good faith enters into a transaction in reliance on a
certification of trust may enforce the transaction against the trust property
as if the representations contained in the certification were correct.

(8) This section does not limit the right of a person to obtain a copy of
the trust instrument when required to be furnished by law or in a judicial
proceeding concerning the trust.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007; s. 10, ch. 2021-183, effective July 1,

2021.



 Title XLII. ,  Ch. 736. ,  Pt. X. ,   736.1018. 
Fla. Stat.  736.1018

 736.1018. Improper distribution or payment; liability of distributee.
Any person who received a distribution or was paid improperly from a

trust shall return the assets or funds received and the income from those
assets or interest on the funds from the date of distribution or payment unless
the distribution or payment cannot be questioned because of adjudication,
estoppel, or limitations. If the person does not have the assets or funds, the
value of the assets or funds at the date of disposition, income from the assets
or funds, and gain received by the person from the assets or funds shall be
returned.

HISTORY:
S. 10, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XI. 
Fla. Stat. Title XLII, Ch. 736, Pt. XI



PART XI.
RULES OF CONSTRUCTION.

 Title XLII. ,  Ch. 736. ,  Pt. XI. ,   736.1101. 
Fla. Stat.  736.1101

 736.1101. Rules of construction; general provisions.
Except as provided in s. 736.0105(2):

(1) The intent of the settlor as expressed in the terms of the trust controls
the legal effect of the dispositions made in the trust.

(2) The rules of construction as expressed in this part shall apply unless
a contrary intent is indicated by the terms of the trust.

HISTORY:
S. 11, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XI. ,   736.1102. 
Fla. Stat.  736.1102

 736.1102. Construction of terms.
The laws used to determine paternity and relationships for the purposes of

intestate succession apply when determining whether class gift terminology
and terms of relationship include adopted persons and persons born out of
wedlock.

HISTORY:
S. 11, ch. 2006-217, eff. July 1, 2007; s. 17, ch. 2010-132, eff. Oct. 1,

2010.



 Title XLII. ,  Ch. 736. ,  Pt. XI. ,   736.1103. 
Fla. Stat.  736.1103

 736.1103. Gifts to multigeneration classes to be per stirpes.
Class gifts to descendants, issue, and other multigeneration classes shall be

per stirpes.

HISTORY:
S. 11, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XI. ,  736.1104. 
Fla. Stat.  736.1104

736.1104. Person not entitled to receive property or other benefits by
reason of victims death.
(1) A beneficiary of a trust who unlawfully and intentionally kills or

unlawfully and intentionally participates in procuring the death of the
settlor or another person on whose death such beneficiarys interest
depends, is not entitled to any trust interest, including homestead,
dependent on the victims death, and such interest shall devolve as though
the killer had predeceased the victim.

(2) A final judgment of conviction of murder in any degree is conclusive
for the purposes of this section. In the absence of a murder conviction in
any degree, the court may determine by the greater weight of the evidence
whether the killing was unlawful and intentional for purposes of this
section.

(3) A beneficiary of a trust who was convicted in any state or foreign
jurisdiction of abuse, neglect, exploitation, or aggravated manslaughter of
an elderly person or a disabled adult, as those terms are defined in s.
825.101, for conduct against a settlor or another person on whose death
such beneficiarys interest depends is not entitled to any trust interest,
including a homestead dependent on the victims death, and such interest
shall devolve as though the abuser, neglector, exploiter, or killer had
predeceased the victim.
(a) A final judgment of conviction for abuse, neglect, exploitation, or

aggravated manslaughter of the decedent or other person creates a rebuttable
presumption that this section applies.

(b) In the absence of a qualifying conviction, the court may determine by
the greater weight of the evidence whether the decedents or other persons
death was caused by or contributed to by the abusers, neglectors,
exploiters, or killers conduct as defined in s. 825.102, s. 825.103, or s.
782.07(2) for purposes of this section.

(c) This subsection does not apply if it can be proven by clear and
convincing evidence that, after the conviction of abuse, neglect, or
exploitation, the victim of the offense, if capacitated, ratifies an intent that the



person so convicted of abuse, neglect, or exploitation retain a trust interest by
executing a valid written instrument, sworn to and witnessed by two persons
who would be competent as witnesses to a will, which expresses a specific
intent to allow the convicted person to retain a trust interest.

HISTORY:
S. 11, ch. 2006-217, eff. July 1, 2007; s. 4, ch. 2021-221, effective July 1,

2021.



 Title XLII. ,  Ch. 736. ,  Pt. XI. ,   736.1105. 
Fla. Stat.  736.1105

 736.1105. Effect of subsequent marriage, birth, adoption, or dissolution
of marriage.
(1) Neither subsequent marriage, birth, nor adoption of descendants shall

revoke the revocable trust of any person.
(2) Any provision of a revocable trust that affects the settlors spouse is

void upon dissolution of the marriage of the settlor and the spouse, whether
the marriage occurred before or after the execution of such revocable trust.
Upon dissolution of marriage, the revocable trust shall be construed as if
the spouse had died at the time of the dissolution of marriage.
(a) Dissolution of marriage occurs at the time the decedents marriage is

judicially dissolved or declared invalid by court order.
(b) This subsection does not invalidate a provision of a revocable trust:
1. Executed by the settlor after the dissolution of the marriage;
2. If there is a specific intention to the contrary stated in the revocable

trust; or
3. If the dissolution of marriage judgment expressly provides otherwise.

(3) This section applies to revocable trusts of decedents who die on or
after June 29, 2021.

HISTORY:
S. 11, ch. 2006-217, eff. July 1, 2007; s. 11, ch. 2021-183, effective June

29, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XI. ,   736.1106. 
Fla. Stat.  736.1106

 736.1106. Antilapse; survivorship with respect to future interests under
terms of inter vivos and testamentary trusts; substitute takers.
(1) As used in this section, the term:

(a) Beneficiary means the beneficiary of a future interest and includes a
class member if the future interest is in the form of a class gift.

(b) Distribution date, with respect to a future interest, means the time
when the future interest is to take effect. The distribution date need not occur
at the beginning or end of a calendar day, but can occur at a time during the
course of a day. The distribution date refers to the time that the right to
possession or enjoyment arises and is not necessarily the time that any benefit
of the right is realized.

(c) Future interest includes an alternative future interest and a future
interest in the form of a class gift.

(d) Future interest under the terms of a trust means a future interest
created by an inter vivos or testamentary transfer to an existing trust or
creating a trust or by an exercise of a power of appointment to an existing
trust directing the continuance of an existing trust, designating a beneficiary
of an existing trust, or creating a trust.

(e) Surviving beneficiary or surviving descendant means a beneficiary
or a descendant who did not predecease the distribution date or is not deemed
to have predeceased the distribution date by operation of law.

(2) A future interest under the terms of a trust is contingent upon the
beneficiary surviving the distribution date. Unless a contrary intent appears
in the trust instrument, if a beneficiary of a future interest under the terms
of a trust fails to survive the distribution date, and the deceased beneficiary
leaves surviving descendants, a substitute gift is created in the
beneficiarys surviving descendants. They take per stirpes the property to
which the beneficiary would have been entitled if the beneficiary had
survived the distribution date.

(3) In the application of this section:



(a) Words of survivorship attached to a future interest are a sufficient
indication of an intent contrary to the application of this section.

(b) A residuary clause in a will is not a sufficient indication of an intent
contrary to the application of this section, whether or not the will specifically
provides that lapsed or failed devises are to pass under the residuary clause.

(4) If, after the application of subsections (2) and (3), there is no
surviving taker, the property passes in the following order:
(a) If the future interest was created by the exercise of a power of

appointment, the property passes under the donors gift-in-default clause, if
any, which clause is treated as creating a future interest under the terms of a
trust.

(b) If no taker is produced by the application of paragraph (a) and the trust
was created in a nonresiduary devise or appointment in the transferors will,
the property passes under the residuary clause in the transferors will. For
purposes of this section, the residuary clause is treated as creating a future
interest under the terms of a trust.

(c) If no taker is produced by the application of paragraph (a) or paragraph
(b), the property passes to those persons, including the state, and in such
shares as would succeed to the transferors intestate estate under the intestate
succession law of the transferors domicile if the transferor died when the
disposition is to take effect in possession or enjoyment.

For purposes of paragraphs (b) and (c), the term transferor with respect
to a future interest created by the exercise of a power of appointment,
means the donor if the power was a nongeneral power and the donee if the
power was a general power.

(5) Unless a contrary intent appears in the trust instrument, subsections
(2)-(4) do not apply to an outright devise that vests upon the death of the
settlor unless the beneficiary is a grandparent, or a lineal descendant of a
grandparent, of the settlor or testator and the beneficiary:
(a) Is dead at the time of the execution of the revocable trust or will;
(b) Fails to survive the settlor or testator; or
(c) Is required by the inter vivos trust or by operation of law to be treated

as having predeceased the settlor or testator.



A devise in a revocable trust or a testamentary trust that is to take effect at
the death of the settlor or testator does not vest until the death of the settlor
or testator.

(6) Subsections (1)-(4) apply to all trusts other than trusts that were
irrevocable before the effective date of this code. Sections 732.603,
732.604, and 737.6035, as they exist on June 30, 2007, continue to apply to
other trusts executed on or after June 12, 2003. Subsection (5) applies to
those trusts that become irrevocable after June 30, 2014.

HISTORY:
S. 11, ch. 2006-217, eff. July 1, 2007; s. 16, ch. 2007-153, eff. July 1,

2007; s. 7, ch. 2009-117, eff. July 1, 2009; s. 11, ch. 2014-127, effective July
1, 2014.



 Title XLII. ,  Ch. 736. ,  Pt. XI. ,   736.1107. 
Fla. Stat.  736.1107

 736.1107. Change in securities; accessions; nonademption.
A gift of specific securities, rather than their equivalent value, entitles the

beneficiary only to:
(1) As much of the gifted securities of the same issuer held by the trust

estate at the time of the occurrence of the event entitling the beneficiary to
distribution.

(2) Any additional or other securities of the same issuer held by the trust
estate because of action initiated by the issuer, excluding any acquired by
exercise of purchase options.

(3) Securities of another issuer held by the trust estate as a result of a
merger, consolidation, reorganization, or other similar action initiated by
the original issuer.

HISTORY:
S. 11, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XI. ,   736.1108. 
Fla. Stat.  736.1108

 736.1108. Penalty clause for contest.
(1) A provision in a trust instrument purporting to penalize any

interested person for contesting the trust instrument or instituting other
proceedings relating to a trust estate or trust assets is unenforceable.

(2) This section applies to trusts created on or after October 1, 1993. For
purposes of this subsection, a revocable trust shall be treated as created
when the right of revocation terminates.

HISTORY:
S. 11, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XI. ,   736.1109. 
Fla. Stat.  736.1109

 736.1109. Testamentary and revocable trusts; homestead protections.
(1) If a devise of homestead under a trust violates the limitations on the

devise of homestead in s. 4(c), Art. X of the State Constitution, title shall
pass as provided in s. 732.401 at the moment of death.

(2) A power of sale or general direction to pay debts, expenses, and
claims within the trust instrument does not subject an interest in the
protected homestead to the claims of decedents creditors, expenses of
administration, and obligations of the decedents estate as provided in s.
736.05053.

(3) If a trust directs the sale of property that would otherwise qualify as
protected homestead, and the property is not subject to the constitutional
limitations on the devise of homestead under the State Constitution, title
shall remain vested in the trustee and subject to the provisions of the trust.

(4) This section applies only to trusts described in s. 733.707(3) and to
testamentary trusts.

(5) This section is intended to clarify existing law and applies to the
administration of trusts and estates of decedents who die before, on, or
after July 1, 2021.

HISTORY:
S. 12, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XII. 
Fla. Stat. Title XLII, Ch. 736, Pt. XII



PART XII.
CHARITABLE TRUSTS.

 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1201. 
Fla. Stat.  736.1201

 736.1201. Definitions.
As used in this part:

(1) Charitable organization means an organization described in s.
501(c)(3) of the Internal Revenue Code and exempt from tax under s.
501(a) of the Internal Revenue Code.

(2) Delivery of notice means delivery of a written notice required
under this part using any commercial delivery service requiring a signed
receipt or by any form of mail requiring a signed receipt.

(3) Internal Revenue Code means the Internal Revenue Code of 1986,
as amended.

(4) Private foundation trust means a trust, including a trust described
in s. 4947(a)(1) of the Internal Revenue Code, as defined in s. 509(a) of the
Internal Revenue Code.

(5) Split interest trust means a trust for individual and charitable
beneficiaries that is subject to the provisions of s. 4947(a)(2) of the Internal
Revenue Code.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007; s. 6, ch. 2017-155, effective July 1,

2017.

Editors notes.
Sections 501(a), 501(c)(3), 509(a), and 4947 of the Internal Revenue Code,

are codified as 26 U.S.C.S.  501(a), 501(c)(3), 509(a), and 4947,
respectively.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1202. 
Fla. Stat.  736.1202

 736.1202. Application of this part.
Except as otherwise provided in the trust, the provisions of this part apply

to all private foundation trusts and split interest trusts, whether created or
established before or after November 1, 1971, and to all trust assets acquired
by the trustee before or after November 1, 1971.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1203. 
Fla. Stat.  736.1203

 736.1203. Trustee of a private foundation trust or a split interest trust.
Except as provided in s. 736.1205, the trustee of a private foundation trust

or a split interest trust has the duties and powers conferred on the trustee by
this part.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1204. 
Fla. Stat.  736.1204

 736.1204. Powers and duties of trustee of a private foundation trust or
a split interest trust.
(1) In the exercise of a trustees powers, including the powers granted by

this part, a trustee has a duty to act with due regard to the trustees
obligation as a fiduciary, including a duty not to exercise any power in
such a way as to:
(a) Deprive the trust of an otherwise available tax exemption, deduction, or

credit for tax purposes;
(b) Deprive a donor of a trust asset or tax deduction or credit; or
(c) Operate to impose a tax on a donor, trust, or other person.
For purposes of this subsection, the term tax includes, but is not limited

to, any federal, state, or local excise, income, gift, estate, or inheritance tax.
(2) Except as provided in s. 736.1205, a trustee of a private foundation

trust shall make distributions at such time and in such manner as not to
subject the trust to tax under s. 4942 of the Internal Revenue Code.

(3) Except as provided in subsection (4) and in s. 736.1205, a trustee of
a private foundation trust, or a split interest trust to the extent that the split
interest trust is subject to the provisions of s. 4947(a)(2) of the Internal
Revenue Code, in the exercise of the trustees powers shall not:
(a) Engage in any act of self-dealing as defined in s. 4941(d) of the Internal

Revenue Code;
(b) Retain any excess business holdings as defined in s. 4943(c) of the

Internal Revenue Code;
(c) Make any investments in a manner that subjects the foundation to tax

under s. 4944 of the Internal Revenue Code; or
(d) Make any taxable expenditures as defined in s. 4945(d) of the Internal

Revenue Code.
(4) Paragraphs (3)(b) and (c) shall not apply to a split interest trust if:

(a) All the income interest, and none of the remainder interest, of the trust



is devoted solely to one or more of the purposes described in s. 170(c)(2)(B)
of the Internal Revenue Code, and all amounts in the trust for which a
deduction was allowed under s. 170, s. 545(b)(2), s. 556(b)(2), s. 642(c), s.
2055, s. 2106(a)(2), or s. 2522 of the Internal Revenue Code have an
aggregate fair market value of not more than 60 percent of the aggregate fair
market value of all amounts in the trust; or

(b) A deduction was allowed under s. 170, s. 545(b)(2), s. 556(b)(2), s.
642(c), s. 2055, s. 2106(a)(2), or s. 2522 of the Internal Revenue Code for
amounts payable under the terms of the trust to every remainder beneficiary
but not to any income beneficiary.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007; s. 17, ch. 2007-153, eff. July 1,

2007.

Editors notes.
The references to sections of the Internal Revenue Code, referred to in this

section, are codified throughout Title 26 of the U.S.C.S.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1205. 
Fla. Stat.  736.1205

 736.1205. Notice that this part does not apply.
In the case of a power to make distributions, if the trustee determines that

the governing instrument contains provisions that are more restrictive than s.
736.1204(2), or if the trust contains other powers, inconsistent with the
provisions of s. 736.1204(3) that specifically direct acts by the trustee, the
trustee shall notify the Attorney General by delivery of notice when the trust
becomes subject to this part. Section 736.1204 does not apply to any trust for
which notice has been given pursuant to this section unless the trust is
amended to comply with the terms of this part.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007; s. 7, ch. 2017-155, effective July 1,

2017.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1206. 
Fla. Stat.  736.1206

 736.1206. Power to amend trust instrument.
(1) In the case of a trust that is solely for a named charitable

organization or organizations and for which the trustee does not possess
any discretion concerning the distribution of income or principal among
two or more such organizations, the trustee may amend the governing
instrument to comply with the provisions of s. 736.1204(2) with the
consent of the named charitable organization or organizations.

(2) In the case of a charitable trust that is not subject to subsection (1),
the trustee may amend the governing instrument to comply with s.
736.1204(2) after delivery of notice to, and with the consent of, the
Attorney General.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007; s. 8, ch. 2017-155, effective July 1,

2017.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1207. 
Fla. Stat.  736.1207

 736.1207. Power of court to permit deviation.
This part does not affect the power of a court to relieve a trustee from any

restrictions on the powers and duties that are placed on the trustee by the
governing instrument or applicable law for cause shown and on complaint of
the trustee, the Attorney General, or an affected beneficiary and notice to the
affected parties.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007; s. 9, ch. 2017-155, effective July 1,

2017.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1208. 
Fla. Stat.  736.1208

 736.1208. Release; property and persons affected; manner of effecting.
(1) The trustee of a trust, all of the unexpired interests in which are

devoted to one or more charitable purposes, may release a power to select
charitable donees unless the creating instrument provides otherwise.

(2) The release of a power to select charitable donees may apply to all or
any part of the property subject to the power and may reduce or limit the
charitable organizations, or classes of charitable organizations, in whose
favor the power is exercisable.

(3) A release shall be effected by a duly acknowledged written
instrument signed by the trustee and delivered as provided in subsection
(4).

(4) Delivery of a release shall be accomplished as follows:
(a) If the release is accomplished by specifying a charitable organization or

organizations as beneficiary or beneficiaries of the trust, by delivery of a
copy of the release to each designated charitable organization.

(b) If the release is accomplished by reducing the class of permissible
charitable organizations, by delivery of notice of the release to the Attorney
General, including a copy of the release.

(5) If a release is accomplished by specifying a public charitable
organization or organizations as beneficiary or beneficiaries of the trust,
the trust at all times thereafter shall be operated exclusively for the benefit
of, and be supervised by, the specified public charitable organization or
organizations.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007; s. 10, ch. 2017-155, effective July 1,

2017.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1209. 
Fla. Stat.  736.1209

 736.1209. Election to come under this part.
With the consent of that organization or organizations, a trustee of a trust

for the benefit of a public charitable organization or organizations may come
under s. 736.1208(5) by delivery of notice to the Attorney General of the
election, accompanied by the proof of required consent. Thereafter the trust
shall be subject to s. 736.1208(5).

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007; s. 148, ch. 2007-5, eff. July 1, 2007;

s. 18, ch. 2007-153, eff. July 1, 2007; s. 11, ch. 2017-155, effective July 1,
2017.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1210. 
Fla. Stat.  736.1210

 736.1210. Interpretation.
This part shall be interpreted to effectuate the intent of the state to

preserve, foster, and encourage gifts to, or for the benefit of, charitable
organizations.

HISTORY:
S. 12, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XII. ,   736.1211. 
Fla. Stat.  736.1211

 736.1211. Protections afforded to certain charitable trusts and
organizations.
(1) A charitable organization, private foundation trust, split interest trust,

or a private foundation as defined in s. 509(a) of the Internal Revenue
Code may not be required by a state agency or a local government to
disclose the race, religion, gender, national origin, socioeconomic status,
age, ethnicity, disability, marital status, sexual orientation, or political
party registration of its employees, officers, directors, trustees, members,
or owners, without the prior written consent of the individual or
individuals in question.

(2) A private foundation as defined in s. 509(a) of the Internal Revenue
Code, a private foundation trust, a split interest trust, or a grant-making
organization may not be required by the state or any local government to
disclose the race, religion, gender, national origin, socioeconomic status,
age, ethnicity, disability, marital status, sexual orientation, or political
party registration of any person, or of the employees, officers, directors,
trustees, members, or owners of any entity that has received monetary or
in-kind contributions from or contracted with the organization, trust, or
foundation, without the prior written consent of the individual or
individuals in question. For purposes of this subsection, a grant-making
organization is an organization that makes grants to charitable
organizations but is not a private foundation, private foundation trust, or
split interest trust.

(3) A state agency or a local government may not require that the
governing board or officers of a charitable organization, private foundation
trust, split interest trust, or a private foundation as defined in s. 509(a) of
the Internal Revenue Code include an individual or individuals of any
particular race, religion, gender, national origin, socioeconomic status, age,
ethnicity, disability, marital status, sexual orientation, or political party
registration. Further, a state agency or a local government may not prohibit
service as a board member or officer by an individual or individuals based
upon their familial relationship to each other or to a donor or require that
the governing board or officers include one or more individuals who do not



share a familial relationship with each other or with a donor.
(4) A charitable organization, private foundation trust, split interest trust,

or any private foundation as defined in s. 509(a) of the Internal Revenue
Code may not be required by a state agency or a local government to
distribute its funds to or contract with any person or entity based upon the
race, religion, gender, national origin, socioeconomic status, age, ethnicity,
disability, marital status, sexual orientation, or political party registration
of the person or of the employees, officers, directors, trustees, members, or
owners of the entity, or based upon the populations, locales, or
communities served by the person or entity, except as a lawful condition
on the expenditure of particular funds imposed by the donor of such funds.

HISTORY:
S. 8, ch. 2010-122, eff. July 1, 2010.

Editors notes.
Section 9, ch. 2010-122 provides: Section 8 of this act does not invalidate

contracts in effect before the effective date of this act.
Section 509(a) of the Internal Revenue Code, referred to in this section, is

codified as 26 U.S.C.S.  509(a).



 Title XLII. ,  Ch. 736. ,  Pt. XIII. 
Fla. Stat. Title XLII, Ch. 736, Pt. XIII



PART XIII.
MISCELLANEOUS.

 Title XLII. ,  Ch. 736. ,  Pt. XIII. ,   736.1301. 
Fla. Stat.  736.1301

 736.1301. Electronic records and signatures.
Any provisions of this code governing the legal effect, validity, or

enforceability of electronic records or electronic signatures, and of contracts
formed or performed with the use of such records or signatures, are deemed
to conform to the requirements of s. 102 of the Electronic Signatures in
Global and National Commerce Act, 15 U.S.C. s. 7002, and supersede,
modify, and limit the requirements of the Electronic Signatures in Global and
National Commerce Act.

HISTORY:
S. 13, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XIII. ,   736.1302. 
Fla. Stat.  736.1302

 736.1302. Severability clause.
If any provision of this code or its application to any person or

circumstances is held invalid, the invalidity does not affect other provisions
or applications of this code that can be given effect without the invalid
provision or application, and to this end the provisions of this code are
severable.

HISTORY:
S. 13, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XIII. ,   736.1303. 
Fla. Stat.  736.1303

 736.1303. Application to existing relationships.
(1) Except as otherwise provided in this code, on July 1, 2007:

(a) This code applies to all trusts created before, on, or after such date.
(b) This code applies to all judicial proceedings concerning trusts

commenced on or after such date.
(c) This code applies to judicial proceedings concerning trusts commenced

before such date, unless the court finds that application of a particular
provision of this code would substantially interfere with the effective conduct
of the judicial proceedings or prejudice the rights of the parties, in which case
the particular provision of this code does not apply and the superseded law
applies.

(d) Any rule of construction or presumption provided in this code applies
to trust instruments executed before the effective date of this code unless
there is a clear indication of a contrary intent in the terms of the trust.

(e) An act done before such date is not affected by this code.
(2) If a right is acquired, extinguished, or barred on the expiration of a

prescribed period that has commenced to run under any other law before
July 1, 2007, that law continues to apply to the right even if it has been
repealed or superseded.

HISTORY:
S. 13, ch. 2006-217, eff. July 1, 2007.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. 
Fla. Stat. Title XLII, Ch. 736, Pt. XIV



PART XIV. FLORIDA UNIFORM DIRECTED TRUST ACT.

HISTORY:
S. 13, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1401. 
Fla. Stat.  736.1401

 736.1401. Short title.
This part may be cited as the Florida Uniform Directed Trust Act.

HISTORY:
S. 14, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1403. 
Fla. Stat.  736.1403

 736.1403. Application; principal place of administration.
(1) This part applies to a trust subject to this chapter, whenever created,

that has its principal place of administration in the state, subject to the
following rules:
(a) If the trust was created before July 1, 2021, this part applies only to a

decision or action occurring on or after July 1, 2021.
(b) If the principal place of administration of the trust is changed to the

state on or after July 1, 2021, this part applies only to a decision or action
occurring on or after the date of the change.

(2) In addition to s. 736.0108, relating to a trusts principal place of
administration, in a directed trust, terms of the trust that designate the
principal place of administration of the trust in the state are valid and
controlling if a trust directors principal place of business is located in or a
trust director is a resident of the state.

HISTORY:
S. 15, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1405. 
Fla. Stat.  736.1405

 736.1405. Exclusions.
(1) As used in this section, the term power of appointment means a

power that enables a person acting in a nonfiduciary capacity to designate
a recipient of an ownership interest in or another power of appointment
over trust property.

(2) Unless the terms of a trust expressly provide otherwise by specific
reference to this part, section, or paragraph, this part does not apply to:
(a) A power of appointment;
(b) A power to appoint or remove a trustee or trust director;
(c) A power of a settlor over a trust while the trust is revocable by that

settlor;
(d) A power of a beneficiary over a trust to the extent the exercise or

nonexercise of the power affects the beneficial interest of:
1. The beneficiary; or
2. Another beneficiary represented by the beneficiary under ss. 736.0301-

736.0305 with respect to the exercise or nonexercise of the power;
(e) A power over a trust if the terms of the trust provide that the power is

held in a nonfiduciary capacity; and
1. The power must be held in a nonfiduciary capacity to achieve the

settlors tax objectives under the United States Internal Revenue Code of
1986, as amended, and regulations issued thereunder, as amended; or

2. It is a power to reimburse the settlor for all or a part of the settlors
income tax liabilities attributable to the income of the trust; or

(f) A power to add or to release a power under the trust instrument if the
power subject to addition or release causes the settlor to be treated as the
owner of all or any portion of the trust for federal income tax purposes.

(3) Unless the terms of a trust provide otherwise, a power granted to a
person other than a trustee:



(a) To designate a recipient of an ownership interest in trust property,
including a power to terminate a trust, is a power of appointment and not a
power of direction.

(b) To create, modify, or terminate a power of appointment is a power of
direction and not a power of appointment, except a power to create a power
of appointment that is an element of a broader power to affect an ownership
interest in trust property beyond the mere creation of a power of appointment,
such as a power to appoint trust property in further trust, is a power of
appointment and not a power of direction.

HISTORY:
S. 15, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1406. 
Fla. Stat.  736.1406

 736.1406. Power of trust director.
(1) Subject to s. 736.1407, relating to trust directors being subject to the

same rules as a trustee regarding Social Security Act reimbursement
requirements and charitable trust instruments, the terms of a trust may
grant a power of direction to a trust director.

(2) A power of direction includes only those powers granted by the
terms of the trust.

(3) Unless the terms of a trust provide otherwise:
(a) A trust director may exercise any further power appropriate to the

exercise or nonexercise of a power of direction granted to the trust director
under subsection (1); and

(b) Trust directors with joint powers must act by majority decision.

HISTORY:
S. 17, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1407. 
Fla. Stat.  736.1407

 736.1407. Limitations on trust director.
A trust director is subject to the same rules as a trustee in a like position

and under similar circumstances in the exercise or nonexercise of a power of
direction or further power under s. 736.1406(3)(a), relating to additional
power granted to a trust director in furtherance of an express power of
direction, regarding:

(1) A payback provision in the terms of a trust necessary to comply with
the reimbursement requirements of s. 1917 of the Social Security Act, 42
U.S.C. s. 1396p(d)(4)(A), as amended, and regulations issued thereunder,
as amended.

(2) A charitable interest in the trust, including notice regarding the
interest to the Attorney General.

HISTORY:
S. 18, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1408. 
Fla. Stat.  736.1408

 736.1408. Duty and liability of trust director.
(1) Subject to subsection (2), with respect to a power of direction or

further power under s. 736.1406(3)(a), relating to additional power granted
to a trust director in furtherance of an express power of direction:
(a) A trust director has the same fiduciary duty and liability in the exercise

or nonexercise of the power:
1. If the power is held individually, as a sole trustee in a like position and

under similar circumstances; or
2. If the power is held jointly with a trustee or another trust director, as a

cotrustee in a like position and under similar circumstances.
(b) The terms of the trust may vary the trust directors duty or liability to

the same extent the terms of the trust may vary the duty or liability of a
trustee in a like position and under similar circumstances.

(2) Unless the terms of a trust provide otherwise, if a trust director is
licensed, certified, or otherwise authorized or permitted by law other than
this part to provide health care in the ordinary course of the trust directors
business or practice of a profession, to the extent the trust director acts in
that capacity the trust director has no duty or liability under this part.

(3) The terms of a trust may impose a duty or liability on a trust director
in addition to the duties and liabilities under this section.

HISTORY:
S. 19, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1409. 
Fla. Stat.  736.1409

 736.1409. Duty and liability of directed trustee.
(1) Subject to subsection (2), a directed trustee shall take reasonable

action to comply with a trust directors exercise or nonexercise of a power
of direction or further power under s. 736.1406(3)(a), relating to additional
power granted to a trust director in furtherance of an express power of
direction, and the trustee is not liable for such reasonable action.

(2) A directed trustee may not comply with a trust directors exercise or
nonexercise of a power of direction or further power under s. 736.1406(3)
(a), relating to additional power granted to a trust director in furtherance of
an express power of direction, to the extent that by complying the trustee
would engage in willful misconduct.

(3) Before complying with a trust directors exercise of a power of
direction, the directed trustee shall determine whether or not the exercise is
within the scope of the trust directors power of direction. The exercise of a
power of direction is not outside the scope of a trust directors power of
direction merely because the exercise constitutes or may constitute a
breach of trust.

(4) An exercise of a power of direction under which a trust director may
release a trustee or another trust director from liability for breach of trust is
not effective if:
(a) The breach involved the trustees or other directors willful misconduct;
(b) The release was induced by improper conduct of the trustee or other

director in procuring the release; or
(c) At the time of the release, the trust director did not know the material

facts relating to the breach.
(5) A directed trustee that has reasonable doubt about its duty under this

section may apply to the court for instructions, with attorney fees and costs
to be paid from assets of the trust as provided in this code.

(6) The terms of a trust may impose a duty or liability on a directed
trustee in addition to the duties and liabilities under this part.



HISTORY:
S. 20, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.141. 
Fla. Stat.  736.141

 736.141. Duty to provide information.
(1) Subject to s. 736.1411, relating to limitations on the duties of trustees

or trust directors to monitor, inform, or advise on matters involving the
other, a trustee shall provide information to a trust director to the extent the
information is reasonably related to the powers or duties of the trust
director.

(2) Subject to s. 736.1411, relating to limitations on the duties of trustees
or trust directors to monitor, inform, or advise on matters involving the
other, a trust director shall provide information to a trustee or another trust
director to the extent the information is reasonably related to the powers or
duties of the trustee or other trust director.

(3) A trustee that acts in reliance on information provided by a trust
director is not liable for a breach of trust to the extent the breach resulted
from the reliance, unless by so acting the trustee engages in willful
misconduct.

(4) A trust director that acts in reliance on information provided by a
trustee or another trust director is not liable for a breach of trust to the
extent the breach resulted from the reliance, unless by so acting the trust
director engages in willful misconduct.

(5) A trust director shall provide information within the trust directors
knowledge or control to a qualified beneficiary upon a written request of a
qualified beneficiary to the extent the information is reasonably related to
the powers or duties of the trust director.

HISTORY:
S. 21, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1411. 
Fla. Stat.  736.1411

 736.1411. No duty to monitor, inform, or advise.
(1) Notwithstanding s. 736.1409(1), relating to the duty of a directed

trustee to take reasonable action when directed and to the release of
liability for such action, unless the terms of a trust provide otherwise:
(a) A trustee does not have a duty to:
1. Monitor a trust director; or
2. Inform or give advice to a settlor, beneficiary, trustee, or trust director

concerning an instance in which the trustee might have acted differently from
the trust director.

(b) By taking an action described in paragraph (a), a trustee does not
assume the duty excluded by paragraph (a).

(2) Notwithstanding s. 736.1408(1), relating to the fiduciary duty of a
trust director, unless the terms of a trust provide otherwise:
(a) A trust director does not have a duty to:
1. Monitor a trustee or another trust director; or
2. Inform or give advice to a settlor, beneficiary, trustee, or another trust

director concerning an instance in which the trust director might have acted
differently from a trustee or another trust director.

(b) By taking an action described in paragraph (a), a trust director does not
assume the duty excluded by paragraph (a).

HISTORY:
S. 22, ch. 2021-183, effective July 1, 2021; s. 58, ch. 2022-4, effective

May 13, 2022.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1412. 
Fla. Stat.  736.1412

 736.1412. Application to cotrustee.
(1) The terms of a trust may provide for the appointment of more than

one trustee but confer upon one or more of the trustees, to the exclusion of
the others, the power to direct or prevent specified actions of the trustees.

(2) The excluded trustees shall act in accordance with the exercise of the
power in the manner, and with the same duty and liability, as directed
trustees with respect to a trust directors power of direction under s.
736.1409, relating to the duties and liabilities of a directed trustee; s.
736.141, relating to the duties of a trustee and trust director to provide and
rely on information; and s. 736.1411, relating to limitations on the duties of
trustees or trust directors to monitor, inform, or advise on matters
involving the other.

(3) The trustee or trustees having the power to direct or prevent actions
of the excluded trustees shall be liable to the beneficiaries with respect to
the exercise of the power as if the excluded trustees were not in office and
shall have the exclusive obligation to account to and to defend any action
brought by the beneficiaries with respect to the exercise of the power.

HISTORY:
S. 23, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1413. 
Fla. Stat.  736.1413

 736.1413. Limitation of action against trust director.
(1) An action against a trust director for breach of trust must be

commenced within the same limitation period for an action for breach of
trust against a trustee in a like position and under similar circumstances
under s. 736.1008, relating to limitations on proceedings against trustees.

(2) A trust accounting or any other written report of a trustee or a trust
director has the same effect on the limitation period for an action against a
trust director for breach of trust that such trust accounting or written report
would have under s. 736.1008, relating to limitations on proceedings
against trustees, in an action for breach of trust against a trustee in a like
position and under similar circumstances.

HISTORY:
S. 24, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1414. 
Fla. Stat.  736.1414

 736.1414. Defenses in action against trust director.
In an action against a trust director for breach of trust, the trust director

may assert the same defenses a trustee in a like position and under similar
circumstances could assert in an action for breach of trust against the trustee.

HISTORY:
S. 25, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1415. 
Fla. Stat.  736.1415

 736.1415. Jurisdiction over trust director.
(1) By accepting appointment as a trust director of a trust subject to this

part, the trust director submits to the personal jurisdiction of the courts of
the state regarding any matter related to a power or duty of the trust
director.

(2) This section does not preclude other methods of obtaining
jurisdiction over a trust director.

HISTORY:
S. 26, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XIV. ,   736.1416. 
Fla. Stat.  736.1416

 736.1416. Office of trust director.
(1) Unless the terms of a trust provide otherwise, a trust director shall be

considered a trustee for purposes of the following:
(a) Role of the court in trust proceedings under s. 736.0201.
(b) Proceedings for review of employment of agents and review of

compensation of a trustee and employees of a trust under s. 736.0206.
(c) Representation by the holder of power of appointment under s.

736.0302(4), relating to how trustees with discretionary power to make trust
distributions do not have a power of appointment for purposes of representing
persons affected by such power.

(d) Prohibition on a trustee acting as a designated representative under s.
736.0306(2).

(e) Validation of power to select a beneficiary from an indefinite class
under s. 736.0402(3).

(f) As to allowing application by the trust director for judicial modification
of a trust when such modification is not inconsistent with the settlors
purpose under s. 736.04113, for judicial construction of provisions relating to
federal taxes under s. 736.04114, for judicial modification of a trust when
such modification is in the best interest of the beneficiaries under s.
736.04115, or for judicial modification or termination of an uneconomic trust
under s. 736.0414(2), if the trust director is so authorized by the terms of the
trust.

(g) Discretionary trusts and the effect of a standard under s. 736.0504,
relating to special provisions regarding discretionary trusts.

(h) Trust assets not being subject to creditor claims by reason of
discretionary powers granted to a trustee under s. 736.0505(1)(c).

(i) A trustees duty to pay trust obligations and expenses before
paying obligations and expenses of the settlors estate under s.
736.05053(4).



(j) Acceptance or declination of a trusteeship under s. 736.0701.
(k) Requirement to give bond to secure performance under certain

circumstances and court discretions relating to such bonds under s. 736.0702.
(l) Filling trustee vacancies and court appointment of an additional trustee

or special fiduciary under s. 736.0704.
(m) Resignation of a trustee under s. 736.0705, including requirements,

court authorizations, and remaining liabilities.
(n) Court removal of a trustee, including who may request a removal,

under s. 736.0706, but not to give the trust director the power to request
removal of a trustee.

(o) Reasonable compensation of a trustee or professional acting as a trustee
under s. 736.0708.

(p) Entitlement of a trustee to reimbursement of expenses and liens to
secure advances under s. 736.0709.

(q) Authority to pay costs or attorney fees without approval under s.
736.0802(10), if the trust director has a power of direction or, if the trust
director has a further power to direct, the payment of such costs or attorney
fees under s. 736.1406(2), relating to the explicit power of direction granted
to a trust director, or s. 736.1406(3)(a), relating to the implied additional
power of a director in furtherance of an express power of direction.

(r) Limitations on a trustees discretionary powers under s. 736.0814.
(s) Administration of trusts by trustees without regard to pending contests

or proceedings, except as the court directs, under s. 736.08165.
(t) A trustees obligation to invest in accordance with chapter 518 under s.

736.0901.
(u) The exception to the prudent investor rule for life insurance under s.

736.0902.
(v) Remedies available for a trustee breach of trust under s.

736.1001.
(w) Damages against a trustee for breach of trust under s. 736.1002.

(x) A trustees immunity from liability for loss or no profit under s.



736.1003 if there is no breach of trust.
(y) Court-awarded attorney fees and costs under s. 736.1004 for breach of

trust challenges.
(z) Fees available to a trustees attorney for extraordinary service under s.

736.1007(5), court variance of compensation for a trustees attorney under s.
736.1007(6), and agreements between a settlor and an attorney for fees to be
provided to a trustee under s. 736.1007(7).

(aa) A trustees immunity from liability for a breach of trust under s.
736.1009 if the trustee relied on the trust instrument terms.

(bb) Limitations on a trustees liability for acting without knowledge of
relevant events under s. 736.1010.

(cc) Limitations on a trustees exculpation of liability under the terms of a
trust under s. 736.1011.

(dd) The release of a trustee from liability with consent, the release or
ratification of a beneficiary, and the limitations on such actions under s.
736.1012.

(ee) Limitations on imposing liability on a trustee for obligations of a
settlor under s. 736.1014.

(2) If a person has not accepted a trust directorship under the terms of
the trust or has accepted or declined a trusteeship under s. 736.0701 or a
trustee, settlor, or a qualified beneficiary of the trust is uncertain whether
such acceptance has occurred, a trustee, settlor, or a qualified beneficiary
of the trust may make a written demand on a person designated to serve as
a trust director, with a written copy to the trustees, to accept or confirm
prior acceptance of the trust directorship in writing. A written acceptance,
written acknowledgment of prior acceptance, or written declination of the
trust directorship shall be delivered by the designated trust director within
60 days after receipt of such demand to all trustees, qualified beneficiaries,
and the settlor if living.

HISTORY:
S. 27, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. 
Fla. Stat. Title XLII, Ch. 736, Pt. XV



PART XV. COMMUNITY PROPERTY TRUST ACT.

HISTORY:
S. 28, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1501. 
Fla. Stat.  736.1501

 736.1501. Short title.
This part may be cited as the Community Property Trust Act.

HISTORY:
S. 29, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1502. 
Fla. Stat.  736.1502

 736.1502. Definitions.
Unless the context otherwise requires, as used in this part:

(1) Community property means the property and the appreciation of
and income from the property owned by a qualified trustee of a community
property trust during the marriage of the settlor spouses. The property
owned by a community property trust pursuant to this part and the
appreciation of and income from such property shall be deemed to be
community property for purposes of general law.

(2) Community property trust means an express trust that complies
with s. 736.1503 and is created on or after July 1, 2021.

(3) Decree means a judgment or other order of a court of competent
jurisdiction.

(4) Dissolution means either:
(a) Termination of a marriage by a decree of dissolution, divorce,

annulment, or declaration of invalidity; or
(b) Entry of a decree of legal separation maintenance by a court of

competent jurisdiction in another state that recognizes legal separation or
maintenance under its laws.

(5) During marriage means a period that begins at marriage and ends
upon the dissolution of marriage or upon the death of a spouse.

(6) Qualified trustee means either:
(a) A natural person who is a resident of the state; or
(b) A company authorized to act as a trustee in the state.
A qualified trustees powers include, but are not limited to, maintaining

records for the trust on an exclusive or a nonexclusive basis and preparing or
arranging for the preparation of, on an exclusive or a nonexclusive basis, any
income tax returns that must be filed by the trust.

(7) Settlor spouses means a married couple who establishes a
community property trust pursuant to this part.



HISTORY:
S. 30, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1503. 
Fla. Stat.  736.1503

 736.1503. Requirements for community property trust.
An arrangement is a community property trust if one or both settlor

spouses transfer property to a trust that:
(1) Expressly declares that the trust is a community property trust within

the meaning of this part.
(2) Has at least one trustee who is a qualified trustee, provided that both

spouses or either spouse also may be a trustee.
(3) Is signed by both settlor spouses consistent with the formalities

required for the execution of a trust under this chapter.
(4) Contains substantially the following language in capital letters at the

beginning of the community property trust agreement:

THE CONSEQUENCES OF THIS COMMUNITY PROPERTY TRUST
MAY BE VERY EXTENSIVE, INCLUDING, BUT NOT LIMITED TO,
YOUR RIGHTS WITH RESPECT TO CREDITORS AND OTHER THIRD
PARTIES, AND YOUR RIGHTS WITH YOUR SPOUSE DURING THE
COURSE OF YOUR MARRIAGE, AT THE TIME OF A DIVORCE, AND
UPON THE DEATH OF YOU OR YOUR SPOUSE. ACCORDINGLY,
THIS TRUST AGREEMENT SHOULD BE SIGNED ONLY AFTER
CAREFUL CONSIDERATION. IF YOU HAVE ANY QUESTIONS
ABOUT THIS TRUST AGREEMENT, YOU SHOULD SEEK
COMPETENT AND INDEPENDENT LEGAL ADVICE. ALTHOUGH
NOT A REQUIREMENT, IT IS STRONGLY ADVISABLE THAT EACH
SPOUSE OBTAIN THEIR OWN SEPARATE LEGAL COUNSEL PRIOR
TO THE EXECUTION OF THIS TRUST.

HISTORY:
S. 31, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1504. 
Fla. Stat.  736.1504

 736.1504. Agreement establishing community property trust;
amendments and revocation.
(1) In the agreement establishing a community property trust, the settlor

spouses may agree upon:
(a) The rights and obligations in the property transferred to the trust,

notwithstanding when and where the property is acquired or located.
(b) The management and control of the property transferred into the trust.
(c) The disposition of the property transferred to the trust on dissolution,

death, or the occurrence or nonoccurrence of another event, subject to ss.
736.1507 and 736.1508.

(d) Whether the trust is revocable or irrevocable.
(e) Any other matter that affects the property transferred to the trust and

does not violate public policy or general law imposing a criminal penalty, or
result in the property not being treated as community property under the laws
of a relevant jurisdiction.

(2) In the event of the death of a settlor spouse, the surviving spouse
may amend a community property trust regarding the disposition of that
spouses one-half share of the community property, regardless of whether
the agreement provides that the community property trust is irrevocable.

(3) A community property trust may be amended or revoked by the
settlor spouses unless the agreement itself specifically provides that the
community property trust is irrevocable.

(4) Notwithstanding any other provision of this code, the settlor spouses
shall be deemed to be the only qualified beneficiaries of a community
property trust until the death of one of the settlor spouses, regardless of
whether the trust is revocable or irrevocable. After the death of one of the
settlor spouses, the surviving spouse shall be deemed to be the only
qualified beneficiary as to his or her share of the community property trust.

HISTORY:



S. 32, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1505. 
Fla. Stat.  736.1505

 736.1505. Classification of property as community property;
enforcement; duration; management and control; effect of
distributions.
(1) An obligation incurred by both spouses during the marriage may be

satisfied from a community property trust of the settlor spouses.
(2) A community property trust is enforceable without consideration.
(3) All property owned by a community property trust is community

property under the laws of the state during the marriage of the settlor
spouses.

(4) The right to manage and control property that is transferred to a
community property trust is determined by the terms of the trust
agreement.

(5) When property is distributed from a community property trust, the
property shall no longer constitute community property within the meaning
of this part, provided that community property as classified by a
jurisdiction other than the state retains its character as community property
to the extent otherwise provided by ss. 732.216-732.228.

HISTORY:
S. 33, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1506. 
Fla. Stat.  736.1506

 736.1506. Satisfaction of obligations.
Except as provided in s. 4, Art. X of the State Constitution:

(1) An obligation solely incurred by one settlor spouse before or during
the marriage may be satisfied from that settlor spouses one-half share of a
community property trust, unless a greater amount is otherwise provided in
the community property trust agreement.

(2) An obligation incurred by both spouses during the marriage may be
satisfied from a community property trust of the settlor spouses.

HISTORY:
S. 34, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1507. 
Fla. Stat.  736.1507

 736.1507. Death of a spouse.
Upon the death of a spouse, one-half of the aggregate value of the property

held in a community property trust established by the settlor spouses reflects
the share of the surviving spouse and is not subject to testamentary
disposition by the decedent spouse or distribution under the laws of
succession of the state. The other one-half of the value of that property
reflects the share of the decedent spouse and is subject to testamentary
disposition or distribution under the laws of succession of the state. Unless
provided otherwise in the community property trust agreement, the trustee
has the power to distribute assets of the trust in divided or undivided interests
and to adjust resulting differences in valuation. A distribution in kind may be
made on the basis of a non-pro rata division of the aggregate value of the
trust assets, on the basis of a pro rata division of each individual asset, or by
using both methods. The decedents spouses one-half share shall not be
included in the elective estate.

HISTORY:
S. 35, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1508. 
Fla. Stat.  736.1508

 736.1508. Dissolution of marriage.
(1) Upon the dissolution of the marriage of the settlor spouses, the

community property trust shall terminate and the trustee shall distribute
one-half of the trust assets to each spouse in accordance with subsection
(3). For purposes of this act, s. 61.075 does not apply to the disposition of
the assets and liabilities held in a community property trust.

(2) The initiation of an action to dissolve the settlor spouses marriage
does not automatically terminate the community property trust unless
otherwise agreed to by the settlor spouses in writing or otherwise ordered
by the court having jurisdiction over the dissolution proceedings between
the settlor spouses. However, if an action to dissolve the settlor spouses
marriage remains pending for 180 days, the trust automatically terminates
and the trustee must distribute one-half of the trust assets to each spouse in
accordance with subsection (3), unless any of the following apply:
(a) A settlor spouse objects to the termination within 180 days following

the filing of the dissolution action. At which time, either party may request
that the court having jurisdiction over the dissolution proceedings between
the settlor spouses determine if good cause exists to terminate the community
property trust during the pendency of the dissolution of marriage action.

(b) The court having jurisdiction over the dissolution proceedings between
the settlor spouses enters an order directing otherwise.

(c) The settlor spouses otherwise agree, in writing, while the dissolution of
marriage action is pending.

(d) The community property trust agreement provides otherwise.
(3) Unless provided otherwise in the community property trust

agreement, the trustee has the power to distribute assets of the trust in
divided or undivided interests and to adjust resulting differences in
valuation. A distribution in kind may be made on the basis of a non-pro
rata division of the aggregate value of the trust assets, on the basis of a pro
rata division of each individual asset, or by using both methods. A trustee
may not distribute real property or business interests in a manner that



would leave the settlor spouses as co-owners of such assets post
dissolution of the settlor spouses marriage or termination of the
community property trust, unless otherwise agreed to by the settlor spouses
in a separate written agreement executed during the dissolution of marriage
action. Notwithstanding any other provision of this section, the community
property trust agreement cannot be terminated, and the assets cannot be
distributed, in a manner that could cause the trust assets to not be treated as
community property.

(4) The court having jurisdiction over the dissolution proceedings
between the settlor spouses has personal and subject matter jurisdiction
over the settlor spouses and the trustee of the community property trust for
the purpose of effectuating the distribution of the community property trust
assets consistent with the terms of the community property trust
agreement, in a manner ensuring that the trust assets retain their
community property character.

HISTORY:
S. 36, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1509. 
Fla. Stat.  736.1509

 736.1509. Right of child to support.
A community property trust does not adversely affect the right of a child of

the settlor spouses to support, pursuant to s. 61.30 or the applicable law of
another jurisdiction, that either spouse would be required to give under the
applicable laws of the settlor spouses state of domicile.

HISTORY:
S. 37, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.151. 
Fla. Stat.  736.151

 736.151. Homestead property.
(1) Property that is transferred to or acquired subject to a community

property trust may continue to qualify or may initially qualify as the settlor
spouses homestead within the meaning of s. 4(a)(1), Art. X of the State
Constitution and for all purposes of general law, provided that the property
would qualify as the settlor spouses homestead if title was held in one or
both of the settlor spouses individual names.

(2) The settlor spouses shall be deemed to have beneficial title in equity
to the homestead property held subject to a community property trust for
all purposes, including for purposes of s. 196.031.

HISTORY:
S. 38, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1511. 
Fla. Stat.  736.1511

 736.1511. Application of Internal Revenue Code; community property
classified by another jurisdiction.

For purposes of the application of s. 1014(b)(6) of the Internal Revenue
Code of 1986, 26 U.S.C. s. 1014(b)(6), as of January 1, 2021, a community
property trust is considered a trust established under the community property
laws of the state. Community property, as classified by a jurisdiction other
than this state, which is transferred to a community property trust retains its
character as community property while in the trust. If the trust is revoked and
property is transferred on revocation of the trust, the community property as
classified by a jurisdiction other than the state retains its character as
community property to the extent otherwise provided by ss. 732.216-732.228.

HISTORY:
S. 39, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 736. ,  Pt. XV. ,   736.1512. 
Fla. Stat.  736.1512

 736.1512. Unenforceable trusts.
(1) A community property trust executed during marriage is not

enforceable if the spouse against whom enforcement is sought proves that:
(a) The trust was unconscionable when made;
(b) The spouse against whom enforcement is sought did not execute the

community property trust agreement voluntarily;
(c) The community property trust agreement was the product of fraud,

duress, coercion, or overreaching; or
(d) Before execution of the community property trust agreement, the

spouse against whom enforcement is sought:
1. Was not given a fair and reasonable disclosure of the property and

financial obligations of the other spouse.
2. Did not voluntarily sign a written waiver expressly waiving right to

disclosure of the property and financial obligations of the other spouse
beyond the disclosure provided.

3. Did not have notice of the property or financial obligations of the other
spouse.

(2) Whether a community property trust is unconscionable shall be
determined by a court as a matter of law.

(3) A community property trust may not be deemed unenforceable
solely on the fact that the settlor spouses did not have separate legal
representation when executing the community property trust agreement.

HISTORY:
S. 40, ch. 2021-183, effective July 1, 2021.



 Title XLII. ,  Ch. 737. 
Fla. Stat. Title XLII, Ch. 737



CHAPTER 737.
TRUST ADMINISTRATION [REPEALED].

 Title XLII. ,  Ch. 738. 
Fla. Stat. Title XLII, Ch. 738



CHAPTER 738.
PRINCIPAL AND INCOME.

 Title XLII. ,  Ch. 738. ,   738.101. 
Fla. Stat.  738.101

 738.101. Short title.
This chapter may be cited as the Florida Uniform Principal and Income

Act.

HISTORY:
S. 1, ch. 2002-42.



 Title XLII. ,  Ch. 738. ,   738.102. 
Fla. Stat.  738.102

 738.102. Definitions.
As used in this chapter, the term:

(1) Accounting period means a calendar year unless another 12-month
period is selected by a fiduciary. The term includes a portion of a calendar
year or other 12-month period that begins when an income interest begins
or ends when an income interest ends.

(2) Beneficiary means, in the case of a decedents estate, an heir or
devisee and, in the case of a trust, an income beneficiary or a remainder
beneficiary.

(3) Carrying value means the fair market value at the time the assets
are received by the fiduciary. For the estates of decedents and trusts
described in s. 733.707(3), after the grantors death, the assets are
considered received as of the date of death. If there is a change in
fiduciaries, a majority of the continuing fiduciaries may elect to adjust the
carrying values to reflect the fair market value of the assets at the
beginning of their administration. If such election is made, it must be
reflected on the first accounting filed after the election. For assets acquired
during the administration of the estate or trust, the carrying value is equal
to the acquisition costs of the asset.

(4) Fiduciary means a personal representative or a trustee. The term
includes an executor, administrator, successor personal representative,
special administrator, or a person performing substantially the same
function.

(5) Income means money or property that a fiduciary receives as
current return from a principal asset. The term includes a portion of
receipts from a sale, exchange, or liquidation of a principal asset, to the
extent provided in ss. 738.401-738.403 and s. 738.503.

(6) Income beneficiary means a person to whom net income of a trust
is or may be payable.

(7) Income interest means the right of an income beneficiary to
receive all or part of net income, whether the terms of the trust require the



net income to be distributed or authorize the net income to be distributed in
the trustees discretion.

(8) Mandatory income interest means the right of an income
beneficiary to receive net income that the terms of the trust require the
fiduciary to distribute.

(9) Net income means the total receipts allocated to income during an
accounting period minus the disbursements made from income during the
period, plus or minus transfers under this chapter to or from income during
the period.

(10) Person means an individual, corporation, business trust, estate,
trust, partnership, limited liability company, association, joint venture,
public corporation, or any other legal or commercial entity or a
government or governmental subdivision, agency, or instrumentality.

(11) Principal means property held in trust for distribution to a
remainder beneficiary when the trust terminates.

(12) Remainder beneficiary means a person entitled to receive
principal when an income interest ends.

(13) Terms of a trust means the manifestation of the intent of a grantor
or decedent with respect to the trust, expressed in a manner that admits of
its proof in a judicial proceeding, whether by written or spoken words or
by conduct.

(14) Trustee includes an original, additional, or successor trustee,
whether or not appointed or confirmed by a court.

HISTORY:
S. 1, ch. 2002-42; s. 2, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.103. 
Fla. Stat.  738.103

 738.103. Fiduciary duties; general principles.
(1) In allocating receipts and disbursements to or between principal and

income, and with respect to any matter within the scope of ss. 738.201 and
738.202 and ss. 738.301-738.303, a fiduciary:
(a) Shall administer a trust or estate in accordance with the terms of the

trust or the will, even if there is a different provision in this chapter.
(b) May administer a trust or estate by the exercise of a discretionary

power of administration given to the fiduciary by the terms of the trust or the
will, even if the exercise of the power produces a result different from a result
required or permitted by this chapter.

(c) Shall administer a trust or estate in accordance with this chapter if the
terms of the trust or the will do not contain a different provision or do not
give the fiduciary a discretionary power of administration.

(d) Shall add a receipt or charge a disbursement to principal to the extent
the terms of the trust and this chapter do not provide a rule for allocating the
receipt or disbursement to or between principal and income.

(2) In exercising the power to adjust under s. 738.104(1) or a
discretionary power of administration regarding a matter within the scope
of this chapter, whether granted by the terms of a trust, a will, or this
chapter, a fiduciary shall administer a trust or estate impartially, based on
what is fair and reasonable to all of the beneficiaries, except to the extent
the terms of the trust or the will clearly manifest an intention that the
fiduciary shall or may favor one or more of the beneficiaries. A
determination in accordance with this chapter is presumed to be fair and
reasonable to all of the beneficiaries.

(3) Except as provided in s. 738.1041(9), this chapter pertains to the
administration of a trust and is applicable to any trust that is administered
in this state or under its law. This chapter also applies to any estate that is
administered in this state unless the provision is limited in application to a
trustee, rather than a fiduciary.



HISTORY:
S. 1, ch. 2002-42; s. 3, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.104. 
Fla. Stat.  738.104

 738.104. Trustees power to adjust.
(1) A trustee may adjust between principal and income to the extent the

trustee considers necessary if the trustee invests and manages trust assets
as a prudent investor, the terms of the trust describe the amount that may or
shall be distributed to a beneficiary by referring to the trusts income, and
the trustee determines, after applying the rules in s. 738.103(1), that the
trustee is unable to comply with s. 738.103(2).

(2) In deciding whether and to what extent to exercise the power
conferred by subsection (1), a trustee shall consider all factors relevant to
the trust and its beneficiaries, including the following factors to the extent
they are relevant:
(a) The nature, purpose, and expected duration of the trust.
(b) The intent of the grantor.
(c) The identity and circumstances of the beneficiaries.
(d) The needs for liquidity, regularity of income, and preservation and

appreciation of capital.
(e) The assets held in the trust; the extent to which the assets consist of

financial assets, interests in closely held enterprises, tangible and intangible
personal property, or real property; the extent to which an asset is used by a
beneficiary; and whether an asset was purchased by the trustee or received
from the grantor.

(f) The net amount allocated to income under the other sections of this
chapter and the increases or decreases in the value of the principal assets,
which the trustee may estimate as to assets for which market values are not
readily available.

(g) Whether and to what extent the terms of the trust give the trustee the
power to invade principal or accumulate income or prohibit the trustee from
invading principal or accumulating income and the extent to which the trustee
has exercised a power from time to time to invade principal or accumulate
income.



(h) The actual and anticipated effect of economic conditions on principal
and income and effects of inflation and deflation.

(i) The anticipated tax consequences of an adjustment.
(3) A trustee may not make an adjustment:

(a) That reduces the actuarial value of the income interest in a trust to
which a person transfers property with the intent to qualify for a gift tax
exclusion;

(b) That changes the amount payable to a beneficiary as a fixed annuity or
a fixed fraction of the value of the trust assets;

(c) From any amount that is permanently set aside for charitable purposes
under a will or the terms of a trust unless both income and principal are so set
aside;

(d) If possessing or exercising the power to adjust causes an individual to
be treated as the owner of all or part of the trust for income tax purposes and
the individual would not be treated as the owner if the trustee did not possess
the power to adjust;

(e) If possessing or exercising the power to adjust causes all or part of the
trust assets to be included for estate tax purposes in the estate of an individual
who has the power to remove a trustee or appoint a trustee, or both, and the
assets would not be included in the estate of the individual if the trustee did
not possess the power to adjust;

(f) If the trustee is a beneficiary of the trust; or
(g) If the trustee is not a beneficiary of the trust but the adjustment would

benefit the trustee directly or indirectly, except that in the case of a trustee
whose compensation for acting as trustee is based upon the value of trust
assets, an adjustment that affects the value of trust assets shall not be deemed
to benefit the trustee.

(4) If paragraph (3)(d), paragraph (3)(e), paragraph (3)(f), or paragraph
(3)(g) applies to a trustee and there is more than one trustee, a cotrustee to
whom the provision does not apply may make the adjustment unless the
exercise of the power by the remaining trustee is not permitted by the
terms of the trust.



(5) A trustee may release the entire power to adjust conferred by
subsection (1) or may release only the power to adjust from income to
principal or the power to adjust from principal to income if the trustee is
uncertain about whether possessing or exercising the power will cause a
result described in paragraphs (3)(a)-(e) or paragraph (3)(g) or if the trustee
determines that possessing or exercising the power will or may deprive the
trust of a tax benefit or impose a tax burden not described in subsection
(3). A release under this subsection may be permanent or for a specified
period, including a period measured by the life of an individual.

(6) Terms of a trust that limit a trustees power to adjust between
principal and income do not affect the application of this section unless it
is clear from the terms of the trust that the terms are intended to deny the
trustee the power to adjust conferred by subsection (1).

(7) Nothing in this chapter is intended to create or imply a duty to make
an adjustment and no inference of impropriety shall be made as a result of
a trustee not exercising the power to adjust conferred by subsection (1).

(8) With respect to a trust in existence on January 1, 2003:
(a) A trustee shall not have the power to adjust under this section until the

statement required in subsection (9) is provided and either no objection is
made or any objection which is made has been terminated.

1. An objection is made if, within 60 days after the date of the statement
required in subsection (9), a super majority of the eligible beneficiaries
deliver to the trustee a written objection to the application of this section to
such trust. An objection shall be deemed to be delivered to the trustee on the
date the objection is mailed to the mailing address listed in the notice
provided in subsection (9).

2. An objection is terminated upon the earlier of the receipt of consent
from a super majority of eligible beneficiaries of the class that made the
objection, or the resolution of the objection pursuant to paragraph (c).

(b) An objection or consent under this section may be executed by a legal
representative or natural guardian of a beneficiary without the filing of any
proceeding or approval of any court.

(c) If an objection is delivered to the trustee, then the trustee may petition
the circuit court for an order quashing the objection and vesting in such



trustee the power to adjust under this section. The burden will be on the
objecting beneficiaries to prove that the power to adjust would be inequitable,
illegal, or otherwise in contravention of the grantors intent. The court may
award costs and attorneys fees relating to the trustees petition in the same
manner as in chancery actions. When costs and attorneys fees are to be paid
out of the trust, the court may, in its discretion, direct from which part of the
trust they shall be paid.

(d) If no timely objection is made or if the trustee is vested with the power
to adjust by court order, the trustee may thereafter exercise the power to
adjust without providing notice of its intent to do so unless, in vesting the
trustee with the power to adjust, the court determines that unusual
circumstances require otherwise.

(e)1. If a trustee makes a good faith effort to comply with the notice
provisions of subsection (9), but fails to deliver notice to one or more
beneficiaries entitled to such notice, neither the validity of the notice
required under this subsection nor the trustees power to adjust under this
section shall be affected until the trustee has actual notice that one or more
beneficiaries entitled to notice were not notified. Until the trustee has
actual notice of the notice deficiency, the trustee shall have all of the
powers and protections granted a trustee with the power to adjust under
this chapter.
2. When the trustee has actual notice that one or more beneficiaries entitled

to notice under subsection (9) were not notified, the trustees power to adjust
under this section shall cease until all beneficiaries who are entitled to such
notice, including those who were previously provided with such notice, are
notified and given the opportunity to object as provided for under this
subsection.

(f) The objection of a super majority of eligible beneficiaries under this
subsection shall be valid for a period of 1 year after the date of the notice set
forth in subsection (9). Upon expiration of the objection, the trustee may
thereafter give a new notice under subsection (9).

(g) Nothing in this section is intended to create or imply a duty of the
trustee of a trust existing on January 1, 2003, to seek a power to adjust
pursuant to this subsection or to give the notice described in subsection (9) if
the trustee does not desire to have a power to adjust under this section, and no



inference of impropriety shall be made as the result of a trustee not seeking a
power to adjust pursuant to this subsection.

(9)(a) A trustee of a trust in existence on January 1, 2003, that is not
prohibited under subsection (3) from exercising the power to adjust shall,
any time prior to initially exercising the power, provide to all eligible
beneficiaries a statement containing the following:
1. The name, telephone number, street address, and mailing address of the

trustee and of any individuals who may be contacted for further information;
2. A statement that unless a super majority of the eligible beneficiaries

objects to the application of this section to the trust within 60 days after the
date the statement pursuant to this subsection was served, this section shall
apply to the trust; and

3. A statement that, if this section applies to the trust, the trustee will have
the power to adjust between income and principal and that such a power may
have an effect on the distributions to such beneficiary from the trust.

(b) The statement may contain information regarding a trustees fiduciary
obligations with respect to the power to adjust between income and principal
under this section.

(c) The statement referred to in this subsection shall be served informally,
in the manner provided in the Florida Rules of Civil Procedure relating to
service of pleadings subsequent to the initial pleading. The statement may be
served on a legal representative or natural guardian of a beneficiary without
the filing of any proceeding or approval of any court.

(d) For purposes of subsection (8) and this subsection, the term:
1. Eligible beneficiaries means:
a. If at the time the determination is made there are one or more

beneficiaries described in s. 736.0103(19)(c), the beneficiaries described in s.
736.0103(19)(a) and (c); or

b. If there is no beneficiary described in s. 736.0103(19)(c), the
beneficiaries described in s. 736.0103(19)(a) and (b).

2. Super majority of the eligible beneficiaries means:
a. If at the time the determination is made there are one or more



beneficiaries described in s. 736.0103(19)(c), at least two-thirds in interest of
the beneficiaries described in s. 736.0103(19)(a) or two-thirds in interest of
the beneficiaries described in s. 736.0103(19)(c), if the interests of the
beneficiaries are reasonably ascertainable; otherwise, it means two-thirds in
number of either such class; or

b. If there is no beneficiary described in s. 736.0103(19)(c), at least two-
thirds in interest of the beneficiaries described in s. 736.0103(19)(a) or two-
thirds in interest of the beneficiaries described in s. 736.0103(19)(b), if the
interests of the beneficiaries are reasonably ascertainable, otherwise, two-
thirds in number of either such class.

(10) A trust exists on January 1, 2003, if it is not revocable on January 1,
2003. A trust is revocable if revocable by the grantor alone or in
conjunction with any other person. A trust is not revocable for purposes of
this section if revocable by the grantor only with the consent of all persons
having a beneficial interest in the property.

HISTORY:
S. 1, ch. 2002-42; s. 1, ch. 2003-43; s. 5, ch. 2005-85; s. 40, ch. 2006-217,

eff. July 1, 2007; s. 4, ch. 2012-49, eff. Jan. 1, 2013; s. 20, ch. 2013-172, eff.
Oct. 1, 2013; s. 43, ch. 2021-183, effective July 1, 2021.

Applicability.
Section 5, ch. 2003-43, provides: This act shall take effect upon becoming

a law and shall apply retroactively to January 1, 2003.



 Title XLII. ,  Ch. 738. ,   738.1041. 
Fla. Stat.  738.1041

 738.1041. Total return unitrust.
(1) For purposes of this section, the term:

(a) Average fair market value means the average of the fair market
values of assets held by the trust at the beginning of the current and each of
the 2 preceding years, or for the entire term of the trust if there are less than 2
preceding years, and adjusted as follows:

1. If assets have been added to the trust during the years used to determine
the average, the amount of each addition is added to all years in which such
addition was not included.

2. If assets have been distributed from the trust during the years used to
determine the average, other than in satisfaction of the unitrust amount, the
amount of each distribution is subtracted from all years in which such
distribution was not included.

(b) Disinterested person means a person who is not a related or
subordinate party with respect to the person acting as trustee of the trust and
excludes the grantor and any interested trustee.

(c) Fair market value means the fair market value of the assets held by
the trust as otherwise determined under this chapter, reduced by all known
noncontingent liabilities.

(d) Income trust means a trust, created by an inter vivos or a
testamentary instrument, which directs or permits the trustee to distribute the
net income of the trust to one or more persons, in fixed proportions or in
amounts or proportions determined by the trustee and regardless of whether
the trust directs or permits the trustee to distribute the principal of the trust to
one or more such persons.

(e) Interested distributee means a person to whom distributions of
income or principal can currently be made and who has the power to remove
the existing trustee and designate as successor a person who may be a related
or subordinate party with respect to such distributee.

(f) Interested trustee means an individual trustee to whom the net income



or principal of the trust can currently be distributed or would be distributed if
the trust were then to terminate and be distributed, any trustee whom an
interested distributee has the power to remove and replace with a related or
subordinate party, or an individual trustee whose legal obligation to support a
beneficiary may be satisfied by distributions of income and principal of the
trust.

(g) Related or subordinate party has the same meaning as provided in the
Internal Revenue Code, 26 U.S.C. s. 672(c) or any successor provision
thereof.

(h) Unitrust amount means the amount determined by multiplying the
average fair market value of the assets as calculated in paragraph (a) by the
percentage calculated under paragraph (2)(b).

(2) A trustee may, without court approval, convert an income trust to a
total return unitrust, reconvert a total return unitrust to an income trust, or
change the percentage used to calculate the unitrust amount or the method
used to determine the fair market value of the trust if:
(a) The trustee adopts a written statement regarding trust distributions

which provides:
1. In the case of a trust being administered as an income trust, that future

distributions from the trust will be unitrust amounts rather than net income,
and indicates the manner in which the unitrust amount will be calculated and
the method in which the fair market value of the trust will be determined.

2. In the case of a trust being administered as a total return unitrust, that:
a. Future distributions from the trust will be net income rather than unitrust

amounts; or
b. The percentage used to calculate the unitrust amount or the method used

to determine the fair market value of the trust will be changed, and indicates
the manner in which the new unitrust amount will be calculated and the
method in which the new fair market value of the trust will be determined;

(b) The trustee determines the terms of the unitrust under one of the
following methods:

1. A disinterested trustee determines, or if there is no trustee other than an
interested trustee, the interested trustee appoints a disinterested person who,



in its sole discretion but acting in a fiduciary capacity, determines for the
interested trustee:

a. The percentage to be used to calculate the unitrust amount, provided the
percentage used is not greater than 5 percent nor less than 3 percent;

b. The method to be used in determining the fair market value of the trust;
and

c. Which assets, if any, are to be excluded in determining the unitrust
amount; or

2. The interested trustee or disinterested trustee administers the trust such
that:

a. The percentage used to calculate the unitrust amount is 50 percent of the
rate as defined in the Internal Revenue Code, 26 U.S.C. s. 7520, in effect for
the month the conversion under this section becomes effective and for each
January thereafter; however, if the percentage calculated exceeds 5 percent,
the unitrust percentage is 5 percent and if the percentage calculated is less
than 3 percent, the unitrust percentage is 3 percent; and

b. The fair market value of the trust shall be determined at least annually
on an asset-by-asset basis, reasonably and in good faith, in accordance with s.
738.202(5), except the following property shall not be included in
determining the value of the trust:

(I) Any residential property or any tangible personal property that, as
of the first business day of the current valuation year, one or more
current beneficiaries of the trust have or have had the right to occupy, or
have or have had the right to possess or control, other than in his or her
capacity as trustee of the trust, and instead the right of occupancy or the
right to possession and control is the unitrust amount with respect to
such property; however, the unitrust amount must be adjusted to take
into account partial distributions from or receipt into the trust of such
property during the valuation year;

(II) Any asset specifically given to a beneficiary and the return on
investment on such property, which return on investment shall be
distributable to the beneficiary; or

(III) Any asset while held in a decedents estate;



(c) The trustee sends written notice of its intention to take such action,
along with copies of the written statement regarding trust distributions and
this section, and, if applicable, the determinations of the trustee or the
disinterested person to:

1. The grantor of the trust, if living.
2. All living persons who are currently receiving or eligible to receive

distributions of income from the trust.
3. All living persons who would receive distributions of principal of the

trust if the trust were to terminate at the time of giving such notice without
regard to the exercise of any power of appointment, or, if the trust does not
provide for its termination, all living persons who would receive or be
eligible to receive distributions of income or principal of the trust if the
persons identified in subparagraph 2. were deceased.

4. All persons acting as advisers or protectors of the trust.
Notice under this paragraph shall be served informally in the manner

provided in the Florida Rules of Civil Procedure relating to service of
pleadings subsequent to the initial pleading. Notice may be served on a legal
representative or natural guardian of a person without filing any proceeding
or approval of any court;

(d) At least one person receiving notice under each of subparagraphs (c)2.
and 3. is legally competent; and

(e) No person receiving such notice objects, by written instrument
delivered to the trustee, to the proposed action of the trustee or the
determinations of the disinterested person within 60 days after service of such
notice. An objection may be executed by a legal representative or natural
guardian of a person without filing any proceeding or approval of any court.

(3) If a trustee desires to convert an income trust to a total return
unitrust, reconvert a total return unitrust to an income trust, or change the
percentage used to calculate the unitrust amount or the method used to
determine a fair market value of the trust but does not have the ability to or
elects not to do it under subsection (2), the trustee may petition the circuit
court for such order as the trustee deems appropriate. In that event, the
court, in its own discretion or on the petition of such trustee or any person
having an income or remainder interest in the trust, may appoint a



disinterested person who, acting in a fiduciary capacity, shall present such
information to the court as is necessary for the court to make a
determination hereunder.

(4) Following the conversion of an income trust to a total return unitrust,
the trustee:
(a) Shall treat the unitrust amount as if it were net income of the trust for

purposes of determining the amount available, from time to time, for
distribution from the trust.

(b) May allocate to trust income for each taxable year of the trust, or
portion thereof:

1. Net short-term capital gain described in the Internal Revenue Code, 26
U.S.C. s. 1222(5), for such year, or portion thereof, but only to the extent that
the amount so allocated together with all other amounts allocated to trust
income, as determined under the provisions of this chapter without regard to
this section and s. 738.104, for such year, or portion thereof, does not exceed
the unitrust amount for such year, or portion thereof.

2. Net long-term capital gain described in the Internal Revenue Code, 26
U.S.C. s. 1222(7), for such year, or portion thereof, but only to the extent that
the amount so allocated together with all other amounts, including amounts
described in subparagraph 1., allocated to trust income for such year, or
portion thereof, does not exceed the unitrust amount for such year, or portion
thereof.

(5) In administering a total return unitrust, the trustee may, in its sole
discretion but subject to the provisions of the governing instrument,
determine:
(a) The effective date of the conversion.
(b) The timing of distributions, including provisions for prorating a

distribution for a short year in which a beneficiarys right to payments
commences or ceases.

(c) Whether distributions are to be made in cash or in kind or partly in cash
and partly in kind.

(d) If the trust is reconverted to an income trust, the effective date of such
reconversion.



(e) Such other administrative issues as may be necessary or appropriate to
carry out the purposes of this section.

(6) Conversion to a total return unitrust under this section does not affect
any other provision of the governing instrument, if any, regarding
distributions of principal.

(7) Any trustee or disinterested person who in good faith takes or fails to
take any action under this section is not liable to any person affected by
such action or inaction, regardless of whether such person received written
notice as provided in this section or such person was under a legal
disability at the time of the delivery of such notice. Such persons
exclusive remedy is to obtain, under subsection (8), an order of the court
directing the trustee to convert an income trust to a total return unitrust, to
reconvert from a total return unitrust to an income trust, or to change the
percentage used to calculate the unitrust amount. If a court determines that
the trustee or disinterested person has not acted in good faith in taking or
failing to take any action under this section, s. 738.105(3) applies.

(8) If a majority in interest of the income or remainder beneficiaries of
an income trust has delivered to the trustee a written objection to the
amount of the income distributions of the trust, and, if the trustee has failed
to resolve the objection to the satisfaction of the objecting beneficiaries
within 6 months after receipt of such written objection, the objecting
beneficiaries may petition the court in accordance with subsection (3).

(9) This section pertains to the administration of a trust and is applicable
to any trust that is administered in this state or under Florida law unless:
(a) The governing instrument reflects an intention that the current

beneficiary or beneficiaries are to receive an amount other than a reasonable
current return from the trust;

(b) The trust is a trust described in the Internal Revenue Code, 26 U.S.C. s.
170(f)(2)(B), s. 642(c)(5), s. 664(d), s. 2702(a)(3), or s. 2702(b);

(c) One or more persons to whom the trustee could distribute income have
a power of withdrawal over the trust:

1. That is not subject to an ascertainable standard under the Internal
Revenue Code, 26 U.S.C. s. 2041 or s. 2514, and exceeds in any calendar
year the amount set forth in the Internal Revenue Code, 26 U.S.C. s. 2041(b)



(2) or s. 2514(e); or
2. A power of withdrawal over the trust that can be exercised to discharge

a duty of support he or she possesses; or
(d) The governing instrument expressly prohibits use of this section by

specific reference to the section. A provision in the governing instrument
that, The provisions of section 738.1041, Florida Statutes, as amended, or
any corresponding provision of future law, may not be used in the
administration of this trust, or similar words reflecting such intent are
sufficient to preclude the use of this section.

(10) The grantor of a trust may create an express total return unitrust that
will be effective as provided in the trust instrument without requiring a
conversion under this section.
(a) An express total return unitrust created by the grantor of the trust is

treated as a unitrust only if the terms of the trust instrument contain all of the
following provisions:

1. That distributions from the trust will be unitrust amounts and the manner
in which the unitrust amount will be calculated; and

2. The percentage to be used to calculate the unitrust amount, provided the
percentage used is not greater than 5 percent nor less than 3 percent.

(b) The trust instrument may also contain provisions specifying:
1. The method to be used in determining the fair market value of the trust,

including whether to use an average fair market value or the fair market value
of the assets held by the trust at the beginning of the current year; or

2. Which assets, if any, are to be excluded in determining the unitrust
amount.

(c) This section establishes the method of determining the fair market
value of the trust if the trust instrument is silent as to subparagraph (b)1., and
to specify those assets, if any, which are to be excluded in determining the
unitrust amount if the trust instrument is silent as to subparagraph (b)2.

HISTORY:
S. 1, ch. 2002-42; s. 2, ch. 2003-43; s. 6, ch. 2005-85; s. 41, ch. 2006-217,



eff. July 1, 2007; s. 5, ch. 2012-49, eff. Jan. 1, 2013.

Editors notes.
The references to sections of the Internal Revenue Code, referred to in this

section, are codified throughout Title 26 of the U.S.C.S.

Applicability.
Section 5, ch. 2003-43, provides: This act shall take effect upon becoming

a law and shall apply retroactively to January 1, 2003.



 Title XLII. ,  Ch. 738. ,   738.105. 
Fla. Stat.  738.105

 738.105. Judicial control of discretionary powers.
(1) A court may not change a trustees decision to exercise or not to

exercise a discretionary power conferred by this chapter unless the court
determines that the decision was an abuse of the trustees discretion. A
court may not determine that a trustee abused its discretion merely because
the court would have exercised the discretion in a different manner or
would not have exercised the discretion.

(2) The decisions to which subsection (1) applies include:
(a) A determination under s. 738.104(1) of whether and to what extent an

amount should be transferred from principal to income or from income to
principal.

(b) A determination of the factors that are relevant to the trust and trust
beneficiaries, the extent to which such factors are relevant, and the weight, if
any, to be given to the relevant factors, in deciding whether and to what
extent to exercise the power conferred by s. 738.104(1).

(3) If a court determines that a trustee has abused its discretion, the
remedy is to restore the income and remainder beneficiaries to the
positions they would have occupied if the trustee had not abused its
discretion, in accordance with the following:
(a) To the extent the abuse of discretion has resulted in no distribution to a

beneficiary or a distribution that is too small, the court shall require the
trustee to distribute from the trust to the beneficiary an amount the court
determines will restore the beneficiary, in whole or in part, to his or her
appropriate position.

(b) To the extent the abuse of discretion has resulted in a distribution to a
beneficiary that is too large, the court shall restore the beneficiaries, the trust,
or both, in whole or in part, to their appropriate positions by requiring the
trustee to withhold an amount from one or more future distributions to the
beneficiary who received the distribution that was too large or requiring that
beneficiary to return some or all of the distribution to the trust.

(c) To the extent the court is unable, after applying paragraphs (a) and (b),



to restore the beneficiaries or the trust, or both, to the positions they would
have occupied if the trustee had not abused its discretion, the court may
require the trustee to pay an appropriate amount from its own funds to one or
more of the beneficiaries or the trust or both.

(4) Upon the filing of a petition by the trustee, the court having
jurisdiction over the trust shall determine whether a proposed exercise or
nonexercise by the trustee of a discretionary power conferred by this
chapter will result in an abuse of the trustees discretion. If the petition
describes the proposed exercise or nonexercise of the power and contains
sufficient information to inform the beneficiaries of the reasons for the
proposal, the facts upon which the trustee relies, and an explanation of how
the income and remainder beneficiaries will be affected by the proposed
exercise or nonexercise of the power, a beneficiary who challenges the
proposed exercise or nonexercise has the burden of establishing that such
exercise or nonexercise will result in an abuse of discretion.

(5) If an action is instituted alleging an abuse of discretion in the
exercise or nonexercise of the power of adjustment conferred by s.
738.104(1) and the court determines that no abuse of discretion has
occurred, the trustees costs and attorneys fees incurred in defending the
action shall be paid from the trust assets.

HISTORY:
S. 1, ch. 2002-42; s. 6, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.201. 
Fla. Stat.  738.201

 738.201. Determination and distribution of net income.
After a decedent dies, in the case of an estate, or after an income interest in

a trust ends, the following rules apply:
(1) A fiduciary of an estate or of a terminating income interest shall

determine the amount of net income and net principal receipts received
from property specifically given to a beneficiary under ss. 738.301-
738.706 and subsection (5). The fiduciary shall distribute the net income
and net principal receipts to the beneficiary who is to receive the specific
property.

(2) A fiduciary shall determine the remaining net income of a decedents
estate or a terminating income interest under ss. 738.301-738.706 and by:
(a) Including in net income all income from property used to discharge

liabilities.
(b) Paying from income or principal, in the fiduciarys discretion, fees of

attorneys, accountants, and fiduciaries; court costs and other expenses of
administration; and interest on death taxes. The fiduciary may pay those
expenses from income of property passing to a trust for which the fiduciary
claims an estate tax marital or charitable deduction under the Internal
Revenue Code or comparable law of any state only to the extent the payment
of those expenses from income will not cause the reduction or loss of the
deduction.

(c) Paying from principal all other disbursements made or incurred in
connection with the settlement of a decedents estate or the winding up of a
terminating income interest, including debts, funeral expenses, disposition of
remains, family allowances, and death taxes and related penalties that are
apportioned to the estate or terminating income interest by the will, the terms
of the trust, or applicable law.

(3) If a beneficiary who receives a pecuniary devise outright is also
entitled to receive interest or any other amount on the devise under the
terms of the will or trust, the fiduciary shall distribute the interest or other
amount from net income determined under subsection (2) or from principal



to the extent net income is insufficient.
(4) A fiduciary shall distribute the net income remaining after

distributions required under subsections (1)-(3) in the manner described in
s. 738.202 to all other beneficiaries, including a beneficiary who receives a
pecuniary amount in trust, even if the beneficiary holds an unqualified
power to withdraw assets from the trust or other presently exercisable
general power of appointment over the trust.

(5) A fiduciary may not reduce principal or income receipts from
property described in subsection (1) because of a payment described in s.
738.701 or s. 738.702 to the extent the will, the terms of the trust, or
applicable law requires the fiduciary to make the payment from assets
other than the property or to the extent the fiduciary recovers or expects to
recover the payment from a third party. The net income and principal
receipts from the property are determined by including all of the amounts
the fiduciary receives or pays with respect to the property, whether those
amounts accrued or became due before, on, or after the date of a
decedents death or an income interests terminating event, and by making
a reasonable provision for amounts the fiduciary believes the estate or
terminating income interest may become obligated to pay after the property
is distributed.

HISTORY:
S. 1, ch. 2002-42; s. 7, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.202. 
Fla. Stat.  738.202

 738.202. Distribution to residuary and remainder beneficiaries.
(1) Each beneficiary described in s. 738.201(4) is entitled to receive a

portion of the net income remaining after the application of s. 738.201(1)-
(3), which is equal to the beneficiarys fractional interest in undistributed
principal assets, using carrying values as of the distribution date. If a
fiduciary makes more than one distribution of assets to beneficiaries to
whom this section applies, each beneficiary, including one who does not
receive part of the distribution, is entitled, as of each distribution date, to
the net income the fiduciary received after the date of death or terminating
event or earlier distribution date but has not distributed as of the current
distribution date.

(2) In determining a beneficiarys share of net income, the following
applies:
(a) The beneficiary is entitled to receive a portion of the net income equal

to the beneficiarys fractional interest in the carrying value of the
undistributed principal assets immediately before the distribution date,
excluding the amount of unpaid liabilities.

(b) The beneficiarys fractional interest in the undistributed principal assets
shall be calculated:

1. At the time the interest began and adjusted for any disproportionate
distributions since the interest began;

2. By excluding any liabilities of the estate or trust from the calculation;
3. By also excluding property specifically given to a beneficiary and

property required to pay pecuniary amounts not in trust; and
4. On the basis of the aggregate carrying value of those assets determined

under subsection (1) as of the distribution date.
(c) If a disproportionate distribution of principal is made to any

beneficiary, the respective fractional interests of all beneficiaries in the
remaining underlying assets shall be recomputed by:

1. Adjusting the carrying value of the principal assets to their fair market



value before the distribution;
2. Reducing the fractional interest of the recipient of the disproportionate

distribution in the remaining principal assets by the fair market value of the
principal distribution; and

3. Recomputing the fractional interests of all beneficiaries in the remaining
principal assets based upon the now restated carrying values.

(3) If a fiduciary does not distribute all of the collected but undistributed
net income to each person as of a distribution date, the fiduciary shall
maintain appropriate records showing the interest of each beneficiary in
that net income.

(4) A fiduciary may apply the provisions of this section, to the extent the
fiduciary considers appropriate, to net gain or loss realized after the date of
death or terminating event or earlier distribution date from the disposition
of a principal asset if this section applies to the income from the asset.

(5) The carrying value or fair market value of trust assets shall be
determined on an asset-by-asset basis and is conclusive if reasonable and
determined in good faith. Determinations of fair market value based on
appraisals performed within 2 years before or after the valuation date are
presumed reasonable. The values of trust assets are conclusively presumed
to be reasonable and determined in good faith unless proven otherwise in a
proceeding commenced by or on behalf of a person interested in the trust
within the time provided in s. 736.1008.

(6) All distributions to a beneficiary shall be valued based on their fair
market value on the date of distribution.

HISTORY:
S. 1, ch. 2002-42; s. 3, ch. 2003-43; s. 42, ch. 2006-217, eff. July 1, 2007;

s. 8, ch. 2012-49, eff. Jan. 1, 2013.

Applicability.
Section 5, ch. 2003-43, provides: This act shall take effect upon becoming

a law and shall apply retroactively to January 1, 2003.



 Title XLII. ,  Ch. 738. ,   738.301. 
Fla. Stat.  738.301

 738.301. When right to income begins and ends.
An income beneficiary is entitled to net income from the date on which the

income interest begins.
(1) An income interest begins on the date specified in the terms of the

trust or, if no date is specified, on the date an asset becomes subject to a
trust or successive income interest.

(2) An asset becomes subject to a trust:
(a) On the date the asset is transferred to the trust in the case of an asset

that is transferred to a trust during the transferors life;
(b) On the date of a testators death in the case of an asset that becomes

subject to a trust by reason of a will, even if there is an intervening period of
administration of the testators estate; or

(c) On the date of an individuals death in the case of an asset that is
transferred to a fiduciary by a third party because of the individuals death.

(3) An asset becomes subject to a successive income interest on the day
after the preceding income interest ends, as determined under subsection
(4), even if there is an intervening period of administration to wind up the
preceding income interest.

(4) An income interest ends on the day before an income beneficiary
dies or another terminating event occurs, or on the last day of a period
during which there is no beneficiary to whom a fiduciary may distribute
income.

HISTORY:
S. 1, ch. 2002-42; s. 9, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.302. 
Fla. Stat.  738.302

 738.302. Apportionment of receipts and disbursements when decedent
dies or income interest begins.
(1) A fiduciary shall allocate an income receipt or disbursement other

than one to which s. 738.201(1) applies to principal if the due date of the
receipt or disbursement occurs before a decedent dies in the case of an
estate or before an income interest begins in the case of a trust or
successive income interest.

(2) A fiduciary shall allocate an income receipt or disbursement to
income if the due date of the receipt or disbursement occurs on or after the
date on which a decedent dies or an income interest begins and the due
date is a periodic due date. An income receipt or disbursement shall be
treated as accruing from day to day if the due date of the receipt or
disbursement is not periodic or the receipt or disbursement has no due date.
The portion of the receipt or disbursement accruing before the date on
which a decedent dies or an income interest begins shall be allocated to
principal and the balance shall be allocated to income.

(3) An item of income or an obligation is due on the date the payor is
required to make a payment. If a payment date is not stated, there is no due
date for the purposes of this chapter. Distributions to shareholders or other
owners from an entity to which s. 738.401 applies are deemed to be due on
the date fixed by the entity for determining who is entitled to receive the
distribution or, if no date is fixed, on the declaration date for the
distribution. A due date is periodic for receipts or disbursements that shall
be paid at regular intervals under a lease or an obligation to pay interest or
if an entity customarily makes distributions at regular intervals.

(4) Nothing in this section shall prevent the application of s. 733.817 to
apportion tax to the income recipient under this section.

HISTORY:
S. 1, ch. 2002-42; s. 10, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.303. 
Fla. Stat.  738.303

 738.303. Apportionment when income interest ends.
(1) For purposes of this section, undistributed income means net

income received on or before the date on which an income interest ends.
The term does not include an item of income or expense that is due or
accrued or net income that has been added or is required to be added to
principal under the terms of the trust. In the case of a trust being
administered as a unitrust under s. 738.1041, the term undistributed
income means the prorated unitrust amount computed on a daily basis
through the date on which the income interest ends.

(2) When a mandatory income interest ends, the fiduciary shall pay to a
mandatory income beneficiary who survives that date, or the estate of a
deceased mandatory income beneficiary whose death causes the interest to
end, the beneficiarys share of the undistributed income that is not
disposed of under the terms of the trust unless the beneficiary has an
unqualified power to revoke more than 5 percent of the trust immediately
before the income interest ends. In the latter case, the undistributed income
from the portion of the trust that may be revoked shall be added to
principal.

(3) When a fiduciarys obligation to pay a fixed annuity or a fixed
fraction of the value of the trusts assets ends, the fiduciary shall prorate
the final payment if and to the extent required by applicable law to
accomplish a purpose of the trust or its grantor relating to income, gift,
estate, or other tax requirements.

HISTORY:
S. 1, ch. 2002-42; s. 7, ch. 2005-85; s. 11, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.401. 
Fla. Stat.  738.401

 738.401. Character of receipts.
(1) For purposes of this section, the term entity means a corporation,

partnership, limited liability company, regulated investment company, real
estate investment trust, common trust fund, or any other organization in
which a fiduciary has an interest other than a trust or estate to which s.
738.402 applies, a business or activity to which s. 738.403 applies, or an
asset-backed security to which s. 738.608 applies.

(2) Except as otherwise provided in this section, a fiduciary shall
allocate to income money received from an entity.

(3) Except as otherwise provided in this section, a fiduciary shall
allocate the following receipts from an entity to principal:
(a) Property other than money.
(b) Money received in one distribution or a series of related distributions in

exchange for part or all of a trusts or estates interest in the entity.
(c) Money received in total or partial liquidation of the entity.
(d) Money received from an entity that is a regulated investment company

or a real estate investment trust if the money received represents short-term or
long-term capital gain realized within the entity.

(e) Money received from an entity listed on a public stock exchange during
any year of the trust or estate which exceeds 10 percent of the fair market
value of the trusts or estates interest in the entity on the first day of that
year. The amount to be allocated to principal must be reduced to the extent
that the cumulative distributions from the entity to the trust or estate allocated
to income do not exceed a cumulative annual return of 3 percent of the fair
market value of the interest in the entity at the beginning of each year or
portion of a year for the number of years or portion of years in the period that
the interest in the entity has been held by the trust or estate. If a trustee has
exercised a power to adjust under s. 738.104 during any period the interest in
the entity has been held by the trust, the trustee, in determining the total
income distributions from that entity, must take into account the extent to
which the exercise of that power resulted in income to the trust from that



entity for that period. If the income of the trust for any period has been
computed under s. 738.1041, the trustee, in determining the total income
distributions from that entity for that period, must take into account the
portion of the unitrust amount paid as a result of the ownership of the trusts
interest in the entity for that period.

(4) If a fiduciary elects, or continues an election made by its
predecessor, to reinvest dividends in shares of stock of a distributing
corporation or fund, whether evidenced by new certificates or entries on
the books of the distributing entity, the new shares retain their character as
income.

(5) Money is received in partial liquidation:
(a) To the extent the entity, at or near the time of a distribution, indicates

that such money is a distribution in partial liquidation; or
(b) To the extent the total amount of money and property received in a

distribution or series of related distributions from an entity that is not listed
on a public stock exchange exceeds 20 percent of the trusts or estates pro
rata share of the entitys gross assets, as shown by the entitys year-end
financial statements immediately preceding the initial receipt.

This subsection does not apply to an entity to which subsection (7) applies.
(6) Money may not be taken into account in determining any excess

under paragraph (5)(b), to the extent that the cumulative distributions from
the entity to the trust or the estate allocated to income do not exceed the
greater of:
(a) A cumulative annual return of 3 percent of the entitys carrying value

computed at the beginning of each period for the number of years or portion
of years that the entity was held by the fiduciary. If a trustee has exercised a
power to adjust under s. 738.104 during any period the interest in the entity
has been held by the trust, the trustee, in determining the total income
distributions from that entity, must take into account the extent to which
exercise of the power resulted in income to the trust from that entity for that
period. If the income of a trust for any period has been computed pursuant to
s. 738.1041, the trustee, in determining the total income distributions from
the entity for that period, must take into account the portion of the unitrust
amount paid as a result of the ownership of the trusts interest in the entity for



that period; or
(b) If the entity is treated as a partnership, subchapter S corporation, or a

disregarded entity pursuant to the Internal Revenue Code of 1986, as
amended, the amount of income tax attributable to the trusts or estates
ownership share of the entity, based on its pro rata share of the taxable
income of the entity that distributes the money, for the number of years or
portion of years that the interest in the entity was held by the fiduciary,
calculated as if all of that tax was incurred by the fiduciary.

(7) The following applies to money or property received by a private
trustee as a distribution from an investment entity described in this
subsection:
(a) The trustee shall first treat as income of the trust all of the money or

property received from the investment entity in the current year which would
be considered income under this chapter if the trustee had directly held the
trusts pro rata share of the assets of the investment entity. For this purpose,
all distributions received in the current year must be aggregated.

(b) The trustee shall next treat as income of the trust any additional money
or property received in the current year which would have been considered
income in the prior 2 years under paragraph (a) if additional money or
property had been received from the investment entity in any of those prior 2
years. The amount to be treated as income shall be reduced by any
distributions of money or property made by the investment entity to the trust
during the current and prior 2 years which were treated as income under this
paragraph.

(c) The remainder of the distribution, if any, is treated as principal.
(d) As used in this subsection, the term:
1. Investment entity means an entity, other than a business activity

conducted by the trustee described in s. 738.403 or an entity that is listed on a
public stock exchange, which is treated as a partnership, subchapter S
corporation, or disregarded entity pursuant to the Internal Revenue Code of
1986, as amended, and which normally derives 50 percent or more of its
annual cumulative net income from interest, dividends, annuities, royalties,
rental activity, or other passive investments, including income from the sale
or exchange of such passive investments.



2. Private trustee means a trustee who is a natural person, but only if the
trustee is unable to use the power to adjust between income and principal
with respect to receipts from entities described in this subsection pursuant to
s. 738.104. A bank, trust company, or other commercial trustee is not
considered a private trustee.

(8) This section shall be applied before ss. 738.705 and 738.706 and
does not modify or change any of the provisions of those sections.

HISTORY:
S. 1, ch. 2002-42; s. 4, ch. 2003-43; s. 8, ch. 2005-85; s. 12, ch. 2012-49,

eff. Jan. 1, 2013.

Applicability.
Section 5, ch. 2003-43, provides: This act shall take effect upon becoming

a law and shall apply retroactively to January 1, 2003.



 Title XLII. ,  Ch. 738. ,   738.402. 
Fla. Stat.  738.402

 738.402. Distribution from trust or estate.
A fiduciary shall allocate to income an amount received as a distribution of

income from a trust or an estate in which the trust has an interest other than a
purchased interest and allocate to principal an amount received as a
distribution of principal from such a trust or estate. If a fiduciary purchases
an interest in a trust that is an investment entity, or a decedent or donor
transfers an interest in such a trust to a fiduciary, s. 738.401 or s. 738.608
applies to a receipt from the trust.

HISTORY:
S. 1, ch. 2002-42; s. 13, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.403. 
Fla. Stat.  738.403

 738.403. Business and other activities conducted by fiduciary.
(1) If a fiduciary who conducts a business or other activity determines

that it is in the best interest of all the beneficiaries to account separately for
the business or activity instead of accounting for the business or activity as
part of the trusts or estates general accounting records, the fiduciary may
maintain separate accounting records for the transactions of the business or
other activity, whether or not the assets of such business or activity are
segregated from other trust or estate assets.

(2) A fiduciary who accounts separately for a business or other activity
may determine the extent to which the net cash receipts of the business or
activity must be retained for working capital, the acquisition or
replacement of fixed assets, and other reasonably foreseeable needs of the
business or activity, and the extent to which the remaining net cash receipts
are accounted for as principal or income in the trusts or estates general
accounting records. If a fiduciary sells assets of the business or other
activity, other than in the ordinary course of the business or activity, the
fiduciary must account for the net amount received as principal in the
trusts or estates general accounting records to the extent the fiduciary
determines that the amount received is no longer required in the conduct of
the business.

(3) Activities for which a fiduciary may maintain separate accounting
records include:
(a) Retail, manufacturing, service, and other traditional business activities.
(b) Farming.
(c) Raising and selling livestock and other animals.
(d) Management of rental properties.
(e) Extraction of minerals and other natural resources.
(f) Timber operations.
(g) Activities to which s. 738.607 applies.



HISTORY:
S. 1, ch. 2002-42; s. 14, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.501. 
Fla. Stat.  738.501

 738.501. Principal receipts.
A fiduciary shall allocate to principal:

(1) To the extent not allocated to income under this chapter, assets
received from a donor during the donors lifetime, a decedents estate, a
trust with a terminating income interest, or a payor under a contract
naming the trust, estate, or fiduciary as beneficiary.

(2) Money or other property received from the sale, exchange,
liquidation, or change in form of a principal asset, including realized profit,
subject to this section.

(3) Amounts recovered from third parties to reimburse the trust or estate
because of disbursements described in s. 738.702(1)(g) or for other reasons
to the extent not based on the loss of income.

(4) Proceeds of property taken by eminent domain; however, a separate
award made for the loss of income with respect to an accounting period
during which a current income beneficiary had a mandatory income
interest is income.

(5) Net income received in an accounting period during which there is
no beneficiary to whom a fiduciary may or shall distribute income.

(6) Other receipts as provided in ss. 738.601-738.608.

HISTORY:
S. 1, ch. 2002-42; s. 15, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.502. 
Fla. Stat.  738.502

 738.502. Rental property.
If a fiduciary accounts for receipts from rental property pursuant to this

section, the fiduciary shall allocate to income an amount received as rent of
real or personal property, including an amount received for cancellation or
renewal of a lease. An amount received as a refundable deposit, including a
security deposit or a deposit that is to be applied as rent for future periods,
must be added to principal and held subject to the terms of the lease and is
not available for distribution to a beneficiary until the fiduciarys contractual
obligations have been satisfied with respect to that amount.

HISTORY:
S. 1, ch. 2002-42; s. 16, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.503. 
Fla. Stat.  738.503

 738.503. Obligation to pay money.
(1) An amount received as interest, whether determined at a fixed,

variable, or floating rate, on an obligation to pay money to the fiduciary,
including an amount received as consideration for prepaying principal,
shall be allocated to income without any provision for amortization of
premium.

(2) Except as otherwise provided herein, a fiduciary shall allocate to
principal an amount received from the sale, redemption, or other
disposition of an obligation to pay money to the fiduciary.

(3) The increment in value of a bond or other obligation for the payment
of money bearing no stated interest but payable at a future time in excess
of the price at which it was issued or purchased, if purchased after
issuance, is distributable as income. If the increment in value accrues and
becomes payable pursuant to a fixed schedule of appreciation, it may be
distributed to the beneficiary who was the income beneficiary at the time
of increment from the first principal cash available or, if none is available,
when the increment is realized by sale, redemption, or other disposition. If
unrealized increment is distributed as income but out of principal, the
principal must be reimbursed for the increment when realized. If, in the
reasonable judgment of the fiduciary, exercised in good faith, the ultimate
payment of the bond principal is in doubt, the fiduciary may withhold the
payment of incremental interest to the income beneficiary.

(4) This section does not apply to an obligation to which s. 738.602, s.
738.603, s. 738.604, s. 738.605, s. 738.607, or s. 738.608 applies.

HISTORY:
S. 1, ch. 2002-42; s. 17, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.504. 
Fla. Stat.  738.504

 738.504. Insurance policies and similar contracts.
(1) Except as otherwise provided in subsection (2), a fiduciary shall

allocate to principal the proceeds of a life insurance policy or other
contract in which the trust, estate, or fiduciary is named as beneficiary,
including a contract that insures the trust, estate, or fiduciary against loss
for damage to, destruction of, or loss of title to a trust or estate asset. The
fiduciary shall allocate dividends on an insurance policy to income if the
premiums on the policy are paid from income and to principal if the
premiums are paid from principal.

(2) A fiduciary shall allocate to income the proceeds of a contract that
insures the fiduciary against loss of occupancy or other use by an income
beneficiary, loss of income, or, subject to s. 738.403, loss of profits from a
business.

(3) This section does not apply to a contract to which s. 738.602 applies.

HISTORY:
S. 1, ch. 2002-42; s. 18, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.601. 
Fla. Stat.  738.601

 738.601. Insubstantial allocations not required.
If a fiduciary determines that an allocation between principal and income

required by s. 738.602, s. 738.603, s. 738.604, s. 738.605, or s. 738.608 is
insubstantial, the fiduciary may allocate the entire amount to principal unless
one of the circumstances described in s. 738.104(3) applies to the allocation.
This power may be exercised by a cofiduciary under the circumstances
described in s. 738.104(4) and may be released for the reasons and in the
manner described in s. 738.104(5). An allocation is presumed to be
insubstantial if:

(1) The amount of the allocation would increase or decrease net income
in an accounting period, as determined before the allocation, by less than
10 percent; or

(2) The value of the asset producing the receipt for which the allocation
would be made is less than 10 percent of the total value of the trust or
estate assets at the beginning of the accounting period.

HISTORY:
S. 1, ch. 2002-42; s. 19, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.602. 
Fla. Stat.  738.602

 738.602. Payments from deferred compensation plans, annuities, and
retirement plans or accounts.
(1) As used in this section, the term:

(a) Fund means a private or commercial annuity, an individual
retirement account, an individual retirement annuity, a deferred compensation
plan, a pension plan, a profit-sharing plan, a stock-bonus plan, an employee
stock-ownership plan, or another similar arrangement in which federal
income tax is deferred.

(b) Income of the fund means income that is determined according to
subsection (2) or subsection (3).

(c) Nonseparate account means a fund for which the value of the
participants or account owners right to receive benefits can be determined
only by the occurrence of a date or event as defined in the instrument
governing the fund.

(d) Payment means a distribution from a fund that a fiduciary may
receive over a fixed number of years or during the life of one or more
individuals because of services rendered or property transferred to the payor
in exchange for future payments. The term includes a distribution made in
money or property from the payors general assets or from a fund created by
the payor or payee.

(e) Separate account means a fund holding assets exclusively for the
benefit of a participant or account owner and:

1. The value of such assets or the value of the separate account is
ascertainable at any time; or

2. The administrator of the fund maintains records that show receipts and
disbursements associated with such assets.

(2)(a) For a fund that is a separate account, income of the fund shall be
determined:
1. As if the fund were a trust subject to the provisions of ss. 738.401-

738.706; or



2. As a unitrust amount calculated by multiplying the fair market value of
the fund as of the first day of the first accounting period and, thereafter, as of
the last day of the accounting period that immediately precedes the
accounting period during which a payment is received by the percentage
determined in accordance with s. 738.1041(2)(b)2.a. The fiduciary shall
determine such percentage as of the first month that the fiduciarys election to
treat the income of the fund as a unitrust amount becomes effective. For
purposes of this subparagraph, fair market value means the fair market
value of the assets held in the fund as of the applicable valuation date
determined as provided in this subparagraph. The fiduciary is not liable for
good faith reliance upon any valuation supplied by the person or persons in
possession of the fund. If the fiduciary makes or terminates an election under
this subparagraph, the fiduciary shall make such disclosure in a trust
disclosure document that satisfies the requirements of s. 736.1008(4)(c).

(b) The fiduciary may elect the method of determining the income of the
fund pursuant to this subsection and may change the method of determining
income of the fund for any future accounting period.

(3) For a fund that is a nonseparate account, income of the fund is a
unitrust amount determined by calculating the present value of the right to
receive the remaining payments under the Internal Revenue Code, 26
U.S.C. s. 7520, as of the first day of the accounting period and multiplying
it by the percentage determined in accordance with s. 738.1041(2)(b)2.a.
The fiduciary shall determine the unitrust amount as of the first month that
the fiduciarys election to treat the income of the fund as a unitrust amount
becomes effective.

(4) Except for those trusts described in subsection (5), the fiduciary shall
allocate to income the lesser of the payment received from a fund or the
income determined under subsection (2) or subsection (3). Any remaining
amount of the payment shall be allocated to principal.

(5) For a trust that, in order to qualify for the estate or gift tax marital
deduction under the Internal Revenue Code or comparable law of any
state, entitles the spouse to all of the income of the trust, and the terms of
the trust are silent as to the time and frequency for distribution of the
income of the fund:
(a) For a fund that is a separate account, unless the spouse directs the



fiduciary to leave the income of the fund in the fund, the fiduciary shall
withdraw and pay to the spouse, at least annually:

1. All of the income of the fund determined in accordance with
subparagraph (2)(a)1.; or

2. The income of the fund as a unitrust amount determined in accordance
with subparagraph (2)(a)2.

(b) For a fund that is a nonseparate account, the fiduciary shall withdraw
and pay to the spouse, at least annually, the income of the fund as a unitrust
amount determined in accordance with subsection (3).

(6) This section does not apply to payments to which s. 738.603 applies.

HISTORY:
S. 1, ch. 2002-42; s. 1, ch. 2009-207, eff. July 1, 2009; s. 20, ch. 2012-49,

eff. Jan. 1, 2013; s. 59, ch. 2022-4, effective May 13, 2022.

Editors notes.
Section 7520 of the Internal Revenue Code, referred to in this section, is

codified as 26 U.S.C.S.  7520.



 Title XLII. ,  Ch. 738. ,   738.603. 
Fla. Stat.  738.603

 738.603. Liquidating asset.
(1) For purposes of this section, the term liquidating asset means an

asset the value of which will diminish or terminate because the asset is
expected to produce receipts for a period of limited duration. The term
includes a leasehold, patent, copyright, royalty right, and right to receive
payments for more than 1 year under an arrangement that does not provide
for the payment of interest on the unpaid balance. The term does not
include a payment subject to s. 738.602, resources subject to s. 738.604,
timber subject to s. 738.605, an activity subject to s. 738.607, an asset
subject to s. 738.608, or any asset for which the fiduciary establishes a
reserve for depreciation under s. 738.703.

(2) A fiduciary shall allocate to income 5 percent of the receipts from
the carrying value of a liquidating asset and the balance to principal.
Amounts allocated to principal shall reduce the carrying value of the
liquidating asset, but not below zero. Amounts received in excess of the
remaining carrying value must be allocated to principal.

HISTORY:
S. 1, ch. 2002-42; s. 21, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.604. 
Fla. Stat.  738.604

 738.604. Minerals, water, and other natural resources.
(1) If a fiduciary accounts for receipts from an interest in minerals or

other natural resources pursuant to this section, the fiduciary shall allocate
such receipts as follows:
(a) If received as nominal delay rental or nominal annual rent on a lease, a

receipt shall be allocated to income.
(b) If received from a production payment, a receipt shall be allocated to

income if and to the extent the agreement creating the production payment
provides a factor for interest or its equivalent. The balance shall be allocated
to principal.

(c) If an amount received as a royalty, shut-in-well payment, take-or-pay
payment, bonus, or delay rental is more than nominal, 90 percent shall be
allocated to principal and the balance to income.

(d) If an amount is received from a working interest or any other interest
not provided for in paragraph (a), paragraph (b), or paragraph (c), 90 percent
of the net amount received shall be allocated to principal and the balance to
income.

(2) An amount received on account of an interest in water that is
renewable shall be allocated to income. If the water is not renewable, 90
percent of the amount shall be allocated to principal and the balance to
income.

(3) This chapter applies whether or not a decedent or donor was
extracting minerals, water, or other natural resources before the interest
became subject to the trust or estate.

(4) If a trust or estate owns an interest in minerals, water, or other
natural resources on January 1, 2003, the fiduciary may allocate receipts
from the interest as provided in this chapter or in the manner used by the
fiduciary before January 1, 2003. If the trust or estate acquires an interest
in minerals, water, or other natural resources after January 1, 2003, the
fiduciary shall allocate receipts from the interest as provided in this
chapter.



HISTORY:
S. 1, ch. 2002-42; s. 22, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.605. 
Fla. Stat.  738.605

 738.605. Timber.
(1) If a fiduciary accounts for receipts from the sale of timber and

related products pursuant to this section, the fiduciary shall allocate such
net receipts as follows:
(a) To income to the extent the amount of timber removed from the land

does not exceed the rate of growth of the timber during the accounting
periods in which a beneficiary has a mandatory income interest;

(b) To principal to the extent the amount of timber removed from the land
exceeds the rate of growth of the timber or the net receipts are from the sale
of standing timber;

(c) To or between income and principal if the net receipts are from the
lease of timberland or from a contract to cut timber from land owned by a
trust or estate by determining the amount of timber removed from the land
under the lease or contract and applying the rules in paragraphs (a) and (b); or

(d) To principal to the extent advance payments, bonuses, and other
payments are not allocated pursuant to paragraph (a), paragraph (b), or
paragraph (c).

(2) In determining net receipts to be allocated pursuant to subsection (1),
a fiduciary shall deduct and transfer to principal a reasonable amount for
depletion.

(3) This chapter applies whether or not a decedent or donor was
harvesting timber from the property before the property became subject to
the trust or estate.

(4) If a trust or estate owns an interest in timberland on January 1, 2003,
the fiduciary may allocate net receipts from the sale of timber and related
products as provided in this chapter or in the manner used by the fiduciary
before January 1, 2003. If the trust or estate acquires an interest in
timberland after January 1, 2003, the fiduciary shall allocate net receipts
from the sale of timber and related products as provided in this chapter.

HISTORY:



S. 1, ch. 2002-42; s. 23, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.606. 
Fla. Stat.  738.606

 738.606. Property not productive of income.
(1) If a marital deduction under the Internal Revenue Code or

comparable law of any state is allowed for all or part of a trust, or if assets
are transferred to a trust that satisfies the requirements of s. 732.2025(2)(a)
and (c), and such assets have been used in whole or in part to satisfy an
election by a surviving spouse under s. 732.2125 and consist of property
that, in the aggregate, does not provide the spouse with sufficient income
from or use of the trust assets, and if amounts the trustee transfers from
principal to income under s. 738.104 and distributes to the spouse from
principal pursuant to the terms of the trust are insufficient to provide the
spouse with the beneficial enjoyment required to obtain the marital
deduction, even though, in the case of an elective share trust, a marital
deduction is not made or is only partially made, the spouse may require the
trustee of such marital trust or elective share trust to make property
productive of income, convert property within a reasonable time, or
exercise the power conferred by ss. 738.104 and 738.1041. The trustee
may decide which action or combination of actions to take.

(2) In cases not governed by subsection (1), proceeds from the sale or
other disposition of an asset are principal without regard to the amount of
income the asset produces during any accounting period.

HISTORY:
S. 1, ch. 2002-42; s. 24, ch. 2012-49, eff. Jan. 1, 2013; s. 12, ch. 2017-121,

effective July 1, 2017.



 Title XLII. ,  Ch. 738. ,   738.607. 
Fla. Stat.  738.607

 738.607. Derivatives and options.
(1) For purposes of this section, derivative means a contract or

financial instrument or a combination of contracts and financial
instruments which gives a trust the right or obligation to participate in
some or all changes in the price of a tangible or intangible asset or group of
assets, or changes in a rate, an index of prices or rates, or other market
indicator for an asset or a group of assets.

(2) To the extent a fiduciary does not account under s. 738.403 for
transactions in derivatives, the fiduciary shall allocate to principal receipts
from and disbursements made in connection with those transactions.

(3) If a fiduciary grants an option to buy property from the trust or estate
whether or not the trust or estate owns the property when the option is
granted, grants an option that permits another person to sell property to the
trust or estate, or acquires an option to buy property for the trust or estate
or an option to sell an asset owned by the trust or estate, and the fiduciary
or other owner of the asset is required to deliver the asset if the option is
exercised, an amount received for granting the option shall be allocated to
principal. An amount paid to acquire the option shall be paid from
principal. A gain or loss realized upon the exercise of an option, including
an option granted to a grantor of the trust or estate for services rendered,
shall be allocated to principal.

HISTORY:
S. 1, ch. 2002-42; s. 25, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.608. 
Fla. Stat.  738.608

 738.608. Asset-backed securities.
(1) For purposes of this section, asset-backed security means an asset

the value of which is based upon the right given the owner to receive
distributions from the proceeds of financial assets that provide collateral
for the security. The term includes an asset that gives the owner the right to
receive from the collateral financial assets only the interest or other current
return or only the proceeds other than interest or current return. The term
does not include an asset to which s. 738.401 or s. 738.602 applies.

(2) If a trust or estate receives a payment from interest or other current
return and from other proceeds of the collateral financial assets, the
fiduciary shall allocate to income the portion of the payment which the
payor identifies as being from interest or other current return and allocate
the balance of the payment to principal.

(3) If a trust or estate receives one or more payments in exchange for the
trusts or estates entire interest in an asset-backed security during a single
accounting period, the fiduciary shall allocate the payments to principal. If
a payment is one of a series of payments that will result in the liquidation
of the trusts or estates interest in the security over more than a single
accounting period, the fiduciary shall allocate 10 percent of the payment to
income and the balance to principal.

HISTORY:
S. 1, ch. 2002-42; s. 26, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.701. 
Fla. Stat.  738.701

 738.701. Disbursements from income.
A fiduciary shall make the following disbursements from income to the

extent they are not disbursements to which s. 738.201(2) applies:
(1) One-half of the regular compensation of the fiduciary and of any

person providing investment advisory or custodial services to the fiduciary.
(2) One-half of all expenses for accountings, judicial proceedings, or

other matters that involve both the income and remainder interests.
(3) All of the other ordinary expenses incurred in connection with the

administration, management, or preservation of trust property and the
distribution of income, including interest, ordinary repairs, regularly
recurring taxes assessed against principal, and expenses of a proceeding or
other matter that concerns primarily the income interest.

(4) Recurring premiums on insurance covering the loss of a principal
asset or the loss of income from or use of the asset.

HISTORY:
S. 1, ch. 2002-42; s. 27, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.702. 
Fla. Stat.  738.702

 738.702. Disbursements from principal.
(1) A fiduciary shall make the following disbursements from principal:

(a) The remaining one-half of the disbursements described in s. 738.701(1)
and (2).

(b) All of the trustees compensation calculated on principal as a fee for
acceptance, distribution, or termination and disbursements made to prepare
property for sale.

(c) Payments on the principal of a trust debt.
(d) Expenses of a proceeding that concerns primarily principal, including a

proceeding to construe the trust or will, or to protect the trust, estate, or its
property.

(e) Premiums paid on a policy of insurance not described in s. 738.701(4)
of which the trust or estate is the owner and beneficiary.

(f) Estate, inheritance, and other transfer taxes, including penalties,
apportioned to the trust.

(g) Disbursements related to environmental matters, including reclamation,
assessing environmental conditions, remedying and removing environmental
contamination, monitoring remedial activities and the release of substances,
preventing future releases of substances, collecting amounts from persons
liable or potentially liable for the costs of such activities, penalties imposed
under environmental laws or regulations and other payments made to comply
with those laws or regulations, statutory or common law claims by third
parties, and defending claims based on environmental matters.

(h) Payments representing extraordinary repairs or expenses incurred in
making a capital improvement to principal, including special assessments;
however, a fiduciary may establish an allowance for depreciation out of
income to the extent permitted by s. 738.703.

(2) If a principal asset is encumbered with an obligation that requires
income from that asset to be paid directly to the creditor, the trustee shall
transfer from principal to income an amount equal to the income paid to



the creditor in reduction of the principal balance of the obligation.

HISTORY:
S. 1, ch. 2002-42; s. 28, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.703. 
Fla. Stat.  738.703

 738.703. Transfers from income to principal for depreciation.
(1) For purposes of this section, depreciation means a reduction in

value due to wear, tear, decay, corrosion, or gradual obsolescence of a
fixed asset having a useful life of more than 1 year.

(2) A fiduciary may transfer to principal a reasonable amount of the net
cash receipts from a principal asset that is subject to depreciation but may
not transfer any amount for depreciation:
(a) Of that portion of real property used or available for use by a

beneficiary as a residence or of tangible personal property held or made
available for the personal use or enjoyment of a beneficiary;

(b) During the administration of a decedents estate; or
(c) Under this section if the fiduciary is accounting under s. 738.403 for the

business or activity in which the asset is used.
(3) The amount of depreciation taken for tax purposes with respect to an

asset shall be presumed to be a reasonable amount of depreciation. An
amount taken for depreciation shall not be considered unreasonable solely
because it is greater or less than the amount taken for tax purposes.

(4) An amount transferred to principal need not be held as a separate
fund.

HISTORY:
S. 1, ch. 2002-42; s. 29, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.704. 
Fla. Stat.  738.704

 738.704. Transfers from income to reimburse principal.
(1) If a fiduciary makes or expects to make a principal disbursement

described in this section, the fiduciary may transfer an appropriate amount
from income to principal in one or more accounting periods to reimburse
principal or to provide a reserve for future principal disbursements.

(2) Principal disbursements to which subsection (1) applies include the
following, but only to the extent the fiduciary has not been and does not
expect to be reimbursed by a third party:
(a) An amount chargeable to income but paid from principal because the

amount is unusually large.
(b) Disbursements made to prepare property for rental, including tenant

allowances, leasehold improvements, and brokers commissions.
(c) Disbursements described in s. 738.702(1)(g).

(3) If the asset the ownership of which gives rise to the disbursements
becomes subject to a successive income interest after an income interest
ends, a fiduciary may continue to transfer amounts from income to
principal as provided in subsection (1).

(4) To the extent principal cash is not sufficient to pay the principal
balance of payments due on mortgaged property, income may be applied to
such payment in order to avoid a default on any mortgage or security
interest securing the property. Income shall be reimbursed for such
payments out of the first available principal cash. If the asset the ownership
of which gives rise to the disbursements described in this subsection
becomes subject to a successive income interest after an income interest
ends, all rights of the initial income interest shall lapse, and amounts
remaining due from principal shall not be a lien on the assets of the trust.

HISTORY:
S. 1, ch. 2002-42; s. 30, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.705. 
Fla. Stat.  738.705

 738.705. Income taxes.
(1) A tax required to be paid by a fiduciary based on receipts allocated

to income shall be paid from income.
(2) A tax required to be paid by a fiduciary based on receipts allocated

to principal shall be paid from principal, even if the tax is called an income
tax by the taxing authority.

(3) A tax required to be paid by a fiduciary on the trusts or estates
share of an entitys taxable income shall be paid proportionately:
(a) From income to the extent receipts from the entity are allocated to

income.
(b) From principal to the extent receipts from the entity are allocated to

principal.
(c) From principal to the extent that the income taxes payable by the trust

or estate exceed the total receipts from the entity.
(4) After applying subsections (1)-(3), the fiduciary shall adjust income

or principal receipts to the extent that the trusts or estates income taxes
are reduced, but not eliminated, because the trust or estate receives a
deduction for payments made to a beneficiary. The amount distributable to
that beneficiary as income as a result of this adjustment shall be equal to
the cash received by the trust or estate, reduced, but not below zero, by the
entitys taxable income allocable to the trust or estate multiplied by the
trusts or estates income tax rate. The reduced amount shall be divided by
the difference between 1 and the trusts or estates income tax rate in order
to determine the amount distributable to that beneficiary as income before
giving effect to other receipts or disbursements allocable to that
beneficiarys interest.

HISTORY:
S. 1, ch. 2002-42; s. 31, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.706. 
Fla. Stat.  738.706

 738.706. Adjustments between principal and income because of taxes.
(1) A fiduciary may make adjustments between principal and income to

offset the shifting of economic interests or tax benefits between income
beneficiaries and remainder beneficiaries which arise from:
(a) Elections and decisions, other than those described in paragraph (b),

that the fiduciary makes from time to time regarding tax matters;
(b) An income tax or any other tax that is imposed upon the fiduciary or a

beneficiary as a result of a transaction involving or a distribution from the
estate or trust; or

(c) The ownership by an estate or trust of an interest in an entity whose
taxable income, whether or not distributed, is includable in the taxable
income of the estate, trust, or a beneficiary.

(2) If the amount of an estate tax marital deduction or charitable
contribution deduction is reduced because a fiduciary deducts an amount
paid from principal for income tax purposes instead of deducting such
amount for estate tax purposes, and as a result estate taxes paid from
principal are increased and income taxes paid by an estate, trust, or
beneficiary are decreased, each estate, trust, or beneficiary that benefits
from the decrease in income tax shall reimburse the principal from which
the increase in estate tax is paid. The total reimbursement shall equal the
increase in the estate tax to the extent the principal used to pay the increase
would have qualified for a marital deduction or charitable contribution
deduction but for the payment. The proportionate share of the
reimbursement for each estate, trust, or beneficiary whose income taxes are
reduced shall be the same as such estates, trusts, or beneficiarys
proportionate share of the total decrease in income tax. An estate or trust
shall reimburse principal from income.

HISTORY:
S. 1, ch. 2002-42.



 Title XLII. ,  Ch. 738. ,   738.801. 
Fla. Stat.  738.801

 738.801. Apportionment of expenses; improvements.
(1) For purposes of this section, the term:

(a) Remainderman means the holder of the remainder interests after the
expiration of a tenants estate in property.

(b) Tenant means the holder of an estate for life or term of years in real
property or personal property, or both.

(2) If a trust has not been created, expenses shall be apportioned
between the tenant and remainderman as follows:
(a) The following expenses are allocated to and shall be paid by the tenant:
1. All ordinary expenses incurred in connection with the administration,

management, or preservation of the property, including interest, ordinary
repairs, regularly recurring taxes assessed against the property, and expenses
of a proceeding or other matter that concerns primarily the tenants estate or
use of the property.

2. Recurring premiums on insurance covering the loss of the property or
the loss of income from or use of the property.

3. Any of the expenses described in subparagraph (b)3. which are
attributable to the use of the property by the tenant.

(b) The following expenses are allocated to and shall be paid by the
remainderman:

1. Payments on the principal of a debt secured by the property, except to
the extent the debt is for expenses allocated to the tenant.

2. Expenses of a proceeding or other matter that concerns primarily the
title to the property, other than title to the tenants estate.

3. Except as provided in subparagraph (a)3., expenses related to
environmental matters, including reclamation, assessing environmental
conditions, remedying and removing environmental contamination,
monitoring remedial activities and the release of substances, preventing
future releases of substances, collecting amounts from persons liable or



potentially liable for the costs of such activities, penalties imposed under
environmental laws or regulations and other payments made to comply with
those laws or regulations, statutory or common law claims by third parties,
and defending claims based on environmental matters.

4. Extraordinary repairs.
(c) If the tenant or remainderman incurred an expense for the benefit of his

or her own estate without consent or agreement of the other, he or she must
pay such expense in full.

(d) Except as provided in paragraph (c), the cost of, or special taxes or
assessments for, an improvement representing an addition of value to
property forming part of the principal shall be paid by the tenant if the
improvement is not reasonably expected to outlast the estate of the tenant. In
all other cases, only a part shall be paid by the tenant while the remainder
shall be paid by the remainderman. The part payable by the tenant is
ascertainable by taking that percentage of the total that is found by dividing
the present value of the tenants estate by the present value of an estate of the
same form as that of the tenant, except that it is limited for a period
corresponding to the reasonably expected duration of the improvement. The
computation of present values of the estates shall be made by using the rate
defined in 26 U.S.C. s. 7520, then in effect and, in the case of an estate for
life, the official mortality tables then in effect under 26 U.S.C. s. 7520. Other
evidence of duration or expectancy may not be considered.

(3) This section does not apply to the extent it is inconsistent with the
instrument creating the estates, the agreement of the parties, or the specific
direction of the taxing or other statutes.

(4) The common law applicable to tenants and remaindermen
supplements this section, except as modified by this section or other laws.

HISTORY:
S. 1, ch. 2002-42; s. 32, ch. 2012-49, eff. Jan. 1, 2013.



 Title XLII. ,  Ch. 738. ,   738.802. 
Fla. Stat.  738.802

 738.802. Uniformity of application and construction.
In applying and construing this act, consideration shall be given to the need

to promote uniformity of the law with respect to the acts subject matter
among states that enact such act.

HISTORY:
S. 1, ch. 2002-42.



 Title XLII. ,  Ch. 738. ,   738.803. 
Fla. Stat.  738.803

 738.803. Severability.
If any provision of this chapter or its application to any person or

circumstance is held invalid, the invalidity shall not affect other provisions or
applications of this chapter which can be given effect without the invalid
provision or application, and to this end the provisions of this chapter are
severable.

HISTORY:
S. 1, ch. 2002-42.



 Title XLII. ,  Ch. 738. ,   738.804. 
Fla. Stat.  738.804

 738.804. Application.
Except as provided in the trust instrument, the will, or this chapter, this

chapter shall apply to any receipt or expense received or incurred and any
disbursement made after January 1, 2003, by any trust or decedents estate,
whether established before or after January 1, 2003, and whether the asset
involved was acquired by the trustee or personal representative before or after
January 1, 2003. Receipts or expenses received or incurred and
disbursements made before January 1, 2003, shall be governed by the law of
this state in effect at the time of the event, except as otherwise expressly
provided in the will or terms of the trust or in this chapter.

HISTORY:
S. 1, ch. 2002-42.



 Title XLII. ,  Ch. 739. 
Fla. Stat. Title XLII, Ch. 739



CHAPTER 739.
FLORIDA UNIFORM DISCLAIMER OF PROPERTY

INTERESTS ACT.
 Title XLII. ,  Ch. 739. ,   739.101. 

Fla. Stat.  739.101

 739.101. Short title.
This chapter may be cited as the Florida Uniform Disclaimer of Property

Interests Act.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.102. 
Fla. Stat.  739.102

 739.102. Definitions.
As used in this chapter, the term:

(1) Benefactor means the creator of the interest that is subject to a
disclaimer.

(2) Beneficiary designation means an instrument, other than an
instrument creating or amending a trust, naming the beneficiary of:
(a) An annuity or insurance policy;
(b) An account with a designation for payment on death;
(c) A security registered in beneficiary form;
(d) A pension, profit-sharing, retirement, or other employment-related

benefit plan; or
(e) Any other nonprobate transfer at death.

(3) Disclaimant means the person to whom a disclaimed interest or
power would have passed had the disclaimer not been made.

(4) Disclaimed interest means the interest that would have passed to
the disclaimant had the disclaimer not been made.

(5) Disclaimer means the refusal to accept an interest in or power over
property. The term includes a renunciation.

(6) Fiduciary means a personal representative, trustee, agent acting
under a power of attorney, guardian, or other person authorized to act as a
fiduciary with respect to the property of another person.

(7) Future interest means an interest that takes effect in possession or
enjoyment, if at all, later than the time of its creation.

(8) Insolvent means, solely for purposes of this chapter, that the sum
of a persons debts is greater than all of the persons assets at fair valuation
and that the person is generally not paying his or her debts as they become
due. For purposes of this subsection, the term assets has the same
meaning as that provided in s. 726.102.



(9) Jointly held property means property held in the names of two or
more persons under an arrangement in which all holders have concurrent
interests and under which the last surviving holder is entitled to the whole
of the property. Jointly held property does not include property held as
tenants by the entirety.

(10) Person includes individuals, ascertained and unascertained, living
or not living, whether entitled to an interest by right of intestacy or
otherwise; a government, governmental subdivision, agency, or
instrumentality; and a public corporation.

(11) Time of distribution means the time when a disclaimed interest
would have taken effect in possession or enjoyment.

(12) Trust means:
(a) An express trust (including an honorary trust or a trust under s.

736.0408), charitable or noncharitable, with additions thereto, whenever and
however created; and

(b) A trust created pursuant to a statute, judgment, or decree which
requires the trust be administered in the manner of an express trust.

As used in this chapter, the term trust does not include a constructive
trust or a resulting trust.

HISTORY:
S. 1, ch. 2005-108; s. 43, ch. 2006-217, eff. July 1, 2007; s. 13, ch. 2009-

115, eff. July 1, 2009.



 Title XLII. ,  Ch. 739. ,   739.103. 
Fla. Stat.  739.103

 739.103. Scope.
This chapter applies to disclaimers of any interest in or power over

property, whenever created. Except as provided in s. 739.701, this chapter is
the exclusive means by which a disclaimer may be made under Florida law.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.104. 
Fla. Stat.  739.104

 739.104. Power to disclaim; general requirements; when irrevocable.
(1) A person may disclaim, in whole or in part, conditionally or

unconditionally, any interest in or power over property, including a power
of appointment. A person may disclaim the interest or power even if its
creator imposed a spendthrift provision or similar restriction on transfer or
a restriction or limitation on the right to disclaim. A disclaimer shall be
unconditional unless the disclaimant explicitly provides otherwise in the
disclaimer.

(2) With court approval, a fiduciary may disclaim, in whole or part, any
interest in or power over property, including a power of appointment,
except that a disclaimer of a power arising under s. 739.201(4) does not
require court approval. Without court approval, a fiduciary may disclaim,
in whole or in part, any interest in or power over property, including a
power of appointment, if and to the extent that the instrument creating the
fiduciary relationship explicitly grants the fiduciary the right to disclaim.
In the absence of a court-appointed guardian, notwithstanding anything in
chapter 744 to the contrary, without court approval, a natural guardian
under s. 744.301 may disclaim on behalf of a minor child of the natural
guardian, in whole or in part, any interest in or power over property,
including a power of appointment, which the minor child is to receive
solely as a result of another disclaimer, but only if the disclaimed interest
or power does not pass to or for the benefit of the natural guardian as a
result of the disclaimer.

(3) To be effective, a disclaimer must be in writing, declare the writing
as a disclaimer, describe the interest or power disclaimed, and be signed by
the person making the disclaimer and witnessed and acknowledged in the
manner provided for deeds of real estate to be recorded in this state. In
addition, for a disclaimer to be effective, an original of the disclaimer must
be delivered or filed in the manner provided in s. 739.301.

(4) A partial disclaimer may be expressed as a fraction, percentage,
monetary amount, term of years, limitation of a power, or any other
interest or estate in the property.



(5) A disclaimer becomes irrevocable when any conditions to which the
disclaimant has made the disclaimer subject are satisfied and when the
disclaimer is delivered or filed pursuant to s. 739.301 or it becomes
effective as provided in ss. 739.201-739.207, whichever occurs later.

(6) A disclaimer made under this chapter is not a transfer, assignment, or
release.

HISTORY:
S. 1, ch. 2005-108; s. 103, ch. 2006-1, eff. July 4, 2006; s. 14, ch. 2009-

115, eff. July 1, 2009.



 Title XLII. ,  Ch. 739. ,   739.201. 
Fla. Stat.  739.201

 739.201. Disclaimer of interest in property.
Except for a disclaimer governed by s. 739.202, s. 739.203, or s. 739.204,

the following rules apply to a disclaimer of an interest in property:
(1) The disclaimer takes effect as of the time the instrument creating the

interest becomes irrevocable or, if the interest arose under the law of
intestate succession, as of the time of the intestates death.

(2) The disclaimed interest passes according to any provision in the
instrument creating the interest providing explicitly for the disposition of
the interest, should it be disclaimed, or of disclaimed interests in general.

(3) If the instrument does not contain a provision described in subsection
(2), the following rules apply:
(a) If the disclaimant is an individual, the disclaimed interest passes as if

the disclaimant had died immediately before the interest was created, unless
under the governing instrument or other applicable law the disclaimed
interest is contingent on surviving to the time of distribution, in which case
the disclaimed interest passes as if the disclaimant had died immediately
before the time for distribution. However, if, by law or under the governing
instrument, the descendants of the disclaimant would share in the disclaimed
interest by any method of representation had the disclaimant died before the
time of distribution, the disclaimed interest passes only to the descendants of
the disclaimant who survive the time of distribution. For purposes of this
subsection, a disclaimed interest is created at the death of the benefactor or
such earlier time, if any, that the benefactors transfer of the interest is a
completed gift for federal gift tax purposes. Also for purposes of this
subsection, a disclaimed interest in a trust described in s. 733.707(3) shall
pass as if the interest had been created under a will.

(b) If the disclaimant is not an individual, the disclaimed interest passes as
if the disclaimant did not exist.

(c) Upon the disclaimer of a preceding interest, a future interest held by a
person other than the disclaimant takes effect as if the disclaimant had died or
ceased to exist immediately before the time of distribution, but a future



interest held by the disclaimant is not accelerated in possession or enjoyment
as a result of the disclaimer.

(4) In the case of a disclaimer of property over which the disclaimant
has a power, in a fiduciary or nonfiduciary capacity, to direct the beneficial
enjoyment of the disclaimed property, unless the disclaimer specifically
provides to the contrary with reference to this subsection, the disclaimant
shall also be deemed to have disclaimed that power unless the power is
limited by an ascertainable standard, as defined in s. 736.0103, as in effect
when the disclaimer becomes irrevocable.

HISTORY:
S. 1, ch. 2005-108; s. 15, ch. 2009-115, eff. July 1, 2009.



 Title XLII. ,  Ch. 739. ,   739.202. 
Fla. Stat.  739.202

 739.202. Disclaimer of rights of survivorship in jointly held property.
(1) Upon the death of a holder of jointly held property:

(a) If, during the deceased holders lifetime, the deceased holder could
have unilaterally regained a portion of the property attributable to the
deceased holders contributions without the consent of any other holder,
another holder may disclaim, in whole or in part, a fractional share of that
portion of the property attributable to the deceased holders contributions
determined by dividing the number one by the number of joint holders alive
immediately after the death of the holder to whose death the disclaimer
relates.

(b) For all other jointly held property, another holder may disclaim, in
whole or in part, a fraction of the whole of the property the numerator of
which is one and the denominator of which is the product of the number of
joint holders alive immediately before the death of the holder to whose death
the disclaimer relates multiplied by the number of joint holders alive
immediately after the death of the holder to whose death the disclaimer
relates.

(2) A disclaimer under subsection (1) takes effect as of the death of the
holder of jointly held property to whose death the disclaimer relates.

(3) An interest in jointly held property disclaimed by a surviving holder
of the property passes as if the disclaimant predeceased the holder to
whose death the disclaimer relates.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.203. 
Fla. Stat.  739.203

 739.203. Disclaimer of property held as tenancy by the entirety.
(1) The survivorship interest in property held as a tenancy by the

entirety to which the survivor succeeds by operation of law upon the death
of the cotenant may be disclaimed as provided in this chapter. For purposes
of this chapter only, the deceased tenants interest in property held as a
tenancy by the entirety shall be deemed to be an undivided one-half
interest.

(2) A disclaimer under subsection (1) takes effect as of the death of the
deceased tenant to whose death the disclaimer relates.

(3) The survivorship interest in property held as a tenancy by the
entirety disclaimed by the surviving tenant passes as if the disclaimant had
predeceased the tenant to whose death the disclaimer relates.

(4) A disclaimer of an interest in real property held as tenants by the
entirety does not cause the disclaimed interest to be homestead property for
purposes of descent and distribution under ss. 732.401 and 732.4015.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.204. 
Fla. Stat.  739.204

 739.204. Disclaimer of interest by trustee.
If a trustee having the power to disclaim under the instrument creating the

fiduciary relationship or pursuant to court order disclaims an interest in
property that otherwise would have become trust property, the interest does
not become trust property.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.205. 
Fla. Stat.  739.205

 739.205. Disclaimer of power of appointment or other power not held
in a fiduciary capacity.

If a holder disclaims a power of appointment or other power not held in a
fiduciary capacity, the following rules apply:

(1) If the holder has not exercised the power, the disclaimer takes effect
as of the time the instrument creating the power becomes irrevocable.

(2) If the holder has exercised the power and the disclaimer is of a
power other than a presently exercisable general power of appointment, the
disclaimer takes effect immediately after the last exercise of the power.

(3) The instrument creating the power is construed as if the power
expired when the disclaimer became effective.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.206. 
Fla. Stat.  739.206

 739.206. Disclaimer by appointee, object, or taker in default of exercise
of power of appointment.
(1) A disclaimer of an interest in property by an appointee of a power of

appointment takes effect as of the time the instrument by which the holder
exercises the power becomes irrevocable.

(2) A disclaimer of an interest in property by an object, or taker in
default of an exercise of a power of appointment, takes effect as of the time
the instrument creating the power becomes irrevocable.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.207. 
Fla. Stat.  739.207

 739.207. Disclaimer of power held in fiduciary capacity.
(1) If a fiduciary disclaims a power held in a fiduciary capacity which

has not been exercised, the disclaimer takes effect as of the time the
instrument creating the power becomes irrevocable.

(2) If a fiduciary disclaims a power held in a fiduciary capacity which
has been exercised, the disclaimer takes effect immediately after the last
exercise of the power.

(3) A disclaimer under this section is effective as to another fiduciary if
the disclaimer so provides and the fiduciary disclaiming has the authority
to bind the estate, trust, or other person for whom the fiduciary is acting,
except that a disclaimer of a fiduciary power arising under s. 739.201(4)
shall bind only the disclaiming fiduciary.

HISTORY:
S. 1, ch. 2005-108; s. 16, ch. 2009-115, eff. July 1, 2009.



 Title XLII. ,  Ch. 739. ,   739.301. 
Fla. Stat.  739.301

 739.301. Delivery or filing.
(1) Subject to subsections (2) through (12), delivery of a disclaimer may

be effected by personal delivery, first-class mail, or any other method that
results in its receipt. A disclaimer sent by first-class mail shall be deemed
to have been delivered on the date it is postmarked. Delivery by any other
method shall be effective upon receipt by the person to whom the
disclaimer is to be delivered under this section.

(2) In the case of a disclaimer of an interest created under the law of
intestate succession or an interest created by will, other than an interest in a
testamentary trust:
(a) The disclaimer must be delivered to the personal representative of the

decedents estate; or
(b) If no personal representative is serving when the disclaimer is sought to

be delivered, the disclaimer must be filed with the clerk of the court in any
county where venue of administration would be proper.

(3) In the case of a disclaimer of an interest in a testamentary trust:
(a) The disclaimer must be delivered to the trustee serving when the

disclaimer is delivered or, if no trustee is then serving, to the personal
representative of the decedents estate; or

(b) If no personal representative is serving when the disclaimer is sought to
be delivered, the disclaimer must be filed with the clerk of the court in any
county where venue of administration of the decedents estate would be
proper.

(4) In the case of a disclaimer of an interest in an inter vivos trust:
(a) The disclaimer must be delivered to the trustee serving when the

disclaimer is delivered;
(b) If no trustee is then serving, it must be filed with the clerk of the court

in any county where the filing of a notice of trust would be proper; or
(c) If the disclaimer is made before the time the instrument creating the



trust becomes irrevocable, the disclaimer must be delivered to the grantor of
the revocable trust or the transferor of the interest or to such persons legal
representative.

(5) In the case of a disclaimer of an interest created by a beneficiary
designation made before the time the designation becomes irrevocable, the
disclaimer must be delivered to the person making the beneficiary
designation or to such persons legal representative.

(6) In the case of a disclaimer of an interest created by a beneficiary
designation made after the time the designation becomes irrevocable, the
disclaimer must be delivered to the person obligated to distribute the
interest.

(7) In the case of a disclaimer by a surviving holder of jointly held
property, or by the surviving tenant in property held as a tenancy by the
entirety, the disclaimer must be delivered to the person to whom the
disclaimed interest passes or, if such person cannot reasonably be located
by the disclaimant, the disclaimer must be delivered as provided in
subsection (2).

(8) In the case of a disclaimer by an object, or taker in default of
exercise, of a power of appointment at any time after the power was
created:
(a) The disclaimer must be delivered to the holder of the power or to the

fiduciary acting under the instrument that created the power; or
(b) If no fiduciary is serving when the disclaimer is sought to be delivered,

the disclaimer must be filed with a court having authority to appoint the
fiduciary.

(9) In the case of a disclaimer by an appointee of a nonfiduciary power
of appointment:
(a) The disclaimer must be delivered to the holder, the personal

representative of the holders estate, or the fiduciary under the instrument that
created the power; or

(b) If no fiduciary is serving when the disclaimer is sought to be delivered,
the disclaimer must be filed with a court having authority to appoint the
fiduciary.



(10) In the case of a disclaimer by a fiduciary of a power over a trust or
estate, the disclaimer must be delivered as provided in subsection (2),
subsection (3), or subsection (4) as if the power disclaimed were an interest
in property.

(11) In the case of a disclaimer of a power exercisable by an agent, other
than a power exercisable by a fiduciary over a trust or estate, the disclaimer
must be delivered to the principal or the principals representative.

(12) Notwithstanding subsection (1), delivery of a disclaimer of an
interest in or relating to real estate shall be presumed upon the recording of
the disclaimer in the office of the clerk of the court of the county or
counties where the real estate is located.

(13) A fiduciary or other person having custody of the disclaimed
interest is not liable for any otherwise proper distribution or other
disposition made without actual notice of the disclaimer or, if the
disclaimer is barred under s. 739.402, for any otherwise proper distribution
or other disposition made in reliance on the disclaimer, if the distribution
or disposition is made without actual knowledge of the facts constituting
the bar of the right to disclaim.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.401. 
Fla. Stat.  739.401

 739.401. When disclaimer is permitted.
A disclaimer may be made at any time unless barred under s. 739.402.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.402. 
Fla. Stat.  739.402

 739.402. When disclaimer is barred or limited.
(1) A disclaimer is barred by a written waiver of the right to disclaim.
(2) A disclaimer of an interest in property is barred if any of the

following events occur before the disclaimer becomes effective:
(a) The disclaimant accepts the interest sought to be disclaimed;
(b) The disclaimant voluntarily assigns, conveys, encumbers, pledges, or

transfers the interest sought to be disclaimed or contracts to do so;
(c) The interest sought to be disclaimed is sold pursuant to a judicial sale;

or
(d) The disclaimant is insolvent when the disclaimer becomes irrevocable.

(3) A disclaimer, in whole or in part, of the future exercise of a power
held in a fiduciary capacity is not barred by its previous exercise.

(4) A disclaimer, in whole or in part, of the future exercise of a power
not held in a fiduciary capacity is not barred by its previous exercise unless
the power is exercisable in favor of the disclaimant.

(5) A disclaimer of an interest in, or a power over, property which is
barred by this section is ineffective.

HISTORY:
S. 1, ch. 2005-108; s. 17, ch. 2009-115, eff. July 1, 2009.



 Title XLII. ,  Ch. 739. ,   739.501. 
Fla. Stat.  739.501

 739.501. Tax-qualified disclaimer.
Notwithstanding any provision of this chapter other than s. 739.402, if, as a

result of a disclaimer or transfer, the disclaimed or transferred interest is
treated pursuant to the provisions of s. 2518 of the Internal Revenue Code of
1986 as never having been transferred to the disclaimant, the disclaimer or
transfer is effective as a disclaimer under this chapter.

HISTORY:
S. 1, ch. 2005-108; s. 18, ch. 2009-115, eff. July 1, 2009.

Editors notes.
Section 2518 of the Internal Revenue Code, referred to in this section, is

codified as 26 U.S.C.S.  2518.



 Title XLII. ,  Ch. 739. ,   739.601. 
Fla. Stat.  739.601

 739.601. Recording of disclaimer relating to real estate.
(1) A disclaimer of an interest in or relating to real estate does not

provide constructive notice to all persons unless the disclaimer contains a
legal description of the real estate to which the disclaimer relates and
unless the disclaimer is filed for recording in the office of the clerk of the
court in the county or counties where the real estate is located.

(2) An effective disclaimer meeting the requirements of subsection (1)
constitutes constructive notice to all persons from the time of filing.
Failure to record the disclaimer does not affect its validity as between the
disclaimant and persons to whom the property interest or power passes by
reason of the disclaimer.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 739. ,   739.701. 
Fla. Stat.  739.701

 739.701. Application to existing relationships.
Except as otherwise provided in s. 739.402, an interest in or power over

property existing on July 1, 2005, as to which the time for delivering or filing
a disclaimer under laws superseded by this chapter has not expired, may be
disclaimed after July 1, 2005.

HISTORY:
S. 1, ch. 2005-108.



 Title XLII. ,  Ch. 740. 
Fla. Stat. Title XLII, Ch. 740



CHAPTER 740.
FIDUCIARY ACCESS TO DIGITAL ASSETS.

 Title XLII. ,  Ch. 740. ,   740.001. 
Fla. Stat.  740.001

 740.001. Short title.
This chapter may be cited as the Florida Fiduciary Access to Digital

Assets Act.

HISTORY:
S. 2, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.002. 
Fla. Stat.  740.002

 740.002. Definitions.
As used in this chapter, the term:

(1) Account means an arrangement under a terms-of-service
agreement in which the custodian carries, maintains, processes, receives, or
stores a digital asset of the user or provides goods or services to the user.

(2) Agent means a person that is granted authority to act for a
principal under a durable or nondurable power of attorney, whether
denominated an agent, an attorney in fact, or otherwise. The term includes
an original agent, a co-agent, and a successor agent.

(3) Carries means to engage in the transmission of electronic
communications.

(4) Catalog of electronic communications means information that
identifies each person with which a user has had an electronic
communication, the time and date of the communication, and the electronic
address of the person.

(5) Content of an electronic communication means information
concerning the substance or meaning of the communication which:
(a) Has been sent or received by a user;
(b) Is in electronic storage by a custodian providing an electronic

communication service to the public or is carried or maintained by a
custodian providing a remote computing service to the public; and

(c) Is not readily accessible to the public.
(6) Court means a circuit court of this state.
(7) Custodian means a person that carries, maintains, processes,

receives, or stores a digital asset of a user.
(8) Designated recipient means a person chosen by a user through an

online tool to administer digital assets of the user.
(9) Digital asset means an electronic record in which an individual has

a right or interest. The term does not include an underlying asset or



liability unless the asset or liability is itself an electronic record.
(10) Electronic means relating to technology having electrical, digital,

magnetic, wireless, optical, electromagnetic, or similar capabilities.
(11) Electronic communication has the same meaning as provided in

18 U.S.C. s. 2510(12).
(12) Electronic communication service means a custodian that

provides to a user the ability to send or receive an electronic
communication.

(13) Fiduciary means an original, additional, or successor personal
representative, guardian, agent, or trustee.

(14) Guardian means a person who is appointed by the court as
guardian of the property of a minor or an incapacitated individual. The
term includes an original guardian, a coguardian, and a successor guardian,
as well as a person appointed by the court as an emergency temporary
guardian of the property.

(15) Information means data, text, images, videos, sounds, codes,
computer programs, software, databases, or the like.

(16) Online tool means an electronic service provided by a custodian
which allows the user, in an agreement distinct from the terms-of-service
agreement between the custodian and user, to provide directions for
disclosure or nondisclosure of digital assets to a third person.

(17) Person means an individual, estate, trust, business or nonprofit
entity, public corporation, government or governmental subdivision,
agency, or instrumentality, or other legal entity.

(18) Personal representative means the fiduciary appointed by the
court to administer the estate of a deceased individual pursuant to letters of
administration or an order appointing a curator or administrator ad litem
for the estate. The term includes an original personal representative, a
copersonal representative, and a successor personal representative, as well
as a person who is entitled to receive and collect a deceased individuals
property pursuant to an order of summary administration issued pursuant
to chapter 735.

(19) Power of attorney means a record that grants an agent authority



to act in the place of a principal pursuant to chapter 709.
(20) Principal means an individual who grants authority to an agent in

a power of attorney.
(21) Record means information that is inscribed on a tangible medium

or that is stored in an electronic or other medium and is retrievable in
perceivable form.

(22) Remote computing service means a custodian that provides to a
user computer processing services or the storage of digital assets by means
of an electronic communications system as defined in 18 U.S.C. s.
2510(14).

(23) Terms-of-service agreement means an agreement that controls the
relationship between a user and a custodian.

(24) Trustee means a fiduciary that holds legal title to property under
an agreement, declaration, or trust instrument that creates a beneficial
interest in the settlor or other persons. The term includes an original
trustee, a cotrustee, and a successor trustee.

(25) User means a person that has an account with a custodian.
(26) Ward means an individual for whom a guardian has been

appointed.
(27) Will means an instrument admitted to probate, including a

codicil, executed by an individual in the manner prescribed by the Florida
Probate Code, which disposes of the individuals property on or after his or
her death. The term includes an instrument that merely appoints a personal
representative or revokes or revises another will.

HISTORY:
S. 3, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.003. 
Fla. Stat.  740.003

 740.003. User direction for disclosure of digital assets.
(1) A user may use an online tool to direct the custodian to disclose to a

designated recipient or not to disclose some or all of the users digital
assets, including the content of electronic communications. If the online
tool allows the user to modify or delete a direction at all times, a direction
regarding disclosure using an online tool overrides a contrary direction by
the user in a will, trust, power of attorney, or other record.

(2) If a user has not used an online tool to give direction under
subsection (1) or if the custodian has not provided an online tool, the user
may allow or prohibit disclosure to a fiduciary of some or all of the users
digital assets, including the content of electronic communications sent or
received by the user, in a will, trust, power of attorney, or other record.

(3) A users direction under subsection (1) or subsection (2) overrides a
contrary provision in a terms-of-service agreement that does not require the
user to act affirmatively and distinctly from the users assent to the terms
of service.

HISTORY:
S. 4, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.004. 
Fla. Stat.  740.004

 740.004. Terms-of-service agreement preserved.
(1) This chapter does not change or impair a right of a custodian or a

user under a terms-of-service agreement to access and use the digital assets
of the user.

(2) This chapter does not give a fiduciary or a designated recipient any
new or expanded rights other than those held by the user for whom, or for
whose estate or trust, the fiduciary or designated recipient acts or
represents.

(3) A fiduciarys or designated recipients access to digital assets may be
modified or eliminated by a user, by federal law, or by a terms-of-service
agreement if the user has not provided direction under s. 740.003.

HISTORY:
S. 5, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.005. 
Fla. Stat.  740.005

 740.005. Procedure for disclosing digital assets.
(1) When disclosing the digital assets of a user under this chapter, the

custodian may, at its sole discretion:
(a) Grant a fiduciary or designated recipient full access to the users

account;
(b) Grant a fiduciary or designated recipient partial access to the users

account sufficient to perform the tasks with which the fiduciary or designated
recipient is charged; or

(c) Provide a fiduciary or designated recipient a copy in a record of any
digital asset that, on the date the custodian received the request for disclosure,
the user could have accessed if the user were alive and had full capacity and
access to the account.

(2) A custodian may assess a reasonable administrative charge for the
cost of disclosing digital assets under this chapter.

(3) A custodian is not required to disclose under this chapter a digital
asset deleted by a user.

(4) If a user directs or a fiduciary requests a custodian to disclose under
this chapter some, but not all, of the users digital assets to the fiduciary or
a designated recipient, the custodian is not required to disclose the assets if
segregation of the assets would impose an undue burden on the custodian.
If the custodian believes the direction or request imposes an undue burden,
the custodian or the fiduciary may seek an order from the court to disclose:
(a) A subset limited by date of the users digital assets;
(b) All of the users digital assets to the fiduciary or designated recipient,

or to the court for review in chambers; or
(c) None of the users digital assets.

HISTORY:
S. 6, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.006. 
Fla. Stat.  740.006

 740.006. Disclosure of content of electronic communications of
deceased user.

If a deceased user consented to or a court directs the disclosure of the
content of electronic communications of the user, the custodian shall disclose
to the personal representative of the estate of the user the content of an
electronic communication sent or received by the user if the personal
representative gives to the custodian:

(1) A written request for disclosure which is in physical or electronic
form;

(2) A certified copy of the death certificate of the user;
(3) A certified copy of the letters of administration, the order authorizing

a curator or administrator ad litem, the order of summary administration
issued pursuant to chapter 735, or other court order;

(4) Unless the user provided direction using an online tool, a copy of the
users will, trust, power of attorney, or other record evidencing the users
consent to disclosure of the content of electronic communications; and

(5) If requested by the custodian:
(a) A number, username, address, or other unique subscriber or account

identifier assigned by the custodian to identify the users account;
(b) Evidence linking the account to the user; or
(c) A finding by the court that:
1. The user had a specific account with the custodian, identifiable by

information specified in paragraph (a);
2. Disclosure of the content of electronic communications of the user

would not violate 18 U.S.C. ss. 2701 et seq., 47 U.S.C. s. 222, or other
applicable law;

3. Unless the user provided direction using an online tool, the user
consented to disclosure of the content of electronic communications; or

4. Disclosure of the content of electronic communications of the user is



reasonably necessary for the administration of the estate.

HISTORY:
S. 7, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.007. 
Fla. Stat.  740.007

 740.007. Disclosure of other digital assets of deceased user.
Unless a user prohibited disclosure of digital assets or the court directs

otherwise, a custodian shall disclose to the personal representative of the
estate of a deceased user a catalog of electronic communications sent or
received by the user and digital assets of the user, except the content of
electronic communications, if the personal representative gives to the
custodian:

(1) A written request for disclosure which is in physical or electronic
form;

(2) A certified copy of the death certificate of the user;
(3) A certified copy of the letters of administration, the order authorizing

a curator or administrator ad litem, the order of summary administration
issued pursuant to chapter 735, or other court order; and

(4) If requested by the custodian:
(a) A number, username, address, or other unique subscriber or account

identifier assigned by the custodian to identify the users account;
(b) Evidence linking the account to the user;
(c) An affidavit stating that disclosure of the users digital assets is

reasonably necessary for the administration of the estate; or
(d) An order of the court finding that:
1. The user had a specific account with the custodian, identifiable by

information specified in paragraph (a); or
2. Disclosure of the users digital assets is reasonably necessary for the

administration of the estate.

HISTORY:
S. 8, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.008. 
Fla. Stat.  740.008

 740.008. Disclosure of content of electronic communications of
principal.

To the extent a power of attorney expressly grants an agent authority over
the content of electronic communications sent or received by the principal
and unless directed otherwise by the principal or the court, a custodian shall
disclose to the agent the content if the agent gives to the custodian:

(1) A written request for disclosure which is in physical or electronic
form;

(2) An original or copy of the power of attorney expressly granting the
agent authority over the content of electronic communications of the
principal;

(3) A certification by the agent, under penalty of perjury, that the power
of attorney is in effect; and

(4) If requested by the custodian:
(a) A number, username, address, or other unique subscriber or account

identifier assigned by the custodian to identify the principals account; or
(b) Evidence linking the account to the principal.

HISTORY:
S. 9, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.009. 
Fla. Stat.  740.009

 740.009. Disclosure of other digital assets of principal.
Unless otherwise ordered by the court, directed by the principal, or

provided by a power of attorney, a custodian shall disclose to an agent with
specific authority over the digital assets or with general authority to act on
behalf of the principal a catalog of electronic communications sent or
received by the principal, and digital assets of the principal, except the
content of electronic communications, if the agent gives the custodian:

(1) A written request for disclosure which is in physical or electronic
form;

(2) An original or a copy of the power of attorney which gives the agent
specific authority over digital assets or general authority to act on behalf of
the principal;

(3) A certification by the agent, under penalty of perjury, that the power
of attorney is in effect; and

(4) If requested by the custodian:
(a) A number, username, address, or other unique subscriber or account

identifier assigned by the custodian to identify the principals account; or
(b) Evidence linking the account to the principal.

HISTORY:
S. 10, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.01. 
Fla. Stat.  740.01

 740.01. Disclosure of digital assets held in trust when trustee is the
original user.

Unless otherwise ordered by the court or provided in a trust, a custodian
shall disclose to a trustee that is an original user of an account any digital
asset of the account held in trust, including a catalog of electronic
communications of the trustee and the content of electronic communications.

HISTORY:
S. 11, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.02. 
Fla. Stat.  740.02

 740.02. Disclosure of content of electronic communications held in trust
when trustee is not the original user.

Unless otherwise ordered by the court, directed by the user, or provided in
a trust, a custodian shall disclose to a trustee that is not an original user of an
account the content of an electronic communication sent or received by an
original or successor user and carried, maintained, processed, received, or
stored by the custodian in the account of the trust if the trustee gives the
custodian:

(1) A written request for disclosure which is in physical or electronic
form;

(2) A certified copy of the trust instrument, or a certification of trust
under s. 736.1017, which includes consent to disclosure of the content of
electronic communications to the trustee;

(3) A certification by the trustee, under penalty of perjury, that the trust
exists and that the trustee is a currently acting trustee of the trust; and

(4) If requested by the custodian:
(a) A number, username, address, or other unique subscriber or account

identifier assigned by the custodian to identify the trusts account; or
(b) Evidence linking the account to the trust.

HISTORY:
S. 12, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.03. 
Fla. Stat.  740.03

 740.03. Disclosure of other digital assets held in trust when trustee is
not the original user.

Unless otherwise ordered by the court, directed by the user, or provided in
a trust, a custodian shall disclose to a trustee that is not an original user of an
account, a catalog of electronic communications sent or received by an
original or successor user and stored, carried, or maintained by the custodian
in an account of the trust and any digital assets in which the trust has a right
or interest, other than the content of electronic communications, if the trustee
gives the custodian:

(1) A written request for disclosure which is in physical or electronic
form;

(2) A certified copy of the trust instrument, or a certification of trust
under s. 736.1017;

(3) A certification by the trustee, under penalty of perjury, that the trust
exists and that the trustee is a currently acting trustee of the trust; and

(4) If requested by the custodian:
(a) A number, username, address, or other unique subscriber or account

identifier assigned by the custodian to identify the trusts account; or
(b) Evidence linking the account to the trust.

HISTORY:
S. 13, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.04. 
Fla. Stat.  740.04

 740.04. Disclosure of digital assets to guardian of ward.
(1) After an opportunity for a hearing under chapter 744, the court may

grant a guardian access to the digital assets of a ward.
(2) Unless otherwise ordered by the court or directed by the user, a

custodian shall disclose to a guardian the catalog of electronic
communications sent or received by the ward and any digital assets in
which the ward has a right or interest, other than the content of electronic
communications, if the guardian gives the custodian:
(a) A written request for disclosure which is in physical or electronic form;
(b) A certified copy of letters of plenary guardianship of the property or the

court order that gives the guardian authority over the digital assets of the
ward; and

(c) If requested by the custodian:
1. A number, username, address, or other unique subscriber or account

identifier assigned by the custodian to identify the wards account; or
2. Evidence linking the account to the ward.

(3) A guardian with general authority to manage the property of a ward
may request a custodian of the digital assets of the ward to suspend or
terminate an account of the ward for good cause. A request made under
this section must be accompanied by a certified copy of the court order
giving the guardian authority over the wards property.

HISTORY:
S. 14, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.05. 
Fla. Stat.  740.05

 740.05. Fiduciary duty and authority.
(1) The legal duties imposed on a fiduciary charged with managing

tangible property apply to the management of digital assets, including:
(a) The duty of care;
(b) The duty of loyalty; and
(c) The duty of confidentiality.

(2) A fiduciarys or designated recipients authority with respect to a
digital asset of a user:
(a) Except as otherwise provided in s. 740.003, is subject to the applicable

terms-of-service agreement;
(b) Is subject to other applicable law, including copyright law;
(c) In the case of a fiduciary, is limited by the scope of the fiduciarys

duties; and
(d) May not be used to impersonate the user.

(3) A fiduciary with authority over the tangible personal property of a
decedent, ward, principal, or settlor has the right to access any digital asset
in which the decedent, ward, principal, or settlor had or has a right or
interest and that is not held by a custodian or subject to a terms-of-service
agreement.

(4) A fiduciary acting within the scope of the fiduciarys duties is an
authorized user of the property of the decedent, ward, principal, or settlor
for the purpose of applicable computer fraud and unauthorized computer
access laws, including under chapter 815.

(5) A fiduciary with authority over the tangible personal property of a
decedent, ward, principal, or settlor:
(a) Has the right to access the property and any digital asset stored in it;

and
(b) Is an authorized user for the purpose of computer fraud and



unauthorized computer access laws, including under chapter 815.
(6) A custodian may disclose information in an account to a fiduciary of

the user when the information is required to terminate an account used to
access digital assets licensed to the user.

(7) A fiduciary of a user may request a custodian to terminate the users
account. A request for termination must be in writing, in paper or
electronic form, and accompanied by:
(a) If the user is deceased, a certified copy of the death certificate of the

user;
(b) A certified copy of the letters of administration; the order authorizing a

curator or administrator ad litem; the order of summary administration issued
pursuant to chapter 735; or the court order, power of attorney, or trust giving
the fiduciary authority over the account; and

(c) If requested by the custodian:
1. A number, username, address, or other unique subscriber or account

identifier assigned by the custodian to identify the users account;
2. Evidence linking the account to the user; or
3. A finding by the court that the user had a specific account with the

custodian, identifiable by the information specified in subparagraph 1.

HISTORY:
S. 15, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.06. 
Fla. Stat.  740.06

 740.06. Custodian compliance and immunity.
(1) Not later than 60 days after receipt of the information required under

ss. 740.006-740.04, a custodian shall comply with a request under this
chapter from a fiduciary or designated recipient to disclose digital assets or
terminate an account. If the custodian fails to comply, the fiduciary or
designated recipient may apply to the court for an order directing
compliance.

(2) An order under subsection (1) directing compliance must contain a
finding that compliance is not in violation of 18 U.S.C. s. 2702.

(3) A custodian may notify a user that a request for disclosure or to
terminate an account was made under this chapter.

(4) A custodian may deny a request under this chapter from a fiduciary
or designated recipient for disclosure of digital assets or to terminate an
account if the custodian is aware of any lawful access to the account
following the receipt of the fiduciarys request.

(5) This chapter does not limit a custodians ability to obtain or require a
fiduciary or designated recipient requesting disclosure or termination under
this chapter to obtain a court order that:
(a) Specifies that an account belongs to the ward or principal;
(b) Specifies that there is sufficient consent from the ward or principal to

support the requested disclosure; and
(c) Contains a finding required by a law other than this chapter.

(6) A custodian and its officers, employees, and agents are immune from
liability for an act or omission done in good faith in compliance with this
chapter.

HISTORY:
S. 16, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.07. 
Fla. Stat.  740.07

 740.07. Relation to Electronic Signatures in Global and National
Commerce Act.

This chapter modifies, limits, and supersedes the Electronic Signatures in
Global and National Commerce Act, 15 U.S.C. ss. 7001 et seq., but does not
modify, limit, or supersede s. 101(c) of that act, 15 U.S.C. s. 7001(c), or
authorize electronic delivery of any of the notices described in s. 103(b) of
that act, 15 U.S.C. s. 7003(b).

HISTORY:
S. 17, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.08. 
Fla. Stat.  740.08

 740.08. Applicability.
(1) Subject to subsection (3), this chapter applies to:

(a) A fiduciary acting under a will, trust, or power of attorney executed
before, on, or after July 1, 2016;

(b) A personal representative acting for a decedent who died before, on, or
after July 1, 2016;

(c) A guardian appointed through a guardianship proceeding, whether
pending in a court or commenced before, on, or after July 1, 2016; and

(d) A trustee acting under a trust created before, on, or after July 1, 2016.
(2) This chapter applies to a custodian if the user resides in this state or

resided in this state at the time of the users death.
(3) This chapter does not apply to a digital asset of an employer used by

an employee in the ordinary course of the employers business.

HISTORY:
S. 18, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.09. 
Fla. Stat.  740.09

 740.09. Severability.
If any provision of this chapter or its application to any person or

circumstance is held invalid, the invalidity does not affect other provisions or
applications of this chapter which can be given effect without the invalid
provision or application, and to this end the provisions of this chapter are
severable.

HISTORY:
S. 19, ch. 2016-46, effective July 1, 2016.



 Title XLII. ,  Ch. 740. ,   740.11. 
Fla. Stat.  740.11

 740.11. Relation to wills. 
No act taken pursuant to this chapter is valid to affect the obligation of a

person to deposit a will of a decedent as required under s. 732.901.

History.
S. 39, ch. 2019-71, effective January 1, 2020.



 Title XLIII. 
Fla. Stat. Title XLIII

TITLE XLIII.
DOMESTIC RELATIONS.

________
 Title XLIII. ,  Ch. 744. 

Fla. Stat. Title XLIII, Ch. 744



CHAPTER 744.
GUARDIANSHIP.

 Title XLIII. ,  Ch. 744. ,  Pt. I. 
Fla. Stat. Title XLIII, Ch. 744, Pt. I



PART I.
GENERAL PROVISIONS.

 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.101. 
Fla. Stat.  744.101

 744.101. Short title.
This chapter may be cited as the Florida Guardianship Law.

HISTORY:
S. 1, ch. 74-106; s. 1, ch. 89-96.

Editors notes.
Created from former s. 744.01.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1012. 
Fla. Stat.  744.1012

 744.1012. Legislative intent.
The Legislature finds that:

(1) Adjudicating a person totally incapacitated and in need of a guardian
deprives such person of all her or his civil and legal rights and that such
deprivation may be unnecessary.

(2) It is desirable to make available the least restrictive form of
guardianship to assist persons who are only partially incapable of caring
for their needs and that alternatives to guardianship and less restrictive
means of assistance, including, but not limited to, guardian advocates, be
explored before a plenary guardian is appointed.

(3) By recognizing that every individual has unique needs and differing
abilities, it is the purpose of this act to promote the public welfare by
establishing a system that permits incapacitated persons to participate as
fully as possible in all decisions affecting them; that assists such persons in
meeting the essential requirements for their physical health and safety, in
protecting their rights, in managing their financial resources, and in
developing or regaining their abilities to the maximum extent possible; and
that accomplishes these objectives through providing, in each case, the
form of assistance that least interferes with the legal capacity of a person to
act in her or his own behalf. This act shall be liberally construed to
accomplish this purpose.

(4) Private guardianship may be inadequate when there is no willing and
responsible family member or friend, other person, bank, or corporation
available to serve as guardian for an incapacitated person, and such person
does not have adequate income or wealth for the compensation of a private
guardian.

(5) Through the establishment of the Office of Public and Professional
Guardians, the Legislature intends to permit the establishment of offices of
public guardians for the purpose of providing guardianship services for
incapacitated persons when no private guardian is available.

(6) A public guardian will be provided only to those persons whose



needs cannot be met through less restrictive means of intervention. A
public guardian may also serve in the capacity of a limited guardian or
guardian advocate under s. 393.12 when the public guardian is the
guardian of last resort as described in subsection (4).

HISTORY:
S. 3, ch. 89-96; s. 1, ch. 90-271; s. 1067, ch. 97-102; s. 4, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.102. 
Fla. Stat.  744.102

 744.102. Definitions.
As used in this chapter, the term:

(1) Attorney for the alleged incapacitated person means an attorney
who represents the alleged incapacitated person. The attorney shall
represent the expressed wishes of the alleged incapacitated person to the
extent it is consistent with the rules regulating The Florida Bar.

(2) Audit means a systematic review of financial and all other
documents to ensure compliance with s. 744.368, rules of court, and local
procedures using generally accepted accounting principles. The term
includes various practices that meet professional standards, such as
verifications, reviews of substantiating papers and accounts, interviews,
inspections, and investigations.

(3) Clerk means the clerk or deputy clerk of the court.
(4) Corporate guardian means a corporation authorized to exercise

fiduciary or guardianship powers in this state and includes a nonprofit
corporate guardian.

(5) Court means the circuit court.
(6) Court monitor means a person appointed by the court under s.

744.107 to provide the court with information concerning a ward.
(7) Estate means the property of a ward subject to administration.
(8) Foreign guardian means a guardian appointed in another state or

country.
(9) Guardian means a person who has been appointed by the court to

act on behalf of a wards person or property, or both.
(a) Limited guardian means a guardian who has been appointed by the

court to exercise the legal rights and powers specifically designated by court
order entered after the court has found that the ward lacks the capacity to do
some, but not all, of the tasks necessary to care for his or her person or
property, or after the person has voluntarily petitioned for appointment of a



limited guardian.
(b) Plenary guardian means a person who has been appointed by the

court to exercise all delegable legal rights and powers of the ward after the
court has found that the ward lacks the capacity to perform all of the tasks
necessary to care for his or her person or property.

(10) Guardian ad litem means a person who is appointed by the court
having jurisdiction of the guardianship or a court in which a particular
legal matter is pending to represent a ward in that proceeding.

(11) Guardian advocate means a person appointed by a written order
of the court to represent a person with developmental disabilities under s.
393.12. As used in this chapter, the term does not apply to a guardian
advocate appointed for a person determined incompetent to consent to
treatment under s. 394.4598.

(12) Incapacitated person means a person who has been judicially
determined to lack the capacity to manage at least some of the property or
to meet at least some of the essential health and safety requirements of the
person.
(a) To manage property means to take those actions necessary to obtain,

administer, and dispose of real and personal property, intangible property,
business property, benefits, and income.

(b) To meet essential requirements for health or safety means to take
those actions necessary to provide the health care, food, shelter, clothing,
personal hygiene, or other care without which serious and imminent physical
injury or illness is more likely than not to occur.

(13) Minor means a person under 18 years of age whose disabilities
have not been removed by marriage or otherwise.

(14) Next of kin means those persons who would be heirs at law of the
ward or alleged incapacitated person if the person were deceased and
includes the lineal descendants of the ward or alleged incapacitated person.

(15) Nonprofit corporate guardian means a nonprofit corporation
organized for religious or charitable purposes and existing under the laws
of this state.

(16) Preneed guardian means a person named in a written declaration



to serve as guardian in the event of the incapacity of the declarant as
provided in s. 744.3045.

(17) Professional guardian means any guardian who has at any time
rendered services to three or more wards as their guardian. A person
serving as a guardian for two or more relatives as defined in s. 744.309(2)
is not considered a professional guardian. A public guardian shall be
considered a professional guardian for purposes of regulation, education,
and registration.

(18) Property means both real and personal property or any interest in
it and anything that may be the subject of ownership.

(19) Standby guardian means a person empowered to assume the
duties of guardianship upon the death or adjudication of incapacity of the
last surviving natural or appointed guardian.

(20) Surrogate guardian means a guardian designated according to s.
744.442.

(21) Totally incapacitated means incapable of exercising any of the
rights enumerated in s. 744.3215(2) and (3).

(22) Ward means a person for whom a guardian has been appointed.

HISTORY:
S. 1, ch. 74-106; s. 2, ch. 75-222; s. 231, ch. 77-104; s. 1, ch. 79-221; s. 3,

ch. 80-171; s. 4, ch. 89-96; s. 2, ch. 90-271; s. 1, ch. 96-354; s. 1780, ch. 97-
102; s. 6, ch. 2003-57; s. 9, ch. 2004-260; s. 1, ch. 2006-178, eff. July 1,
2006; s. 1, ch. 2014-124, effective July 1, 2014.

Editors notes.
Created from former s. 744.03.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1025. 
Fla. Stat.  744.1025

 744.1025. Additional definitions.
The definitions contained in the Florida Probate Code shall be applicable

to the Florida Guardianship Law, unless the context requires otherwise,
insofar as such definitions do not conflict with definitions contained in this
law.

HISTORY:
S. 2, ch. 79-221; s. 5, ch. 89-96.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.103. 
Fla. Stat.  744.103

 744.103. Guardians of incapacitated world war veterans. [Repealed]
Repealed by s. 1, ch. 2012-40, effective July 1, 2012.

HISTORY:
S. 1, ch. 74-106; s. 2, ch. 75-222; s. 1, ch. 77-174; s. 6, ch. 89-96.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.104. 
Fla. Stat.  744.104

 744.104. Verification of documents.
When verification of a document is required in this chapter or by rule, the

document filed shall include an oath or affirmation or the following
statement: Under penalties of perjury, I declare that I have read the
foregoing, and the facts alleged are true to the best of my knowledge and
belief. Any person who shall willfully include a false statement in the
document shall be guilty of perjury and upon conviction shall be punished
accordingly.

HISTORY:
S. 1, ch. 74-106; s. 2, ch. 75-222; s. 7, ch. 89-96.

Editors notes.
Created from former s. 744.37.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.105. 
Fla. Stat.  744.105

 744.105. Costs.
In all guardianship proceedings, costs may be awarded. When the costs are

to be paid out of the property of the ward, the court may direct from what part
of the property the costs shall be paid.

HISTORY:
S. 1, ch. 74-106; s. 8, ch. 89-96; s. 3, ch. 90-271.

Editors notes.
Created from former s. 744.47.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.106. 
Fla. Stat.  744.106

 744.106. Notice.
The requirements for notice under this chapter are those provided for in the

Florida Probate Rules except as provided in s. 744.331(1).

HISTORY:
S. 4, ch. 75-222; s. 9, ch. 89-96; s. 65, ch. 95-211.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.107. 
Fla. Stat.  744.107

 744.107. Court monitors.
(1) The court may, upon inquiry from any interested person or upon its

own motion in any proceeding over which it has jurisdiction, appoint a
monitor. The court shall not appoint as a monitor a family member or any
person with a personal interest in the proceedings. The order of
appointment shall be served upon the guardian, the ward, and such other
persons as the court may determine.

(2) The monitor may investigate, seek information, examine documents,
or interview the ward and shall report to the court his or her findings. The
report shall be verified and shall be served on the guardian, the ward, and
such other persons as the court may determine.

(3) If it appears from the monitors report that further action by the court
to protect the interests of the ward is necessary, the court shall, after a
hearing with notice, enter any order necessary to protect the ward or the
wards estate, including amending the plan, requiring an accounting,
ordering production of assets, freezing assets, suspending a guardian, or
initiating proceedings to remove a guardian.

(4) Unless otherwise prohibited by law, a monitor may be allowed a
reasonable fee as determined by the court and paid from the property of the
ward. No full-time state, county, or municipal employee or officer shall be
paid a fee for such investigation and report. If the court finds the motion
for court monitor to have been filed in bad faith, the costs of the
proceeding, including attorneys fees, may be assessed against the movant.

(5) The court may appoint the office of criminal conflict and civil
regional counsel as monitor if the ward is indigent.

HISTORY:
SS. 18, 26, ch. 75-222; s. 10, ch. 89-96; s. 4, ch. 90-271; s. 1068, ch. 97-

102; s. 2, ch. 2006-77, eff. June 6, 2006; s. 2, ch. 2015-83, effective July 1,
2015.

Editors Notes



Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,
Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1075. 
Fla. Stat.  744.1075

 744.1075. Emergency court monitor.
(1)(a) A court, upon inquiry from any interested person or upon its own
motion, in any proceeding over which the court has jurisdiction, may
appoint a court monitor on an emergency basis without notice. The court
must specifically find that there appears to be imminent danger that the
physical or mental health or safety of the ward will be seriously impaired
or that the wards property is in danger of being wasted, misappropriated,
or lost unless immediate action is taken. The scope of the matters to be
investigated and the powers and duties of the monitor must be specifically
enumerated by court order.
(b) The authority of a monitor appointed under this section expires 60 days

after the date of appointment or upon a finding of no probable cause,
whichever occurs first. The authority of the monitor may be extended for an
additional 30 days upon a showing that the emergency conditions still exist.

(2) Within 15 days after the entry of the order of appointment, the
monitor shall file his or her report of findings and recommendations to the
court. The report shall be verified and may be supported by documents or
other evidence.

(3) Upon review of the report, the court shall determine whether there is
probable cause to take further action to protect the person or property of
the ward. If the court finds no probable cause, the court shall issue an order
finding no probable cause and discharging the monitor.
(4)(a) If the court finds probable cause, the court shall issue an order to
show cause directed to the guardian or other respondent stating the
essential facts constituting the conduct charged and requiring the
respondent to appear before the court to show cause why the court should
not take further action. The order shall specify the time and place of the
hearing with a reasonable time to allow for the preparation of a defense
after service of the order.
(b) At any time prior to the hearing on the order to show cause, the court

may issue a temporary injunction, a restraining order, or an order freezing
assets; may suspend the guardian or appoint a guardian ad litem; or may issue



any other appropriate order to protect the physical or mental health or safety
or property of the ward. A copy of all such orders or injunctions shall be
transmitted by the court or under its direction to all parties at the time of entry
of the order or injunction.

(c) Following a hearing on the order to show cause, the court may impose
sanctions on the guardian or his or her attorney or other respondent or take
any other action authorized by law, including entering a judgment of
contempt; ordering an accounting; freezing assets; referring the case to local
law enforcement agencies or the state attorney; filing an abuse, neglect, or
exploitation complaint with the Department of Children and Families; or
initiating proceedings to remove the guardian.

Nothing in this subsection shall be construed to preclude the mandatory
reporting requirements of chapter 39.

(5) Unless otherwise prohibited by law, a monitor may be allowed a
reasonable fee as determined by the court and paid from the property of the
ward. No full-time state, county, or municipal employee or officer shall be
paid a fee for such investigation and report. If the court finds the motion
for a court monitor to have been filed in bad faith, the costs of the
proceeding, including attorneys fees, may be assessed against the movant.

(6) The court may appoint the office of criminal conflict and civil
regional counsel as monitor if the ward is indigent.

HISTORY:
S. 3, ch. 2006-77, eff. June 6, 2006; s. 291, ch. 2014-19, effective July 1,

2014; s. 3, ch. 2015-83, effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1076. 
Fla. Stat.  744.1076

 744.1076. Court orders appointing court monitors and emergency
court monitors; reports of court monitors; orders finding no
probable cause; public records exemptions.

(1)(a) The order of any court appointing a court monitor pursuant to s.
744.107 or an emergency court monitor pursuant to s. 744.1075 is exempt
from s. 24(a), Art. I of the State Constitution.
(b) The reports of an appointed court monitor or emergency court monitor

relating to the medical condition, financial affairs, or mental health of the
ward are confidential and exempt from s. 24(a), Art. I of the State
Constitution. Such reports may be subject to inspection as determined by the
court or upon a showing of good cause.

(c) The public records exemptions provided in this subsection expire if a
court makes a finding of probable cause, except that information otherwise
made confidential or exempt shall retain its confidential or exempt status.

(2) Court orders finding no probable cause pursuant to s. 744.107 or s.
744.1075 are confidential and exempt from s. 24(a), Art. I of the State
Constitution; however, such orders may be subject to inspection as
determined by the court or upon a showing of good cause.

HISTORY:
S. 1, ch. 2006-129, eff. June 6, 2006; s. 161, ch. 2008-4, eff. July 1, 2008;

s. 1, ch. 2011-204, eff. Oct. 1, 2011.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.108. 
Fla. Stat.  744.108

 744.108. Guardian and attorney fees and expenses.
(1) A guardian, or an attorney who has rendered services to the ward or

to the guardian on the wards behalf, is entitled to a reasonable fee for
services rendered and reimbursement for costs incurred on behalf of the
ward.

(2) When fees for a guardian or an attorney are submitted to the court
for determination, the court shall consider the following criteria:
(a) The time and labor required;
(b) The novelty and difficulty of the questions involved and the skill

required to perform the services properly;
(c) The likelihood that the acceptance of the particular employment will

preclude other employment of the person;
(d) The fee customarily charged in the locality for similar services;
(e) The nature and value of the incapacitated persons property, the amount

of income earned by the estate, and the responsibilities and potential
liabilities assumed by the person;

(f) The results obtained;
(g) The time limits imposed by the circumstances;
(h) The nature and length of the relationship with the incapacitated person;

and
(i) The experience, reputation, diligence, and ability of the person

performing the service.
(3) In awarding fees to attorney guardians, the court must clearly

distinguish between fees and expenses for legal services and fees and
expenses for guardian services and must have determined that no conflict
of interest exists.

(4) Fees for legal services may include customary and reasonable
charges for work performed by legal assistants employed by and working
under the direction of the attorney.



(5) All petitions for guardian and attorney fees and expenses must be
accompanied by an itemized description of the services performed for the
fees and expenses sought to be recovered.

(6) A petition for fees or expenses may not be approved without prior
notice to the guardian and to the ward, unless the ward is a minor or is
totally incapacitated.

(7) A petition for fees shall include the period covered and the total
amount of all prior fees paid or costs awarded to the petitioner in the
guardianship proceeding currently before the court.

(8) When court proceedings are instituted to review or determine a
guardians or an attorneys fees under subsection (2), such proceedings are
part of the guardianship administration process and the costs, including
costs and attorney fees for the guardians attorney, an attorney appointed
under s. 744.331(2), or an attorney who has rendered services to the ward,
shall be determined by the court and paid from the assets of the
guardianship estate unless the court finds the requested compensation
under subsection (2) to be substantially unreasonable.

(9) The court may determine that a request for compensation by the
guardian, the guardians attorney, a person employed by the guardian, an
attorney appointed under s. 744.331(2), or an attorney who has rendered
services to the ward, is reasonable without receiving expert testimony. A
person or party may offer expert testimony for or against a request for
compensation after giving notice to interested persons. Reasonable expert
witness fees shall be awarded by the court and paid from the assets of the
guardianship estate using the standards in subsection (8).

HISTORY:
SS. 18, 26, ch. 75-222; s. 11, ch. 89-96; s. 5, ch. 90-271; s. 2, ch. 96-354; s.

7, ch. 2003-57; s. 4, ch. 2015-83, effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,



744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1083. 
Fla. Stat.  744.1083

 744.1083. Professional guardian registration. [Transferred]

HISTORY:
Former  744.1083 was transferred to 744.2002 by s. 9, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1085. 
Fla. Stat.  744.1085

 744.1085. Regulation of professional guardians; application; bond
required; educational requirements. [Transferred]

HISTORY:
Former  744.1085 was transferred to 744.2003 by s. 10, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.109. 
Fla. Stat.  744.109

 744.109. Records.
(1) All hearings on appointment of a guardian; adjudication of

incapacity; modification, termination, or revocation of the adjudication of
incapacity; or restoration of capacity must be electronically or
stenographically recorded.

(2) If an appeal is taken from any of these proceedings, a transcript must
be furnished to an indigent ward at public expense.

HISTORY:
S. 12, ch. 89-96.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1095. 
Fla. Stat.  744.1095

 744.1095. Hearings.
At any hearing under this chapter, the alleged incapacitated person or the

adjudicated ward has the right to:
(1) Remain silent and refuse to testify at the hearing. The person may

not be held in contempt of court or otherwise penalized for refusing to
testify. Refusal to testify may not be used as evidence of incapacity;

(2) Testify;
(3) Present evidence;
(4) Call witnesses;
(5) Confront and cross-examine all witnesses; and
(6) Have the hearing open or closed as she or he may choose.

HISTORY:
S. 13, ch. 89-96; s. 6, ch. 90-271; s. 1069, ch. 97-102.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1096. 
Fla. Stat.  744.1096

 744.1096. Domicile of ward.
The domicile of a resident ward is the county where the ward resides.

HISTORY:
S. 1, ch. 74-106; s. 5, ch. 75-222; s. 14, ch. 89-96; s. 5, ch. 2016-40, eff.

Mar. 10, 2016.

Editors Notes
Created from former s. 744.10.
S. 5 of ch. 2016-40 renumbered this section from 744.201.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1097. 
Fla. Stat.  744.1097

 744.1097. Venue.
(1) The venue in proceedings for declaration of incapacity shall be

where the alleged incapacitated person resides or is found. The provisions
of this section do not apply to veterans.

(2) The venue in proceedings for the appointment of a guardian shall be:
(a) If the incapacitated person is a resident of this state, in the county

where the incapacitated person resides.
(b) If the incapacitated person is not a resident of this state, in any county

in this state where property of the incapacitated person is located.
(c) If the incapacitated person is not a resident of this state and owns no

property in this state, in the county where any debtor of the incapacitated
person resides.

(d) If the incapacitated person is a child or young adult under the
jurisdiction of a dependency court, in the county where the child or young
adult resides or in the county having jurisdiction of the dependency case.

(3) When the residence of an incapacitated person is changed to another
county, the guardian shall petition to have the venue of the guardianship
changed to the county of the acquired residence, except in cases where
venue was established under paragraph (2)(d) or as provided in s.
744.1098.

(4) If an incapacitated person is a resident of this state and is found in a
county other than the county of residence, the venue for declaration of
incapacity and for the appointment of a guardian may be the county where
the incapacitated person is found. Upon transfer of the incapacitated person
to the county of residence, the guardian may have the venue of the
guardianship changed to the county of residence and a successor guardian
may be appointed.

HISTORY:
S. 1, ch. 74-106; s. 5, ch. 75-222; s. 15, ch. 89-96; s. 7, ch. 90-271; s. 33,



ch. 95-401; s. 3, ch. 96-354; s. 6, ch. 2016-40, eff. Mar. 10, 2016.; s. 1, ch.
2019-10, effective April 26, 2019.

Editors Notes
Created from former s. 744.11.
S. 6 of ch. 2016-40 renumbered this section from 744.202.



 Title XLIII. ,  Ch. 744. ,  Pt. I. ,   744.1098. 
Fla. Stat.  744.1098

 744.1098. Change of wards residence.
(1) Prior court approval required.  A guardian who has power

pursuant to this chapter to determine the residence of the ward may not,
without court approval, change the residence of the ward from this state to
another, or from one county of this state to another county of this state,
unless such county is adjacent to the county of the wards current
residence. Any guardian who wishes to remove the ward from the wards
current county of residence to another county which is not adjacent to the
wards current county of residence must obtain court approval prior to
removal of the ward. In granting its approval, the court shall, at a
minimum, consider the reason for such relocation and the longevity of
such relocation.

(2) Immediate court notification required.  Any guardian who
wishes to remove the ward from the wards current county of residence to
another county adjacent to the wards county of residence shall notify the
court having jurisdiction of the guardianship within 15 days after
relocation of the ward. Such notice shall state the compelling reasons for
relocation of the ward and how long the guardian expects the ward to
remain in such other county.

HISTORY:
S. 16, ch. 89-96; s. 8, ch. 90-271; s. 4, ch. 96-354; s. 7, ch. 2016-40, eff.

Mar. 10, 2016.

Editors Notes
S. 7 of ch. 2016-40 renumbered this section from 744.2025.



 Title XLIII. ,  Ch. 744. ,  Pt. II. 
Fla. Stat. Title XLIII, Ch. 744, Pt. II



PART II.
PUBLIC AND PROFESSIONAL GUARDIANS.

 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2001. 
Fla. Stat.  744.2001

 744.2001. Office of Public and Professional Guardians.
There is created the Office of Public and Professional Guardians within the

Department of Elderly Affairs.
(1) The Secretary of Elderly Affairs shall appoint the executive director,

who shall be the head of the Office of Public and Professional Guardians.
The executive director must be a member of The Florida Bar,
knowledgeable of guardianship law and of the social services available to
meet the needs of incapacitated persons, shall serve on a full-time basis,
and shall personally, or through a representative of the office, carry out the
purposes and functions of the Office of Public and Professional Guardians
in accordance with state and federal law. The executive director shall serve
at the pleasure of and report to the secretary.

(2) The executive director shall, within available resources:
(a) Have oversight responsibilities for all public and professional

guardians.
(b) Establish standards of practice for public and professional guardians by

rule, in consultation with professional guardianship associations and other
interested stakeholders, no later than October 1, 2016. The executive director
shall provide a draft of the standards to the Governor, the Legislature, and the
secretary for review by August 1, 2016.

(c) Review and approve the standards and criteria for the education,
registration, and certification of public and professional guardians in Florida.

(3) The executive directors oversight responsibilities of professional
guardians must be finalized by October 1, 2016, and shall include, but are
not limited to:
(a) Developing and implementing a monitoring tool to ensure compliance

of professional guardians with the standards of practice established by the



Office of Public and Professional Guardians. This monitoring tool may not
include a financial audit as required by the clerk of the circuit court under s.
744.368.

(b) Developing procedures, in consultation with professional guardianship
associations and other interested stakeholders, for the review of an allegation
that a professional guardian has violated the standards of practice established
by the Office of Public and Professional Guardians governing the conduct of
professional guardians.

(c) Establishing disciplinary proceedings, conducting hearings, and taking
administrative action pursuant to chapter 120.

(4) The executive directors oversight responsibilities of public
guardians shall include, but are not limited to:
(a) Reviewing the current public guardian programs in Florida and other

states.
(b) Developing, in consultation with local guardianship offices and other

interested stakeholders, statewide performance measures.
(c) Reviewing various methods of funding public guardianship programs,

the kinds of services being provided by such programs, and the demographics
of the wards. In addition, the executive director shall review and make
recommendations regarding the feasibility of recovering a portion or all of
the costs of providing public guardianship services from the assets or income
of the wards.

(d) By January 1 of each year, providing a status report and
recommendations to the secretary which address the need for public
guardianship services and related issues.

(e) Developing a guardianship training program curriculum that may be
offered to all guardians, whether public or private.

(5) The executive director may provide assistance to local governments
or entities in pursuing grant opportunities. The executive director shall
review and make recommendations in the annual report on the availability
and efficacy of seeking Medicaid matching funds. The executive director
shall diligently seek ways to use existing programs and services to meet
the needs of public wards.



(6) The executive director may conduct or contract for demonstration
projects authorized by the Department of Elderly Affairs, within funds
appropriated or through gifts, grants, or contributions for such purposes, to
determine the feasibility or desirability of new concepts of organization,
administration, financing, or service delivery designed to preserve the civil
and constitutional rights of persons of marginal or diminished capacity.
Any gifts, grants, or contributions for such purposes shall be deposited in
the Department of Elderly Affairs Administrative Trust Fund.
(7)(a) On or before July 1, 2023, the Office of Public and Professional
Guardians shall publish on its website a profile of each registered
professional guardian. The profiles must be accessible and searchable by
the public and must include, at a minimum, the following information:
1. The guardians name and business address.
2. Whether the guardian meets the education and bonding requirements

under s. 744.2003.
3. The number and type of substantiated complaints against the guardian.
4. Any disciplinary actions taken by the Department of Elderly Affairs

against the guardian.
(b) The Department of Elderly Affairs may not populate the professional

guardian profiles with information from the database established in s.
744.2112.

(c) The Department of Elderly Affairs may adopt rules necessary to
implement this subsection.

HISTORY:
S. 4, ch. 99-277; s. 14, ch. 2003-57; s. 5, ch. 2003-262; s. 140, ch. 2005-2;

s. 107, ch. 2013-18, eff. July 2, 2013; s. 8, ch. 2016-40, eff. Mar. 10, 2016.; s.
2, ch. 2022-218, effective July 1, 2022.

Editors Notes
S. 8 of ch. 2016-40 renumbered this section from 744.7021.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2002. 
Fla. Stat.  744.2002

 744.2002. Professional guardian registration.
(1) A professional guardian must register with the Office of Public and

Professional Guardians established in part II of this chapter.
(2) Annual registration shall be made on forms furnished by the Office

of Public and Professional Guardians and accompanied by the applicable
registration fee as determined by rule. The fee may not exceed $100.

(3) Registration must include the following:
(a) Sufficient information to identify the professional guardian, as follows:
1. If the professional guardian is a natural person, the name, address, date

of birth, and employer identification or social security number of the person.
2. If the professional guardian is a partnership or association, the name,

address, and employer identification number of the entity.
(b) Documentation that the bonding and educational requirements of s.

744.2003 have been met.
(c) Sufficient information to distinguish a guardian providing guardianship

services as a public guardian, individually, through partnership, corporation,
or any other business organization.

(4) Prior to registering a professional guardian, the Office of Public and
Professional Guardians must receive and review copies of the credit and
criminal investigations conducted under s. 744.3135. The credit and
criminal investigations must have been completed within the previous 2
years.

(5) The executive director of the office may deny registration to a
professional guardian if the executive director determines that the
guardians proposed registration, including the guardians credit or
criminal investigations, indicates that registering the professional guardian
would violate any provision of this chapter. If a guardians proposed
registration is denied, the guardian has standing to seek judicial review of
the denial pursuant to chapter 120.



(6) The Department of Elderly Affairs may adopt rules necessary to
administer this section.

(7) A trust company, a state banking corporation or state savings
association authorized and qualified to exercise fiduciary powers in this
state, or a national banking association or federal savings and loan
association authorized and qualified to exercise fiduciary powers in this
state, may, but is not required to, register as a professional guardian under
this section. If a trust company, state banking corporation, state savings
association, national banking association, or federal savings and loan
association described in this subsection elects to register as a professional
guardian under this subsection, the requirements of subsections (3) and (4)
do not apply and the registration must include only the name, address, and
employer identification number of the registrant, the name and address of
its registered agent, if any, and the documentation described in paragraph
(3)(b).

(8) The Department of Elderly Affairs may contract with the Florida
Guardianship Foundation or other not-for-profit entity to register
professional guardians.

(9) The department or its contractor shall ensure that the clerks of the
court and the chief judge of each judicial circuit receive information about
each registered professional guardian.

(10) A state college or university or an independent college or university
that is located and chartered in Florida, that is accredited by the
Commission on Colleges of the Southern Association of Colleges and
Schools or the Accrediting Council for Independent Colleges and Schools,
and that confers degrees as defined in s. 1005.02(7) may, but is not
required to, register as a professional guardian under this section. If a state
college or university or independent college or university elects to register
as a professional guardian under this subsection, the requirements of
subsections (3) and (4) do not apply and the registration must include only
the name, address, and employer identification number of the registrant.

HISTORY:
S. 3, ch. 2002-195; s. 8, ch. 2003-57; s. 10, ch. 2004-260; s. 2, ch. 2006-

178, eff. July 1, 2006; s. 2, ch. 2009-175, eff. July 1, 2009; renumbered from



 744.1083 by s. 9, ch. 2016-40, effective March 10, 2016.

Editors Notes
S. 9 of ch. 2016-40 renumbered this section from 744.1083.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2003. 
Fla. Stat.  744.2003

 744.2003. Regulation of professional guardians; application; bond
required; educational requirements.
(1) The provisions of this section are in addition to and supplemental to

any other provision of the Florida Guardianship Law, except s. 744.3145.
(2) Each professional guardian who files a petition for appointment after

October 1, 1997, shall post a blanket fiduciary bond with the clerk of the
circuit court in the county in which the guardians primary place of
business is located. The guardian shall provide proof of the fiduciary bond
to the clerks of each additional circuit court in which he or she is serving as
a professional guardian. The bond shall be maintained by the guardian in
an amount not less than $50,000. The bond must cover all wards for whom
the guardian has been appointed at any given time. The liability of the
provider of the bond is limited to the face amount of the bond, regardless
of the number of wards for whom the professional guardian has been
appointed. The act or omissions of each employee of a professional
guardian who has direct contact with the ward or access to the wards
assets is covered by the terms of such bond. The bond must be payable to
the Governor of the State of Florida and his or her successors in office and
conditioned on the faithful performance of all duties by the guardian. In
form, the bond must be joint and several. The bond is in addition to any
bonds required under s. 744.351. This subsection does not apply to any
attorney who is licensed to practice law in this state and who is in good
standing, to any financial institution as defined in s. 744.309(4), or a public
guardian. The expenses incurred to satisfy the bonding requirements
prescribed in this section may not be paid with the assets of any ward.

(3) Each professional guardian defined in s. 744.102(17) and public
guardian must receive a minimum of 40 hours of instruction and training.
Each professional guardian must receive a minimum of 16 hours of
continuing education every 2 calendar years after the year in which the
initial 40-hour educational requirement is met. The instruction and
education must be completed through a course approved or offered by the
Office of Public and Professional Guardians. The expenses incurred to
satisfy the educational requirements prescribed in this section may not be



paid with the assets of any ward. This subsection does not apply to any
attorney who is licensed to practice law in this state or an institution acting
as guardian under s. 744.2002(7).

(4) Each professional guardian must allow, at the guardians expense, an
investigation of the guardians credit history, and the credit history of
employees of the guardian, in a manner prescribed by the Department of
Elderly Affairs.

(5) As required in s. 744.3135, each professional guardian shall allow a
level 2 background screening of the guardian and employees of the
guardian in accordance with the provisions of s. 435.04.

(6) Each professional guardian is required to demonstrate competency to
act as a professional guardian by taking an examination approved by the
Department of Elderly Affairs.
(a) The Department of Elderly Affairs shall determine the minimum

examination score necessary for passage of guardianship examinations.
(b) The Department of Elderly Affairs shall determine the procedure for

administration of the examination.
(c) The Department of Elderly Affairs or its contractor shall charge an

examination fee for the actual costs of the development and the
administration of the examination. The examination fee for a guardian may
not exceed $500.

(d) The Department of Elderly Affairs may recognize passage of a national
guardianship examination in lieu of all or part of the examination approved
by the Department of Elderly Affairs, except that all professional guardians
must take and pass an approved examination section related to Florida law
and procedure.

(7) The Department of Elderly Affairs shall set the minimum score
necessary to demonstrate professional guardianship competency.

(8) The Department of Elderly Affairs shall waive the examination
requirement in subsection (6) if a professional guardian can provide:
(a) Proof that the guardian has actively acted as a professional guardian for

5 years or more; and



(b) A letter from a circuit judge before whom the professional guardian
practiced at least 1 year which states that the professional guardian had
demonstrated to the court competency as a professional guardian.

(9) The court may not appoint any professional guardian who is not
registered by the Office of Public and Professional Guardians.

(10) This section does not apply to a professional guardian or the
employees of that professional guardian when that guardian is a trust
company, a state banking corporation, state savings association authorized
and qualified to exercise fiduciary powers in this state, or a national
banking association or federal savings and loan association authorized and
qualified to exercise fiduciary powers in this state.

HISTORY:
S. 1, ch. 97-161; s. 9, ch. 99-277; s. 9, ch. 2003-57; s. 17, ch. 2004-260; s.

62, ch. 2004-267; s. 32, ch. 2006-178, eff. July 1, 2006; renumbered from 
744.1085 by s. 10, ch. 2016-40, effective March 10, 2016.

Editors Notes
Section 62, ch. 2004-267, reenacted (5) without change to incorporate

amendments to statutory sections referenced therein.
S. 10 of ch. 2016-40 renumbered this section from 744.1085.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2004. 
Fla. Stat.  744.2004

 744.2004. Complaints; disciplinary proceedings; penalties;
enforcement.
(1) By October 1, 2016, the Office of Public and Professional Guardians

shall establish procedures to:
(a) Review and, if determined legally sufficient, investigate any complaint

that a professional guardian has violated the standards of practice established
by the Office of Public and Professional Guardians governing the conduct of
professional guardians. A complaint is legally sufficient if it contains ultimate
facts that show a violation of a standard of practice by a professional
guardian has occurred.

(b) Initiate an investigation no later than 10 business days after the Office
of Public and Professional Guardians receives a complaint.

(c) Complete and provide initial investigative findings and
recommendations, if any, to the professional guardian and the person who
filed the complaint within 60 days after receipt.

(d) Obtain supporting information or documentation to determine the legal
sufficiency of a complaint.

(e) Interview a ward, family member, or interested party to determine the
legal sufficiency of a complaint.

(f) Dismiss any complaint if, at any time after legal sufficiency is
determined, it is found there is insufficient evidence to support the allegations
contained in the complaint.

(g) Coordinate, to the greatest extent possible, with the clerks of court to
avoid duplication of duties with regard to the financial audits prepared by the
clerks pursuant to s. 744.368.

(2) The Office of Public and Professional Guardians shall establish
disciplinary proceedings, conduct hearings, and take administrative action
pursuant to chapter 120. Disciplinary actions may include, but are not
limited to, requiring a professional guardian to participate in additional
educational courses provided or approved by the Office of Public and



Professional Guardians, imposing additional monitoring by the office of
the guardianships to which the professional guardian is appointed, and
suspension or revocation of a professional guardians registration.

(3) In any disciplinary proceeding that may result in the suspension or
revocation of a professional guardians registration, the Department of
Elderly Affairs shall provide the professional guardian and the person who
filed the complaint:
(a) A written explanation of how an administrative complaint is resolved

by the disciplinary process.
(b) A written explanation of how and when the person may participate in

the disciplinary process.
(c) A written notice of any hearing before the Division of Administrative

Hearings at which final agency action may be taken.
(4) If the office makes a final determination to suspend or revoke the

professional guardians registration, it must provide such determination to
the court of competent jurisdiction for any guardianship case to which the
professional guardian is currently appointed.

(5) If the office determines or has reasonable cause to suspect that a
vulnerable adult has been or is being abused, neglected, or exploited as a
result of a filed complaint or during the course of an investigation of a
complaint, it shall immediately report such determination or suspicion to
the central abuse hotline established and maintained by the Department of
Children and Families pursuant to s. 415.103.

(6) By October 1, 2016, the Department of Elderly Affairs shall adopt
rules to implement the provisions of this section.

HISTORY:
S. 11, ch. 2016-40, effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.20041. 
Fla. Stat.  744.20041

 744.20041. Grounds for discipline; penalties; enforcement.
(1) The following acts by a professional guardian shall constitute

grounds for which the disciplinary actions specified in subsection (2) may
be taken:
(a) Making misleading, deceptive, or fraudulent representations in or

related to the practice of guardianship.
(b) Violating any rule governing guardians or guardianships adopted by the

Office of Public and Professional Guardians.
(c) Being convicted or found guilty of, or entering a plea of guilty or nolo

contendere to, regardless of adjudication, a crime in any jurisdiction which
relates to the practice of or the ability to practice as a professional guardian.

(d) Failing to comply with the educational course requirements contained
in s. 744.2003.

(e) Having a registration, a license, or the authority to practice a regulated
profession revoked, suspended, or otherwise acted against, including the
denial of registration or licensure, by the registering or licensing authority of
any jurisdiction, including its agencies or subdivisions, for a violation under
Florida law. The registering or licensing authoritys acceptance of a
relinquishment of registration or licensure, stipulation, consent order, or other
settlement offered in response to or in anticipation of the filing of charges
against the registration or license shall be construed as an action against the
registration or license.

(f) Knowingly filing a false report or complaint with the Office of Public
and Professional Guardians against another guardian.

(g) Attempting to obtain, obtaining, or renewing a registration or license to
practice a profession by bribery, by fraudulent misrepresentation, or as a
result of an error by the Office of Public and Professional Guardians which is
known and not disclosed to the Office of Public and Professional Guardians.

(h) Failing to report to the Office of Public and Professional Guardians any
person who the professional guardian knows is in violation of this chapter or



the rules of the Office of Public and Professional Guardians.
(i) Failing to perform any statutory or legal obligation placed upon

a professional guardian.
(j) Making or filing a report or record that the professional guardian knows

to be false, intentionally or negligently failing to file a report or record
required by state or federal law, or willfully impeding or obstructing another
persons attempt to do so. Such reports or records shall include only those
that are signed in the guardians capacity as a professional guardian.

(k) Using the position of guardian for the purpose of financial gain by a
professional guardian or a third party, other than the funds awarded to the
professional guardian by the court pursuant to s. 744.108.

(l) Violating a lawful order of the Office of Public and Professional
Guardians or failing to comply with a lawfully issued subpoena of the Office
of Public and Professional Guardians.

(m) Improperly interfering with an investigation or inspection authorized
by statute or rule or with any disciplinary proceeding.

(n) Using the guardian relationship to engage or attempt to engage the
ward, or an immediate family member or a representative of the ward, in
verbal, written, electronic, or physical sexual activity.

(o) Failing to report to the Office of Public and Professional Guardians in
writing within 30 days after being convicted or found guilty of, or entered a
plea of nolo contendere to, regardless of adjudication, a crime in any
jurisdiction.

(p) Being unable to perform the functions of a professional guardian with
reasonable skill by reason of illness or use of alcohol, drugs, narcotics,
chemicals, or any other type of substance or as a result of any mental or
physical condition.

(q) Failing to post and maintain a blanket fiduciary bond pursuant to s.
744.2003.

(r) Failing to maintain all records pertaining to a guardianship for a
reasonable time after the court has closed the guardianship matter.

(s) Violating any provision of this chapter or any rule adopted pursuant



thereto.
(2) When the Office of Public and Professional Guardians finds a

professional guardian guilty of violating subsection (1), it may enter an
order imposing one or more of the following penalties:
(a) Refusal to register an applicant as a professional guardian.
(b) Suspension or permanent revocation of a professional guardians

registration.
(c) Issuance of a reprimand or letter of concern.
(d) Requirement that the professional guardian undergo treatment, attend

continuing education courses, submit to reexamination, or satisfy any terms
that are reasonably tailored to the violations found.

(e) Requirement that the professional guardian pay restitution of any funds
obtained, disbursed, or obtained through a violation of any statute, rule, or
other legal authority to a ward or the wards estate, if applicable.

(f) Requirement that the professional guardian undergo remedial education.
(3) In determining what action is appropriate, the Office of Public and

Professional Guardians must first consider what sanctions are necessary to
safeguard wards and to protect the public. Only after those sanctions have
been imposed may the Office of Public and Professional Guardians
consider and include in the order requirements designed to mitigate the
circumstances and rehabilitate the professional guardian.

(4) The Office of Public and Professional Guardians shall adopt by rule
and periodically review the disciplinary guidelines applicable to each
ground for disciplinary action that may be imposed by the Office of Public
and Professional Guardians pursuant to this chapter.

(5) It is the intent of the Legislature that the disciplinary guidelines
specify a meaningful range of designated penalties based upon the severity
and repetition of specific offenses and that minor violations be
distinguished from those which endanger the health, safety, or welfare of a
ward or the public; that such guidelines provide reasonable and meaningful
notice to the public of likely penalties that may be imposed for proscribed
conduct; and that such penalties be consistently applied by the Office of
Public and Professional Guardians.



(6) The Office of Public and Professional Guardians shall by rule
designate possible mitigating and aggravating circumstances and the
variation and range of penalties permitted for such circumstances.
(a) An administrative law judge, in recommending penalties in any

recommended order, must follow the disciplinary guidelines established by
the Office of Public and Professional Guardians and must state in writing any
mitigating or aggravating circumstance upon which a recommended penalty
is based if such circumstance causes the administrative law judge to
recommend a penalty other than that provided in the disciplinary guidelines.

(b) The Office of Public and Professional Guardians may impose a penalty
other than those provided for in the disciplinary guidelines upon a specific
finding in the final order of mitigating or aggravating circumstances.

(7) In addition to, or in lieu of, any other remedy or criminal
prosecution, the Office of Public and Professional Guardians may file a
proceeding in the name of the state seeking issuance of an injunction or a
writ of mandamus against any person who violates any provision of this
chapter or any provision of law with respect to professional guardians or
the rules adopted pursuant thereto.

(8) Notwithstanding chapter 120, if the Office of Public and Professional
Guardians determines that revocation of a professional guardians
registration is the appropriate penalty, the revocation is permanent.

(9) If the Office of Public and Professional Guardians makes a final
determination to suspend or revoke the professional guardians
registration, the office must provide the determination to the court of
competent jurisdiction for any guardianship case to which the professional
guardian is currently appointed.

(10) The purpose of this section is to facilitate uniform discipline for
those actions made punishable under this section and, to this end, a
reference to this section constitutes a general reference under the doctrine
of incorporation by reference.

(11) The Office of Public and Professional Guardians shall adopt rules
to administer this section.

HISTORY:



S. 12, ch. 2016-40, effective March 10, 2016; s. 45, ch. 2017-3, effective
July 7, 2017.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2005. 
Fla. Stat.  744.2005

 744.2005. Order of appointment.
(1) The court may hear testimony on the question of who is entitled to

preference in the appointment of a guardian. Any interested person may
intervene in the proceedings.

(2) The order appointing a guardian must state the nature of the
guardianship as either plenary or limited. If limited, the order must state
that the guardian may exercise only those delegable rights which have been
removed from the incapacitated person and specifically delegated to the
guardian. The order shall state the specific powers and duties of the
guardian.

(3) The order appointing a guardian must be consistent with the
incapacitated persons welfare and safety, must be the least restrictive
appropriate alternative, and must reserve to the incapacitated person the
right to make decisions in all matters commensurate with the persons
ability to do so.

(4) If a petition for appointment of a guardian has been filed, an order
appointing a guardian must be issued contemporaneously with the order
adjudicating the person incapacitated. The order must specify the amount
of the bond to be given by the guardian and must state specifically whether
the guardian must place all, or part, of the property of the ward in a
restricted account in a financial institution designated pursuant to s.
69.031.

(5) If a petition for the appointment of a guardian has not been filed or
ruled upon at the time of the hearing on the petition to determine capacity,
the court may appoint an emergency temporary guardian in the manner and
for the purposes specified in s. 744.3031.

(6) A plenary guardian shall exercise all delegable rights and powers of
the incapacitated person.

(7) A person for whom a limited guardian has been appointed retains all
legal rights except those that have been specifically granted to the guardian
in the courts written order.



HISTORY:
S. 1, ch. 74-106; ss. 12, 26, ch. 75-222; s. 39, ch. 89-96; s. 24, ch. 90-271;

s. 1081, ch. 97-102; s. 12, ch. 2015-83, eff. July 1, 2015; renumbered from 
744.344 by s. 13, ch. 2016-40, effective March 10, 2016.

Editors Notes
Created from former s. 744.34.
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.

S. 13 of ch. 2016-40 renumbered this section from 744.344.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2006. 
Fla. Stat.  744.2006

 744.2006. Office of Public and Professional Guardians; appointment,
notification.
(1) The executive director of the Office of Public and Professional

Guardians, after consultation with the chief judge and other circuit judges
within the judicial circuit and with appropriate advocacy groups and
individuals and organizations who are knowledgeable about the needs of
incapacitated persons, may establish, within a county in the judicial circuit
or within the judicial circuit, one or more offices of public guardian and if
so established, shall create a list of persons best qualified to serve as the
public guardian, who have been investigated pursuant to s. 744.3135. The
public guardian must have knowledge of the legal process and knowledge
of social services available to meet the needs of incapacitated persons. The
public guardian shall maintain a staff or contract with professionally
qualified individuals to carry out the guardianship functions, including an
attorney who has experience in probate areas and another person who has a
masters degree in social work, or a gerontologist, psychologist, advanced
practice registered nurse, or registered nurse. A public guardian that is a
nonprofit corporate guardian under s. 744.309(5) must receive tax-exempt
status from the United States Internal Revenue Service.

(2) The executive director shall appoint or contract with a public
guardian from the list of candidates described in subsection (1). A public
guardian must meet the qualifications for a guardian as prescribed in s.
744.309(1)(a). Upon appointment of the public guardian, the executive
director shall notify the chief judge of the judicial circuit and the Chief
Justice of the Supreme Court of Florida, in writing, of the appointment.

(3) If the needs of the county or circuit do not require a full-time public
guardian, a part-time public guardian may be appointed at reduced
compensation.

(4) A public guardian, whether full-time or part-time, may not hold any
position that would create a conflict of interest.

(5) The public guardian is to be appointed for a term of 4 years, after
which her or his appointment must be reviewed by the executive director,



and may be reappointed for a term of up to 4 years. The executive director
may suspend a public guardian with or without the request of the chief
judge. If a public guardian is suspended, the executive director shall
appoint an acting public guardian as soon as possible to serve until such
time as a permanent replacement is selected. A public guardian may be
removed from office during the term of office only by the executive
director who must consult with the chief judge prior to said removal. A
recommendation of removal made by the chief judge must be considered
by the executive director.

(6) Public guardians who have been previously appointed by a chief
judge prior to the effective date of this act pursuant to this section may
continue in their positions until the expiration of their term pursuant to
their agreement. However, oversight of all public guardians shall transfer
to the Office of Public and Professional Guardians upon the effective date
of this act. The executive director of the Office of Public and Professional
Guardians shall be responsible for all future appointments of public
guardians pursuant to this act.

HISTORY:
S. 1, ch. 86-120; s. 98, ch. 89-96; s. 69, ch. 95-211; s. 27, ch. 95-401; s. 16,

ch. 96-354; s. 1789, ch. 97-102; s. 5, ch. 99-277; s. 8, ch. 2002-195;
renumbered from  744.703 by s. 14, ch. 2016-40, effective March 10, 2016;
s. 34, ch. 2020-9, effective July 1, 2020.

Editors Notes
S. 14 of ch. 2016-40 renumbered this section from 744.703.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2007. 
Fla. Stat.  744.2007

 744.2007. Powers and duties.
(1) A public guardian may serve as a guardian of a person adjudicated

incapacitated under this chapter if there is no family member or friend,
other person, bank, or corporation willing and qualified to serve as
guardian.

(2) The public guardian shall be vested with all the powers and duties of
a guardian under this chapter, except as otherwise provided by law.

(3) The public guardian shall primarily serve incapacitated persons who
are of limited financial means, as defined by contract or rule of the
Department of Elderly Affairs. The public guardian may serve
incapacitated persons of greater financial means to the extent the
Department of Elderly Affairs determines to be appropriate.

(4) The public guardian shall be authorized to employ sufficient staff to
carry out the duties of his or her office.

(5) The public guardian may delegate to assistants and other members of
his or her staff the powers and duties of the office of public guardian,
except as otherwise limited by law. The public guardian shall retain
ultimate responsibility for the discharge of his or her duties and
responsibilities.

(6) The public guardian, when appointed guardian of an incapacitated
person, shall seek a family member or friend, other person, bank, or
corporation who is qualified and willing to serve as guardian. Upon
determining that there is someone qualified and willing to serve as
guardian, either the public guardian or the qualified person shall petition
the court for appointment of a successor guardian.

(7) A public guardian may not commit a ward to a treatment facility, as
defined in s. 394.455(49), without an involuntary placement proceeding as
provided by law.

(8) When a person is appointed successor public guardian, he or she
immediately succeeds to all rights, duties, responsibilities, and powers of
the preceding public guardian.



(9) When the position of public guardian is vacant, subordinate
personnel employed under subsection (4) shall continue to act as if the
position of public guardian were filled.

HISTORY:
S. 1, ch. 86-120; s. 99, ch. 89-96; s. 45, ch. 96-169; s. 1790, ch. 97-102; s.

86, ch. 99-3; s. 15, ch. 2003-57; s. 71, ch. 2006-227, eff. July 1, 2006; s. 15,
ch. 2016-40, effective March 10, 2016; s. 78, ch. 2016-241, eff. July 1, 2016;
s. 23, ch. 2020-39, effective July 1, 2020; s. 12, ch. 2022-36, effective July 1,
2022.

Editors Notes
S. 15 of ch. 2016-40 renumbered this section from 744.704.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2008. 
Fla. Stat.  744.2008

 744.2008. Costs of public guardian.
(1) All costs of administration shall be paid from the budget of the office

of public guardian. No costs of administration, including filing fees, shall
be recovered from the assets or the income of the ward.

(2) In any proceeding for appointment of a public guardian, or in any
proceeding involving the estate of a ward for whom a public guardian has
been appointed guardian, the court shall waive any court costs or filing
fees.

HISTORY:
S. 1, ch. 86-120; s. 100, ch. 89-96; s. 16, ch. 2016-40, eff. Mar. 10, 2016.;

s. 2, ch. 2020-73, effective July 1, 2020.

Editors Notes
S. 16 of ch. 2016-40 renumbered this section from 744.705.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2009. 
Fla. Stat.  744.2009

 744.2009. Preparation of budget.
Each public guardian, whether funded in whole or in part by money raised

through local efforts, grants, or any other source or whether funded in whole
or in part by the state, shall prepare a budget for the operation of the office of
public guardian to be submitted to the Office of Public and Professional
Guardians. As appropriate, the Office of Public and Professional Guardians
will include such budgetary information in the Department of Elderly Affairs
legislative budget request. The office of public guardian shall be operated
within the limitations of the General Appropriations Act and any other funds
appropriated by the Legislature to that particular judicial circuit, subject to
the provisions of chapter 216. The Department of Elderly Affairs shall make
a separate and distinct request for an appropriation for the Office of Public
and Professional Guardians. However, this section may not be construed to
preclude the financing of any operations of the office of public guardian by
moneys raised through local effort or through the efforts of the Office of
Public and Professional Guardians.

HISTORY:
S. 1, ch. 86-120; s. 101, ch. 89-96; s. 6, ch. 99-277; renumbered from 

744.706 by s. 17, ch. 2016-40, effective March 10, 2016.

Editors Notes
S. 17 of ch. 2016-40 renumbered this section from 744.706.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.201. 
Fla. Stat.  744.201

 744.201. Domicile of ward. [Transferred]

HISTORY:
Former  744.201 was transferred to 744.1096 by s. 5, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.202. 
Fla. Stat.  744.202

 744.202. Venue. [Transferred]

HISTORY:
Former  744.202 was transferred to 744.1097 by s. 6, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2025. 
Fla. Stat.  744.2025

 744.2025. Change of wards residence. [Transferred]

HISTORY:
Former  744.2025 was transferred to 744.1098 by s. 7, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2101. 
Fla. Stat.  744.2101

 744.2101. Procedures and rules.
The public guardian, subject to the oversight of the Office of Public and

Professional Guardians, is authorized to:
(1) Formulate and adopt necessary procedures to assure the efficient

conduct of the affairs of the ward and general administration of the office
and staff.

(2) Contract for services necessary to discharge the duties of the office.
(3) Accept the services of volunteer persons or organizations and

provide reimbursement for proper and necessary expenses.

HISTORY:
S. 1, ch. 86-120; s. 102, ch. 89-96; s. 7, ch. 99-277; renumbered from 

744.707 by s. 18, ch. 2016-40, effective March 10, 2016.

Editors Notes
S. 18 of ch. 2016-40 renumbered this section from 744.707.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2102. 
Fla. Stat.  744.2102

 744.2102. Surety bond.
Upon taking office, a public guardian shall file a bond with surety as

prescribed in s. 45.011 to be approved by the clerk. The bond shall be
payable to the Governor and the Governors successors in office, in the penal
sum of not less than $5,000 nor more than $25,000, conditioned on the
faithful performance of all duties by the guardian. The amount of the bond
shall be fixed by the majority of the judges within the judicial circuit. In form
the bond shall be joint and several. The bond shall be purchased from the
funds of the local office of public guardian.

HISTORY:
S. 1, ch. 86-120; s. 104, ch. 89-96; s. 1128, ch. 97-102; s. 11, ch. 99-277; s.

19, ch. 2016-40, eff. Mar. 10, 2016.

Editors Notes
S. 19 of ch. 2016-40 renumbered this section from 744.709.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2103. 
Fla. Stat.  744.2103

 744.2103. Reports and standards.
(1) The public guardian shall keep and maintain proper financial, case

control, and statistical records on all matters in which the public guardian
serves as guardian.

(2) No report or disclosure of the wards personal and medical records
shall be made, except as authorized by law.

(3) A public guardian shall file an annual report on the operations of the
office of public guardian, in writing, by September 1 for the preceding
fiscal year with the Office of Public and Professional Guardians, which
shall have responsibility for supervision of the operations of the office of
public guardian.

(4) Within 6 months of his or her appointment as guardian of a ward, the
public guardian shall submit to the clerk of the court for placement in the
wards guardianship file and to the executive director of the Office of
Public and Professional Guardians a report on his or her efforts to locate a
family member or friend, other person, bank, or corporation to act as
guardian of the ward and a report on the wards potential to be restored to
capacity.
(5)(a) Each office of public guardian shall undergo an independent audit by
a qualified certified public accountant at least once every 2 years. A copy
of the audit report shall be submitted to the Office of Public and
Professional Guardians.
(b) In addition to regular monitoring activities, the Office of Public and

Professional Guardians shall conduct an investigation into the practices of
each office of public guardian related to the managing of each wards
personal affairs and property. If feasible, the investigation shall be conducted
in conjunction with the financial audit of each office of public guardian under
paragraph (a).

(6) A public guardian shall ensure that each of the guardians wards is
personally visited by the public guardian or by one of the guardians
professional staff at least once each calendar quarter. During this personal



visit, the public guardian or the professional staff person shall assess:
(a) The wards physical appearance and condition.
(b) The appropriateness of the wards current living situation.
(c) The need for any additional services and the necessity for continuation

of existing services, taking into consideration all aspects of social,
psychological, educational, direct service, health, and personal care needs.

(7) The ratio for professional staff to wards shall be 1 professional to 40
wards. The Office of Public and Professional Guardians may increase or
decrease the ratio after consultation with the local public guardian and the
chief judge of the circuit court. The basis for the decision to increase or
decrease the prescribed ratio must be included in the annual report to the
secretary.

HISTORY:
S. 1, ch. 86-120; s. 103, ch. 89-96; s. 17, ch. 96-354; s. 1791, ch. 97-102; s.

8, ch. 99-277; s. 127, ch. 2001-266; s. 27, ch. 2006-178, eff. July 1, 2006; s.
159, ch. 2010-102, eff. May 26, 2010; renumbered from  744.708 by s. 20,
ch. 2016-40, effective March 10, 2016.

Editors Notes
S. 20 of ch. 2016-40 renumbered this section from 744.708.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.21031. 
Fla. Stat.  744.21031

 744.21031. Public records exemption.  [Effective until October 2,
2023]

The home addresses, telephone numbers, dates of birth, places of
employment, and photographs of current or former public guardians and
employees with fiduciary responsibility; the names, home addresses,
telephone numbers, dates of birth, and places of employment of the spouses
and children of such persons; and the names and locations of schools and day
care facilities attended by the children of such persons are exempt from s.
119.07(1) and s. 24(a), Art. I of the State Constitution. As used in this
section, the term employee with fiduciary responsibility means an
employee of a public guardian who has the ability to direct any transactions
of a wards funds, assets, or property; who under the supervision of the
guardian, manages the care of the ward; or who makes any health care
decision, as defined in s. 765.101, on behalf of the ward. This exemption
applies to information held by an agency before, on, or after July 1, 2018. An
agency that is the custodian of the information specified in this section shall
maintain the exempt status of that information only if the current or former
public guardians and employees with fiduciary responsibility submit to the
custodial agency a written request for maintenance of the exemption. This
section is subject to the Open Government Sunset Review Act in accordance
with s. 119.15 and shall stand repealed on October 2, 2023, unless reviewed
and saved from repeal through reenactment by the Legislature.

HISTORY:
S. 1, ch. 2018-16, effective July 1, 2018.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2104. 
Fla. Stat.  744.2104

 744.2104. Access to records by the Office of Public and Professional
Guardians; confidentiality.
(1) Notwithstanding any other provision of law to the contrary, any

medical, financial, or mental health records held by an agency, or the court
and its agencies, or financial audits prepared by the clerk of the court
pursuant to s. 744.368 and held by the court, which are necessary as part of
an investigation of a guardian as a result of a complaint filed with the
Office of Public and Professional Guardians to evaluate the public
guardianship system, to assess the need for additional public guardianship,
or to develop required reports, shall be provided to the Office of Public and
Professional Guardians or its designee upon that offices request. Any
confidential or exempt information provided to the Office of Public and
Professional Guardians shall continue to be held confidential or exempt as
otherwise provided by law.

(2) All records held by the Office of Public and Professional Guardians
relating to the medical, financial, or mental health of vulnerable adults as
defined in chapter 415, persons with a developmental disability as defined
in chapter 393, or persons with a mental illness as defined in chapter 394,
shall be confidential and exempt from s. 119.07(1) and s. 24(a), Art. I of
the State Constitution.

HISTORY:
S. 1, ch. 99-278; s. 112, ch. 2000-349; s. 1, ch. 2004-361; renumbered

from  744.7081 by s. 21, ch. 2016-40, effective March 10, 2016; s. 1, ch.
2018-68, effective July 1, 2018.

Editors Notes
S. 21 of ch. 2016-40 renumbered this section from 744.7081.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2105. 
Fla. Stat.  744.2105

 744.2105. Direct-support organization; definition; use of property;
board of directors; audit; dissolution. 
(1) Definition.  As used in this section, the term direct-support

organization means an organization whose sole purpose is to support the
Office of Public and Professional Guardians and is:
(a) A not-for-profit corporation incorporated under chapter 617 and

approved by the Department of State;
(b) Organized and operated to conduct programs and activities; to raise

funds; to request and receive grants, gifts, and bequests of moneys; to
acquire, receive, hold, invest, and administer, in its own name, securities,
funds, objects of value, or other property, real or personal; and to make
expenditures to or for the direct or indirect benefit of the Office of Public and
Professional Guardians; and

(c) Determined by the Office of Public and Professional Guardians to be
consistent with the goals of the office, in the best interests of the state, and in
accordance with the adopted goals and mission of the Department of Elderly
Affairs and the Office of Public and Professional Guardians.

(2) Contract.  The direct-support organization shall operate under a
written contract with the Office of Public and Professional Guardians. The
written contract must provide for:
(a) Certification by the Office of Public and Professional Guardians that

the direct-support organization is complying with the terms of the contract
and is doing so consistent with the goals and purposes of the office and in the
best interests of the state. This certification must be made annually and
reported in the official minutes of a meeting of the direct-support
organization.

(b) The reversion of moneys and property held in trust by the direct-
support organization:

1. To the Office of Public and Professional Guardians if the direct-support
organization is no longer approved to operate for the office;



2. To the Office of Public and Professional Guardians if the direct-support
organization ceases to exist;

3. To the Department of Elderly Affairs if the Office of Public and
Professional Guardians ceases to exist; or

4. To the state if the Department of Elderly Affairs ceases to exist.
The fiscal year of the direct-support organization shall begin on July 1 of

each year and end on June 30 of the following year.
(c) The disclosure of the material provisions of the contract, and the

distinction between the Office of Public and Professional Guardians and the
direct-support organization, to donors of gifts, contributions, or bequests,
including such disclosure on all promotional and fundraising publications.

(3) Board of directors.  The Secretary of Elderly Affairs shall
appoint a board of directors for the direct-support organization from a list
of nominees submitted by the executive director of the Office of Public
and Professional Guardians.

(4) Use of property.  The Department of Elderly Affairs may permit,
without charge, appropriate use of fixed property and facilities of the
department or the Office of Public and Professional Guardians by the
direct-support organization. The department may prescribe any condition
with which the direct-support organization must comply in order to use
fixed property or facilities of the department or the Office of Public and
Professional Guardians.

(5) Moneys.  Any moneys may be held in a separate depository
account in the name of the direct-support organization and subject to the
provisions of the written contract with the Office of Public and
Professional Guardians. Expenditures of the direct-support organization
shall be expressly used to support the Office of Public and Professional
Guardians. The expenditures of the direct-support organization may not be
used for the purpose of lobbying as defined in s. 11.045.

(6) Public records.  Personal identifying information of a donor or
prospective donor to the direct-support organization who desires to remain
anonymous is confidential and exempt from s. 119.07(1) and s. 24(a), Art.
I of the State Constitution.



(7) Audit.  The direct-support organization shall provide for an
annual financial audit in accordance with s. 215.981.

(8) Dissolution.  A not-for-profit corporation incorporated under
chapter 617 that is determined by a circuit court to be representing itself as
a direct-support organization created under this section, but that does not
have a written contract with the Office of Public and Professional
Guardians in compliance with this section, is considered to meet the
grounds for a judicial dissolution described in s. 617.1430(1)(a). The
Office of Public and Professional Guardians shall be the recipient for all
assets held by the dissolved corporation which accrued during the period
that the dissolved corporation represented itself as a direct-support
organization created under this section.

HISTORY:
S. 9, ch. 2002-195; s. 14, ch. 2004-260; ss. 1, 2, ch. 2006-179, eff. July 1,

2006; s. 1, ch. 2011-228, eff. Oct. 1, 2011; s. 25, ch. 2014-96, effective June
13, 2014; renumbered from  744.7082 by s. 22, ch. 2016-40, effective
March 10, 2016; s. 1, ch. 2018-20, effective July 1, 2018.

Editors Notes
S. 22 of ch. 2016-40 renumbered this section from 744.7082.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2106. 
Fla. Stat.  744.2106

 744.2106. Joining Forces for Public Guardianship grant program;
purpose.

The Legislature establishes the Joining Forces for Public Guardianship
matching grant program for the purpose of assisting counties to establish and
fund community-supported public guardianship programs. The Joining
Forces for Public Guardianship matching grant program shall be established
and administered by the Office of Public and Professional Guardians within
the Department of Elderly Affairs. The purpose of the program is to provide
startup funding to encourage communities to develop and administer locally
funded and supported public guardianship programs to address the needs of
indigent and incapacitated residents.

(1) The Office of Public and Professional Guardians may distribute the
grant funds as follows:
(a) As initial startup funding to encourage counties that have no office of

public guardian to establish an office, or as initial startup funding to open an
additional office of public guardian within a county whose public
guardianship needs require more than one office of public guardian.

(b) As support funding to operational offices of public guardian that
demonstrate a necessity for funds to meet the public guardianship needs of a
particular geographic area in the state which the office serves.

(c) To assist counties that have an operating public guardianship program
but that propose to expand the geographic area or population of persons they
serve, or to develop and administer innovative programs to increase access to
public guardianship in this state.

Notwithstanding this subsection, the executive director of the office may
award emergency grants if he or she determines that the award is in the best
interests of public guardianship in this state. Before making an emergency
grant, the executive director must obtain the written approval of the Secretary
of Elderly Affairs. Subsections (2), (3), and (4) do not apply to the
distribution of emergency grant funds.

(2) One or more grants may be awarded within a county. However, a



county may not receive an award that equals, or multiple awards that
cumulatively equal, more than 20 percent of the total amount of grant
funds appropriated during any fiscal year.

(3) If an applicant is eligible and meets the requirements to receive grant
funds more than once, the Office of Public and Professional Guardians
shall award funds to prior awardees in the following manner:
(a) In the second year that grant funds are awarded, the cumulative sum of

the award provided to one or more applicants within the same county may not
exceed 75 percent of the total amount of grant funds awarded within that
county in year one.

(b) In the third year that grant funds are awarded, the cumulative sum of
the award provided to one or more applicants within the same county may not
exceed 60 percent of the total amount of grant funds awarded within that
county in year one.

(c) In the fourth year that grant funds are awarded, the cumulative sum of
the award provided to one or more applicants within the same county may not
exceed 45 percent of the total amount of grant funds awarded within that
county in year one.

(d) In the fifth year that grant funds are awarded, the cumulative sum of the
award provided to one or more applicants within the same county may not
exceed 30 percent of the total amount of grant funds awarded within that
county in year one.

(e) In the sixth year that grant funds are awarded, the cumulative sum of
the award provided to one or more applicants within the same county may not
exceed 15 percent of the total amount of grant funds awarded within that
county in year one.

The Office of Public and Professional Guardians may not award grant
funds to any applicant within a county that has received grant funds for more
than 6 years.

(4) Grant funds shall be used only to provide direct services to indigent
wards, except that up to 10 percent of the grant funds may be retained by
the awardee for administrative expenses.

(5) Implementation of the program is subject to a specific appropriation



by the Legislature in the General Appropriations Act.

HISTORY:
S. 3, ch. 2004-260; renumbered from  744.712 by s. 23, ch. 2016-40,

effective March 10, 2016.

Editors Notes
S. 23 of ch. 2016-40 renumbered this section from 744.712.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2107. 
Fla. Stat.  744.2107

 744.2107. Program administration; duties of the Office of Public and
Professional Guardians.

The Office of Public and Professional Guardians shall administer the grant
program. The office shall:

(1) Publicize the availability of grant funds to entities that may be
eligible for the funds.

(2) Establish an application process for submitting a grant proposal.
(3) Request, receive, and review proposals from applicants seeking grant

funds.
(4) Determine the amount of grant funds each awardee may receive and

award grant funds to applicants.
(5) Develop a monitoring process to evaluate grant awardees, which

may include an annual monitoring visit to each awardees local office.
(6) Ensure that persons or organizations awarded grant funds meet and

adhere to the requirements of this act.

HISTORY:
S. 4, ch. 2004-260; s. 108, ch. 2013-18, eff. July 2, 2013; renumbered from

 744.713 by s. 24, ch. 2016-40, effective March 10, 2016.

Editors Notes
S. 24 of ch. 2016-40 renumbered this section from 744.713.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2108. 
Fla. Stat.  744.2108

 744.2108. Eligibility.
(1) Any person or organization that has not been awarded a grant must

meet all of the following conditions to be eligible to receive a grant:
(a) The applicant must meet or directly employ staff that meet the

minimum qualifications for a public guardian under this chapter.
(b) The applicant must have already been appointed by, or is pending

appointment by, the Office of Public and Professional Guardians to become
an office of public guardian in this state.

(2) Any person or organization that has been awarded a grant must meet
all of the following conditions to be eligible to receive another grant:
(a) The applicant must meet or directly employ staff that meet the

minimum qualifications for a public guardian under this chapter.
(b) The applicant must have been appointed by, or is pending

reappointment by, the Office of Public and Professional Guardians to be an
office of public guardian in this state.

(c) The applicant must have achieved a satisfactory monitoring score
during the applicants most recent evaluation.

HISTORY:
S. 5, ch. 2004-260; renumbered from  744.714 by s. 25, ch. 2016-40,

effective March 10, 2016.

Editors Notes
S. 25 of ch. 2016-40 renumbered this section from 744.714.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2109. 
Fla. Stat.  744.2109

 744.2109. Grant application requirements; review criteria; awards
process.

Grant applications must be submitted to the Office of Public and
Professional Guardians for review and approval.

(1) A grant application must contain:
(a) The specific amount of funds being requested.
(b) The proposed annual budget for the office of public guardian for which

the applicant is applying on behalf of, including all sources of funding, and a
detailed report of proposed expenditures, including administrative costs.

(c) The total number of wards the applicant intends to serve during the
grant period.

(d) Evidence that the applicant has:
1. Attempted to procure funds and has exhausted all possible other sources

of funding; or
2. Procured funds from local sources, but the total amount of the funds

collected or pledged is not sufficient to meet the need for public guardianship
in the geographic area that the applicant intends to serve.

(e) An agreement or confirmation from a local funding source, such as a
county, municipality, or any other public or private organization, that the
local funding source will contribute matching funds to the public
guardianship program totaling not less than $1 for every $1 of grant funds
awarded. For purposes of this section, an applicant may provide evidence of
agreements or confirmations from multiple local funding sources showing
that the local funding sources will pool their contributed matching funds to
the public guardianship program for a combined total of not less than $1 for
every $1 of grant funds awarded. In-kind contributions, such as materials,
commodities, office space, or other types of facilities, personnel services, or
other items as determined by rule shall be considered by the office and may
be counted as part or all of the local matching funds.

(f) A detailed plan describing how the office of public guardian for which



the applicant is applying on behalf of will be funded in future years.
(g) Any other information determined by rule as necessary to assist in

evaluating grant applicants.
(2) If the Office of Public and Professional Guardians determines that an

applicant meets the requirements for an award of grant funds, the office
may award the applicant any amount of grant funds the executive director
deems appropriate, if the amount awarded meets the requirements of this
act. The office may adopt a rule allocating the maximum allowable amount
of grant funds which may be expended on any ward.

(3) A grant awardee must submit a new grant application for each year
of additional funding.
(4)(a) In the first year of the Joining Forces for Public Guardianship
programs existence, the Office of Public and Professional Guardians shall
give priority in awarding grant funds to those entities that:
1. Are operating as appointed offices of public guardians in this state;
2. Meet all of the requirements for being awarded a grant under this act;

and
3. Demonstrate a need for grant funds during the current fiscal year due to

a loss of local funding formerly raised through court filing fees.
(b) In each fiscal year after the first year that grant funds are distributed,

the Office of Public and Professional Guardians may give priority to
awarding grant funds to those entities that:

1. Meet all of the requirements of this section and ss. 744.2106, 744.2107,
and 744.2108 for being awarded grant funds; and

2. Submit with their application an agreement or confirmation from a local
funding source, such as a county, municipality, or any other public or private
organization, that the local funding source will contribute matching funds
totaling an amount equal to or exceeding $2 for every $1 of grant funds
awarded by the office. An entity may submit with its application agreements
or confirmations from multiple local funding sources showing that the local
funding sources will pool their contributed matching funds to the public
guardianship program for a combined total of not less than $2 for every $1 of
grant funds awarded. In-kind contributions allowable under this section shall



be evaluated by the Office of Public and Professional Guardians and may be
counted as part or all of the local matching funds.

HISTORY:
S. 6, ch. 2004-260; renumbered from  744.715 by s. 26, ch. 2016-40,

effective March 10, 2016.

Editors Notes
S. 26 of ch. 2016-40 renumbered this section from 744.715.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2111. 
Fla. Stat.  744.2111

 744.2111. Confidentiality.
(1) A complaint and any information held by the Department of Elderly

Affairs as part of the investigative process are confidential and exempt
from s. 119.07(1) and s. 24(a), Art. I of the State Constitution until the
investigation is completed or ceases to be active. An investigation is
considered active as long as the department is continuing with a
reasonable, good faith belief that the investigation may lead to a finding
that a guardian has violated the standards of practice established by the
Office of Public and Professional Guardians.

(2) Once an investigation is completed or ceases to be active, the
following information held by the department shall remain confidential and
exempt from s. 119.07(1) and s. 24(a), Art. I of the State Constitution:
(a) Personal identifying information of a complainant or ward.
(b) All personal health and financial records of a ward.
(c) All photographs and video recordings of a complainant or ward.

(3) This section does not prohibit the department from providing such
information:
(a) To any law enforcement agency;
(b) To any other regulatory agency in the performance of its official duties

and responsibilities;
(c) To the clerk of the circuit court under s. 744.368; or
(d) Pursuant to a court order.

(4) The exemption under this section applies to all documents received
by the department in connection with a complaint before, on, or after July
1, 2017.

HISTORY:
S. 1, ch. 2017-176, effective July 1, 2017; s. 1, ch. 2022-45, effective

October 1, 2022.



 Title XLIII. ,  Ch. 744. ,  Pt. II. ,   744.2112. 
Fla. Stat.  744.2112

 744.2112. Guardianship information and transparency.
(1) The Florida Clerks of Court Operations Corporation and the clerks of

court shall establish a statewide database of guardian and guardianship
case information to facilitate improving court oversight of guardianship
cases. The database may not be operational for end users until on or after
July 1, 2023. The database must meet interoperability standards defined by
the Florida Courts Technology Commission so that each circuit court can
easily access the information for regular use in judicial proceedings under
this chapter. The database must include, at a minimum, the following:
(a) The registration status of each professional guardian.
(b) The substantiated disciplinary history of each professional guardian.
(c) The status of each guardians compliance with the statutory

qualifications for guardianship under s. 744.2003 or s. 744.3145.
(d) The status of statutorily required reports and submissions under this

chapter.
(2)(a) Except as provided under paragraph (3)(b), the database shall be
accessible only by members of the judiciary, their direct staff, and court
personnel and clerks of court personnel authorized by a judge to assist with
guardianship matters. The database must restrict access to the information
necessary to perform such individuals duties but in no way restrict access
by judges or magistrates.
(b) The database must be searchable by, at a minimum, the name of the

petitioner, ward, guardian, and legal counsel for all parties; the demographic
information of the ward; the location of the guardians office; the name of the
judge and the circuit in which the case is brought; and the number of wards
served by each guardian, by ward county of residence.

(3) The Florida Clerks of Court Operations Corporation shall:
(a) Upload certain professional guardian information from the database to a

web page accessible to the general public in a searchable format. Such
professional guardian information must be limited to the names of



professional guardians and current data regarding the number of wards served
by each guardian, the counties of residence of such wards and the number of
wards residing in each county, and whether the wards are under limited or
plenary guardianships. Personal identifying information of wards may not be
included in the data that is searchable under this paragraph.

(b) Generate monthly reports of statewide, circuit-level, and county-level
statistical data to provide assistance to the courts and the Department of
Elderly Affairs and to provide transparency to the public and the Legislature
regarding the states guardianship system. The monthly reports shall include
only aggregated and deidentified data. The Florida Clerks of Court
Operations Corporation shall publish the statistical data reports monthly on
the web page under paragraph (a).

(c) Generate reports using information in the database at the request of the
Legislature, the judiciary, or the Department of Elderly Affairs.

(4) The Office of Public and Professional Guardians is directed to share
professional guardian registration and disciplinary action information for
the purposes of this section.
(5)(a) Beginning July 1, 2024, and annually thereafter through July 1,
2027, the Florida Clerks of Court Operations Corporation must compile
and report data collected by the clerks of court and the Department of
Elderly Affairs and maintained in the database to the Office of Program
Policy Analysis and Government Accountability (OPPAGA).
(b) OPPAGA must analyze the consolidated data compiled in accordance

with paragraph (a) to evaluate trends in the use of guardianships in this state
and to conduct a comparative analysis of guardianship laws in other states.
OPPAGA must consult with the Office of the State Courts Administrator, the
Florida Clerks of Court Operations Corporation, the clerks of court, and the
Department of Elderly Affairs during its analysis. OPPAGA shall submit a
report containing its findings and recommendations to the Governor, the
President of the Senate, and the Speaker of the House of Representatives by
October 15, 2024, and annually thereafter through October 15, 2027.

(c) The data compiled and used for the reports required under this
subsection must be produced in a statewide, circuit-level, and county-level
statistical format. Such reports must include only aggregated and deidentified



data and may not contain personal identifying information of wards.

HISTORY:
S. 1, ch. 2022-218, effective July 1, 2022.



 Title XLIII. ,  Ch. 744. ,  Pt. III. 
Fla. Stat. Title XLIII, Ch. 744, Pt. III



PART III.
TYPES OF GUARDIANSHIP.

 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.301. 
Fla. Stat.  744.301

 744.301. Natural guardians.
(1) The parents jointly are the natural guardians of their own children

and of their adopted children, during minority, unless the parents parental
rights have been terminated pursuant to chapter 39. If a child is the subject
of any proceeding under chapter 39, the parents may act as natural
guardians under this section unless the court division with jurisdiction over
guardianship matters finds that it is not in the childs best interests. If one
parent dies, the surviving parent remains the sole natural guardian even if
he or she remarries. If the marriage between the parents is dissolved, the
natural guardianship belongs to the parent to whom sole parental
responsibility has been granted, or if the parents have been granted shared
parental responsibility, both continue as natural guardians. If the marriage
is dissolved and neither parent is given parental responsibility for the child,
neither may act as natural guardian of the child. The mother of a child born
out of wedlock is the natural guardian of the child and is entitled to
primary residential care and custody of the child unless the court enters an
order stating otherwise.

(2) Except as otherwise provided in this chapter, on behalf of any of
their minor children, and without appointment, authority, or bond if the
amounts received in the aggregate do not exceed $15,000, natural
guardians may:
(a) Settle and consummate a settlement of any claim or cause of action

accruing to any of their minor children for damages to the person or property
of any minor children;

(b) Collect, receive, manage, and dispose of the proceeds of any
settlement;

(c) Collect, receive, manage, and dispose of any real or personal property
distributed from an estate or trust;



(d) Collect, receive, manage, and dispose of and make elections regarding
the proceeds from a life insurance policy or annuity contract payable to, or
otherwise accruing to the benefit of, the child; and

(e) Collect, receive, manage, dispose of, and make elections regarding the
proceeds of any benefit plan as defined in s. 710.102, of which the minor is a
beneficiary, participant, or owner.

(3) In addition to the authority granted in subsection (2), natural
guardians are authorized, on behalf of any of their minor children, to waive
and release, in advance, any claim or cause of action against a commercial
activity provider, or its owners, affiliates, employees, or agents, which
would accrue to a minor child for personal injury, including death, and
property damage resulting from an inherent risk in the activity.
(a) As used in this subsection, the term inherent risk means those

dangers or conditions, known or unknown, which are characteristic of,
intrinsic to, or an integral part of the activity and which are not eliminated
even if the activity provider acts with due care in a reasonably prudent
manner. The term includes, but is not limited to:

1. The failure by the activity provider to warn the natural guardian or
minor child of an inherent risk; and

2. The risk that the minor child or another participant in the activity may
act in a negligent or intentional manner and contribute to the injury or death
of the minor child. A participant does not include the activity provider or its
owners, affiliates, employees, or agents.

(b) To be enforceable, a waiver or release executed under this subsection
must, at a minimum, include the following statement in uppercase type that is
at least 5 points larger than, and clearly distinguishable from, the rest of the
text of the waiver or release:

NOTICE TO THE MINOR CHILDS
NATURAL GUARDIAN

READ THIS FORM COMPLETELY AND CAREFULLY. YOU ARE
AGREEING TO LET YOUR MINOR CHILD ENGAGE IN A
POTENTIALLY DANGEROUS ACTIVITY. YOU ARE AGREEING
THAT, EVEN IF (name of released party or parties) USES REASONABLE
CARE IN PROVIDING THIS ACTIVITY, THERE IS A CHANCE YOUR



CHILD MAY BE SERIOUSLY INJURED OR KILLED BY
PARTICIPATING IN THIS ACTIVITY BECAUSE THERE ARE
CERTAIN DANGERS INHERENT IN THE ACTIVITY WHICH CANNOT
BE AVOIDED OR ELIMINATED. BY SIGNING THIS FORM YOU ARE
GIVING UP YOUR CHILDs RIGHT AND YOUR RIGHT TO RECOVER
FROM (name of released party or parties) IN A LAWSUIT FOR ANY
PERSONAL INJURY, INCLUDING DEATH, TO YOUR CHILD OR ANY
PROPERTY DAMAGE THAT RESULTS FROM THE RISKS THAT ARE
A NATURAL PART OF THE ACTIVITY. YOU HAVE THE RIGHT TO
REFUSE TO SIGN THIS FORM, AND (name of released party or parties)
HAS THE RIGHT TO REFUSE TO LET YOUR CHILD PARTICIPATE IF
YOU DO NOT SIGN THIS FORM.

(c) If a waiver or release complies with paragraph (b) and waives no more
than allowed under this subsection, there is a rebuttable presumption that the
waiver or release is valid and that any injury or damage to the minor child
arose from the inherent risk involved in the activity.

1. To rebut the presumption that the waiver or release is valid, a claimant
must demonstrate by a preponderance of the evidence that the waiver or
release does not comply with this subsection.

2. To rebut the presumption that the injury or damage to the minor child
arose from an inherent risk involved in the activity, a claimant must
demonstrate by clear and convincing evidence that the conduct, condition, or
other cause resulting in the injury or damage was not an inherent risk of the
activity.

3. If a presumption under this paragraph is rebutted, liability and
compensatory damages must be established by a preponderance of the
evidence.

(d) Nothing in this subsection limits the ability of natural guardians, on
behalf of any of their minor children, to waive and release, in advance, any
claim or cause of action against a noncommercial activity provider, or its
owners, affiliates, employees, or agents, to the extent authorized by common
law.

(4) All instruments executed by a natural guardian for the benefit of the
ward under the powers specified in this section are binding on the ward.



The natural guardian may not, without a court order, use the property of
the ward for the guardians benefit or to satisfy the guardians support
obligation to the ward.

HISTORY:
S. 1, ch. 74-106; s. 8, ch. 75-166; s. 7, ch. 75-222; s. 1, ch. 77-190; s. 3, ch.

79-221; s. 17, ch. 89-96; s. 22, ch. 92-200; s. 66, ch. 95-211; s. 73, ch. 97-
170; s. 11, ch. 2002-195; s. 8, ch. 2005-101; s. 3, ch. 2006-178, eff. July 1,
2006; s. 2, ch. 2010-27, eff. Apr. 27, 2010; s. 1, ch. 2012-48, eff. July 1,
2012; s. 5, ch. 2015-112, effective July 1, 2015.

Editors Notes
Created from former s. 744.13.
Section 1, ch. 2015-112, provides: This act may be cited as The Regis

Little Act to Protect Children with Special Needs. 



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.3021. 
Fla. Stat.  744.3021

 744.3021. Guardians of minors.
(1) Except as provided in subsection (4), upon petition of a parent,

brother, sister, next of kin, or other person interested in the welfare of a
minor, a guardian for a minor may be appointed by the court without the
necessity of adjudication pursuant to s. 744.331. A guardian appointed for
a minor, whether of the person or property, has the authority of a plenary
guardian.

(2) A minor is not required to attend the hearing on the petition for
appointment of a guardian, unless otherwise directed by the court.

(3) In its discretion, the court may appoint an attorney to represent the
interests of a minor at the hearing on the petition for appointment of a
guardian.

(4) If a petition is filed pursuant to this section requesting appointment
of a guardian for a minor who is the subject of any proceeding under
chapter 39 and who is aged 17 years and 6 months or older, the court
division with jurisdiction over guardianship matters has jurisdiction over
the proceedings under s. 744.331. The alleged incapacitated minor under
this subsection shall be provided all the due process rights conferred upon
an alleged incapacitated adult pursuant to this chapter and applicable court
rules. The order of adjudication under s. 744.331 and the letters of limited
or plenary guardianship may issue upon the minors 18th birthday or as
soon thereafter as possible. Any proceeding pursuant to this subsection
shall be conducted separately from any other proceeding.

HISTORY:
S. 9, ch. 90-271; s. 6, ch. 2015-112, effective July 1, 2015.

Editors Notes
Section 1, ch. 2015-112, provides: This act may be cited as The Regis

Little Act to Protect Children with Special Needs. 



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.3025. 
Fla. Stat.  744.3025

 744.3025. Claims of minors.
(1)(a) The court may appoint a guardian ad litem to represent the minors
interest before approving a settlement of the minors portion of the claim
in a case in which a minor has a claim for personal injury, property
damage, wrongful death, or other cause of action in which the gross
settlement of the claim exceeds $15,000 if the court believes a guardian ad
litem is necessary to protect the minors interest.
(b) Except as provided in paragraph (e), the court shall appoint a guardian

ad litem to represent the minors interest before approving a settlement of the
minors claim in a case in which the gross settlement involving a minor
equals or exceeds $50,000.

(c) The appointment of the guardian ad litem must be without the necessity
of bond or notice.

(d) The duty of the guardian ad litem is to protect the minors interests as
described in the Florida Probate Rules.

(e) A court need not appoint a guardian ad litem for the minor if a guardian
of the minor has previously been appointed and that guardian has no potential
adverse interest to the minor.

(2) Unless waived, the court shall award reasonable fees and costs to the
guardian ad litem to be paid out of the gross proceeds of the settlement.

(3) A settlement of a claim pursuant to this section is subject to the
confidentiality provisions of this chapter.

HISTORY:
S. 4, ch. 2006-178, eff. July 1, 2006; s. 5, ch. 2015-83, effective July 1,

2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,



744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.3031. 
Fla. Stat.  744.3031

 744.3031. Emergency temporary guardianship.
(1) A court, prior to appointment of a guardian but after a petition for

determination of incapacity has been filed pursuant to this chapter, may
appoint an emergency temporary guardian for the person or property, or
both, of an alleged incapacitated person. The court must specifically find
that there appears to be imminent danger that the physical or mental health
or safety of the person will be seriously impaired or that the persons
property is in danger of being wasted, misappropriated, or lost unless
immediate action is taken. The subject of the proceeding or any adult
interested in the welfare of that person may apply to the court in which the
proceeding is pending for the emergency appointment of a temporary
guardian. The powers and duties of the emergency temporary guardian
must be specifically enumerated by court order. The court shall appoint
counsel to represent the alleged incapacitated person during any such
summary proceedings, and such appointed counsel may request that the
proceeding be recorded and transcribed.

(2) Notice of filing of the petition for appointment of an emergency
temporary guardian and a hearing on the petition must be served on the
alleged incapacitated person and on the alleged incapacitated persons
attorney at least 24 hours before the hearing on the petition is commenced,
unless the petitioner demonstrates that substantial harm to the alleged
incapacitated person would occur if the 24-hour notice is given.

(3) The court may appoint an emergency temporary guardian on its own
motion if no petition for appointment of guardian has been filed at the time
of entry of an order determining incapacity.

(4) The authority of an emergency temporary guardian expires 90 days
after the date of appointment or when a guardian is appointed, whichever
occurs first. The authority of the emergency temporary guardian may be
extended for an additional 90 days upon a showing that the emergency
conditions still exist.

(5) The court may issue an injunction, restraining order, or other
appropriate writ to protect the physical or mental health or safety of the



person who is the ward of the emergency temporary guardianship.
(6) The emergency temporary guardian shall take an oath to faithfully

perform the duties of a guardian before letters of emergency temporary
guardianship are issued.

(7) Before exercising authority as guardian, the emergency temporary
guardian of the property may be required to file a bond in accordance with
s. 744.351.

(8) An emergency temporary guardians authority and responsibility
begins upon issuance of letters of emergency temporary guardianship in
accordance with s. 744.345.
(9)(a) An emergency temporary guardian shall file a final report no later
than 30 days after the expiration of the emergency temporary guardianship.
(b) A court may not authorize any payment of the emergency temporary

guardians final fees or the final fees of his or her attorney until the final
report is filed.

(c) If an emergency temporary guardian is a guardian for the property, the
final report must consist of a verified inventory of the property, as provided
in s. 744.365, as of the date the letters of emergency temporary guardianship
were issued, a final accounting that gives a full and correct account of the
receipts and disbursements of all the property of the ward over which the
guardian had control, and a statement of the property of the ward on hand at
the end of the emergency temporary guardianship. If the emergency
temporary guardian becomes the successor guardian of the property, the final
report must satisfy the requirements of the initial guardianship report for the
guardian of the property as provided in s. 744.362.

(d) If the emergency temporary guardian is a guardian of the person, the
final report must summarize the activities of the temporary guardian with
regard to residential placement, medical condition, mental health and
rehabilitative services, and the social condition of the ward to the extent of
the authority granted to the temporary guardian in the letters of guardianship.
If the emergency temporary guardian becomes the successor guardian of the
person, the report must satisfy the requirements of the initial report for a
guardian of the person as stated in s. 744.362.

(e) A copy of the final report of the emergency temporary guardianship



shall be served on the successor guardian and the ward.

HISTORY:
S. 19, ch. 89-96; s. 10, ch. 90-271; s. 1070, ch. 97-102; s. 5, ch. 2006-178,

eff. July 1, 2006; s. 6, ch. 2015-83, effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.304. 
Fla. Stat.  744.304

 744.304. Standby guardianship.
(1) Upon a petition by the natural guardians or a guardian appointed

under s. 744.3021, the court may appoint a standby guardian of the person
or property of a minor. The court may also appoint an alternate to the
guardian to act if the standby guardian does not serve or ceases to serve
after appointment. Notice of a hearing on the petition must be served on
the parents, natural or adoptive, and on any guardian currently serving
unless the notice is waived in writing by them or waived by the court for
good cause shown.

(2) Upon petition of a currently serving guardian, a standby guardian of
the person or property of an incapacitated person may be appointed by the
court. Notice of the hearing shall be served on the wards next of kin.

(3) The standby guardian or alternate shall be empowered to assume the
duties of guardianship immediately on the death, removal, or resignation of
the guardian of a minor, or on the death or adjudication of incapacity of the
last surviving natural guardian of a minor, or upon the death, removal, or
resignation of the guardian for an adult. The guardian of the wards
property may not be empowered to deal with the wards property, other
than to safeguard it, before issuance of letters of guardianship. If the ward
is over the age of 18 years, the court shall conduct a hearing as provided in
s. 744.331 before confirming the appointment of the standby guardian,
unless the ward has previously been found to be incapacitated.

(4) Within 20 days after assumption of duties as guardian, a standby
guardian shall petition for confirmation of appointment. If the court finds
the standby guardian to be qualified to serve as guardian under ss. 744.309
and 744.312, appointment of the guardian must be confirmed. Each
guardian so confirmed shall file an oath in accordance with s. 744.347,
shall file a bond, and shall submit to a credit and a criminal history record
check as set forth in s. 744.3135, if required. Letters of guardianship must
then be issued in the manner provided in s. 744.345.

(5) After the assumption of duties by a standby guardian, the court shall
have jurisdiction over the guardian and the ward.



HISTORY:
S. 1, ch. 74-106; s. 7, ch. 75-222; s. 1, ch. 77-174; s. 20, ch. 89-96; s. 11,

ch. 90-271; s. 1071, ch. 97-102; s. 6, ch. 2006-178, eff. July 1, 2006.

Editors notes.
Created from former s. 744.72.



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.3045. 
Fla. Stat.  744.3045

 744.3045. Preneed guardian.
(1) A competent adult may name a preneed guardian by making a

written declaration that names such guardian to serve in the event of the
declarants incapacity.

(2) The written declaration must reasonably identify the declarant and
preneed guardian and be signed by the declarant in the presence of at least
two attesting witnesses present at the same time.

(3) The declarant may file the declaration with the clerk of the court.
When a petition for incapacity is filed, the clerk shall produce the
declaration.

(4) Production of the declaration in a proceeding for incapacity shall
constitute a rebuttable presumption that the preneed guardian is entitled to
serve as guardian. The court shall not be bound to appoint the preneed
guardian if the preneed guardian is found to be unqualified to serve as
guardian.

(5) The preneed guardian shall assume the duties of guardian
immediately upon an adjudication of incapacity.

(6) If the preneed guardian refuses to serve, a written declaration
appointing an alternate preneed guardian constitutes a rebuttable
presumption that such preneed guardian is entitled to serve as guardian.
The court is not bound to appoint the alternate preneed guardian if the
alternate preneed guardian is found to be unqualified to serve as guardian.

(7) Within 20 days after assumption of duties as guardian, a preneed
guardian shall petition for confirmation of appointment. If the court finds
the preneed guardian to be qualified to serve as guardian pursuant to ss.
744.309 and 744.312, appointment of the guardian must be confirmed.
Each guardian so confirmed shall file an oath in accordance with s.
744.347 and shall file a bond, if required. Letters of guardianship must
then be issued in the manner provided in s. 744.345.

HISTORY:



S. 21, ch. 89-96; s. 12, ch. 90-271.



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.3046. 
Fla. Stat.  744.3046

 744.3046. Preneed guardian for minor.
(1) Both parents, natural or adoptive, if living, or the surviving parent,

may nominate a preneed guardian of the person or property or both of the
parents minor child by making a written declaration that names such
guardian to serve if the minors last surviving parent becomes
incapacitated or dies. The declarant or declarants may also name an
alternate to the guardian to act if the designated preneed guardian refuses
to serve, renounces the appointment, dies, or becomes incapacitated after
the death of the last surviving parent of the minor.

(2) The written declaration must reasonably identify the declarant or
declarants and the designated preneed guardian and must be signed by the
declarant or declarants in the presence of at least two attesting witnesses
present at the same time. The written declaration must also provide the
following information for each minor child named in such declaration: the
full name as it appears on the birth certificate or as ordered by a court, date
of birth, and social security number, if any.

(3) The declarant must file the declaration with the clerk of the court.
When a petition for incapacity of the last surviving parent or the
appointment of a guardian upon the death of the last surviving parent is
filed, the clerk shall produce the declaration.

(4) Production of the declaration in a proceeding to determine incapacity
of the last surviving parent, or in a proceeding to appoint a guardian upon
the death of the last surviving parent, constitutes a rebuttable presumption
that the designated preneed guardian is entitled to serve as guardian. The
court is not bound to appoint the designated preneed guardian if the
designated preneed guardian is found to be unqualified to serve as
guardian.

(5) The preneed guardian shall assume the duties of guardian
immediately upon an adjudication of incapacity of the last surviving parent
or the death of the last surviving parent.

(6) If the preneed guardian refuses to serve, a written declaration
appointing an alternate preneed guardian constitutes a rebuttable



presumption that the alternate preneed guardian is entitled to serve as
guardian. The court is not bound to appoint the alternate preneed guardian
if the alternate preneed guardian is found to be unqualified to serve as
guardian.

(7) Within 20 days after assumption of duties as guardian, a preneed
guardian shall petition for confirmation of appointment. If the court finds
the preneed guardian to be qualified to serve as guardian, appointment of
the guardian must be confirmed. Each guardian so confirmed shall file an
oath in accordance with s. 744.347 and shall file a bond, if the court
requires a bond. Letters of guardianship must then be issued in the manner
provided in s. 744.345.

(8) The clerk shall maintain all declarations filed pursuant to this section
until:
(a) A petition for incapacity of the last surviving parent is filed or petition

for the appointment of a guardian upon the death of the last surviving parent
is filed as provided in subsection (3); or

(b) All minor children named in the declaration have reached the age of
majority.

The clerk may dispose of such written declaration in accordance with law.

HISTORY:
S. 23, ch. 92-200.



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.306. 
Fla. Stat.  744.306

 744.306. Foreign guardians.
(1) When the residence of a ward of a foreign guardian is moved to this

state, the guardian shall, within 60 days after such change of residence, file
the authenticated order of her or his appointment with the clerk of the court
in the county where the ward resides. Such order shall be recognized and
given full faith and credit in the courts of this state. The guardian and the
ward are subject to this chapter.

(2) A guardian appointed in any state, territory, or country may maintain
or defend any action in this state as a representative of her or his ward.

(3) Debtors who have received no written demand for payment from a
guardian appointed in this state within 60 days after the appointment of a
guardian, curator, conservator, or committee in any state, territory, or
country other than this state, and whose property in this state is subject to a
mortgage or other lien securing the debt held by the foreign guardian,
curator, conservator, or committee, may pay the debt to the foreign
guardian, curator, conservator, or committee after the expiration of 60 days
from the date of her or his appointment. A satisfaction of the mortgage or
lien, executed after the 60 days have expired by the foreign guardian,
curator, conservator, or committee, with an authenticated copy of the
letters or other evidence of authority of the foreign guardian, curator,
conservator, or committee attached, may be recorded in the public records
of this state and shall constitute an effective discharge of the mortgage or
lien, irrespective of whether the debtor had received written demand before
paying the debt.

(4) All persons indebted to a ward, or having possession of personal
property belonging to a ward, who have received no written demand for
payment of the indebtedness or the delivery of the property from a
guardian appointed in this state are authorized to pay the indebtedness or to
deliver the personal property to the foreign guardian, curator, conservator,
or committee after the expiration of the 60 days from the date of her or his
appointment.

HISTORY:



S. 1, ch. 74-106; s. 7, ch. 75-222; s. 23, ch. 89-96; s. 1072, ch. 97-102.

Editors notes.
Created from former s. 744.15.



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.307. 
Fla. Stat.  744.307

 744.307. Foreign guardian may manage the property of nonresident
ward.
(1) A guardian of the property of a nonresident ward, duly appointed by

a court of another state, territory, or country, who desires to manage any
part or all of the property of the ward located in this state, may file a
petition showing his or her appointment, describing the property, stating its
estimated value, and showing the indebtedness, if any, existing against the
ward in this state, to the best of the guardians knowledge and belief.

(2) The guardian shall designate a resident agent as required by the
Florida Probate Rules.

(3) The guardian shall file authenticated copies of his or her letters of
guardianship or other authority and of his or her bond or other security.
The court shall determine if the foreign bond or other security is sufficient
to guarantee the faithful management of the wards property in this state.
The court may require a new guardians bond in this state in the amount it
deems necessary and conditioned for the proper management and
application of the property of the ward coming into the custody of the
guardian in this state.

(4) Thereafter, the guardianship shall be governed by the law concerning
guardianships.

HISTORY:
S. 1, ch. 74-106; s. 7, ch. 75-222; s. 24, ch. 89-96; s. 67, ch. 95-211; s.

1073, ch. 97-102.

Editors notes.
Created from former s. 744.16.



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.308. 
Fla. Stat.  744.308

 744.308. Resident guardian of the property of nonresident ward.
(1) The court may appoint a person qualified under s. 744.309 as

guardian of a nonresident wards property upon the petition of a foreign
guardian, next of kin, or creditor of the ward, regardless of whether he or
she has a foreign guardian or not.

(2) The petition for the appointment of a guardian for the property of a
nonresident ward shall be in writing and shall be prepared in accordance
with the requirements of s. 744.334.

(3) If it is alleged that the incapacity is due to mental or physical
incapacity, the petition shall be accompanied by an authenticated copy of
the adjudication of incapacity from the qualified authorities in the state,
territory, or country where the incapacitated person is domiciled and shall
state whether the incapacitated person is in the custody of any person or
institution and, if so, the name and post office address of the custodian.
The adjudication shall constitute prima facie proof of the incapacity.

(4) If the question about the mental or physical incapacity of a
nonresident is presented while the nonresident is temporarily residing in
this state and he or she is not under an adjudication of incapacity made in
some other state, territory, or country, the procedure for the appointment of
a guardian of the nonresidents property shall be the same as though he or
she were a resident of this state.

(5) When the ground for the appointment of a guardian is incapacity for
which the person has been adjudicated in another state, territory, or
country, notice of the hearing shall be served personally or by registered
mail on the ward and the wards next of kin and legal custodian, if any, at
least 20 days before the hearing.

(6) In the appointment of the guardian, the court shall be governed by s.
744.312.

(7) The duties, powers, and liabilities for the custody, control,
management, and disposition of the wards property and removal,
accounting, and discharge shall be governed by the law applicable to



guardians of property of resident wards.

HISTORY:
S. 1, ch. 74-106; s. 7, ch. 75-222; s. 1, ch. 77-174; s. 25, ch. 89-96; s. 13,

ch. 90-271; s. 1074, ch. 97-102.

Editors notes.
Created from former ss. 744.18, 744.19, 744.21, 744.25, 744.26.



 Title XLIII. ,  Ch. 744. ,  Pt. III. ,   744.3085. 
Fla. Stat.  744.3085

 744.3085. Guardian advocates.
A circuit court may appoint a guardian advocate, without an adjudication

of incapacity, for a person with developmental disabilities if the person lacks
the capacity to do some, but not all, of the tasks necessary to care for his or
her person, property, or estate, or if the person has voluntarily petitioned for
the appointment of a guardian advocate. Unless otherwise specified, the
proceeding shall be governed by the Florida Probate Rules. In accordance
with the legislative intent of this chapter, courts are encouraged to consider
appointing a guardian advocate, when appropriate, as a less restrictive form
of guardianship.

HISTORY:
S. 11, ch. 2004-260.



 Title XLIII. ,  Ch. 744. ,  Pt. IV. 
Fla. Stat. Title XLIII, Ch. 744, Pt. IV



PART IV.
GUARDIANS.

 Title XLIII. ,  Ch. 744. ,  Pt. IV. ,   744.309. 
Fla. Stat.  744.309

 744.309. Who may be appointed guardian of a resident ward.
(1) Resident. 
(a) Any resident of this state who is sui juris and is 18 years of age or older

is qualified to act as guardian of a ward.
(b) No judge shall act as guardian after this law becomes effective, except

when he or she is related to the ward by blood, marriage, or adoption, or has
maintained a close relationship with the ward or the wards family, and
serves without compensation.

(2) Nonresident.  A nonresident of the state may serve as guardian of
a resident ward if he or she is:
(a) Related by lineal consanguinity to the ward;
(b) A legally adopted child or adoptive parent of the ward;
(c) A spouse, brother, sister, uncle, aunt, niece, or nephew of the ward, or

someone related by lineal consanguinity to any such person; or
(d) The spouse of a person otherwise qualified under this section.

(3) Disqualified persons.  No person who has been convicted of a
felony or who, from any incapacity or illness, is incapable of discharging
the duties of a guardian, or who is otherwise unsuitable to perform the
duties of a guardian, shall be appointed to act as guardian. Further, no
person who has been judicially determined to have committed abuse,
abandonment, or neglect against a child as defined in s. 39.01 or s.
984.03(1), (2), and (37), or who has been found guilty of, regardless of
adjudication, or entered a plea of nolo contendere or guilty to, any offense
prohibited under s. 435.04 or similar statute of another jurisdiction, shall
be appointed to act as a guardian. Except as provided in subsection (5) or
subsection (6), a person who provides substantial services to the proposed
ward in a professional or business capacity, or a creditor of the proposed



ward, may not be appointed guardian and retain that previous professional
or business relationship. A person may not be appointed a guardian if he or
she is in the employ of any person, agency, government, or corporation
that provides service to the proposed ward in a professional or business
capacity, except that a person so employed may be appointed if he or she is
the spouse, adult child, parent, or sibling of the proposed ward or the court
determines that the potential conflict of interest is insubstantial and that the
appointment would clearly be in the proposed wards best interest. The
court may not appoint a guardian in any other circumstance in which a
conflict of interest may occur.

(4) Trust company, state bank or savings association, or national
bank or federal savings and loan association.  A trust company, a
state banking corporation or state savings association authorized and
qualified to exercise fiduciary powers in this state, or a national banking
association or federal savings and loan association authorized and qualified
to exercise fiduciary powers in this state may act as guardian of the
property of the ward.

(5) Nonprofit corporate guardian.  A nonprofit corporation
organized for religious or charitable purposes and existing under the laws
of this state may be appointed guardian for a ward. If the nonprofit
corporate guardian charges fees against the assets or property of the ward
for its services, the corporation must employ at least one professional
guardian.

(6) Health care provider.  A provider of health care services to the
ward, whether direct or indirect, may not be appointed the guardian of the
ward, unless the court specifically finds that there is no conflict of interest
with the wards best interests.

(7) For-profit corporate guardian.  A for-profit corporate guardian
existing under the laws of this state is qualified to act as guardian of a ward
if the entity is qualified to do business in the state, is wholly owned by the
person who is the circuits public guardian in the circuit where the
corporate guardian is appointed, has met the registration requirements of s.
744.2002, and posts and maintains a bond or insurance policy under
paragraph (a).
(a) The for-profit corporate guardian must meet one of the following



requirements:
1. Post and maintain a blanket fiduciary bond of at least $250,000 with the

clerk of the circuit court in the county in which the corporate guardian has its
principal place of business. The corporate guardian shall provide proof of the
fiduciary bond to the clerks of each additional circuit court in which he or she
is serving as a guardian. The bond must cover all wards for whom the
corporation has been appointed as a guardian at any given time. The liability
of the provider of the bond is limited to the face value of the bond, regardless
of the number of wards for whom the corporation is acting as a guardian. The
terms of the bond must cover the acts or omissions of each agent or employee
of the corporation who has direct contact with the ward or access to the assets
of the guardianship. The bond must be payable to the Governor and his or her
successors in office and be conditioned on the faithful performance of all
duties of a guardian under this chapter. The bond is in lieu of and not in
addition to the bond required under s. 744.2003 but is in addition to any
bonds required under s. 744.351. The expenses incurred to satisfy the
bonding requirements of this section may not be paid with the assets of any
ward; or

2. Maintain a liability insurance policy that covers any losses sustained by
the guardianship caused by errors, omissions, or any intentional misconduct
committed by the corporations officers or agents. The policy must cover all
wards for whom the corporation is acting as a guardian for losses up to
$250,000. The terms of the policy must cover acts or omissions of each agent
or employee of the corporation who has direct contact with the ward or
access to the assets of the guardianship. The corporate guardian shall provide
proof of the policy to the clerk of each circuit court in which he or she is
serving as a guardian.

(b) A for-profit corporation appointed as guardian before July 1, 2015, is
also qualified to serve as a guardian in the particular guardianships in which
the corporation has already been appointed as guardian.

HISTORY:
S. 1, ch. 74-106; s. 8, ch. 75-222; s. 4, ch. 79-221; s. 7, ch. 81-27; s. 2, ch.

83-139; s. 26, ch. 89-96; s. 14, ch. 90-271; s. 1, ch. 96-184; s. 5, ch. 96-354;
s. 1781, ch. 97-102; s. 48, ch. 98-280; s. 159, ch. 98-403; s. 8, ch. 2000-135;



s. 110, ch. 2000-349; s. 4, ch. 2002-195; s. 31, ch. 2004-267; s. 53, ch. 2010-
114, eff. Aug. 1, 2010; s. 7, ch. 2015-83, effective July 1, 2015; s. 36, ch.
2016-40, effective March 10, 2016.

Editors Notes
Section 31, ch. 2004-267, reenacted (3) without change to incorporate

amendments to statutory sections referenced therein.
Created from former s. 744.27.
Section 58, ch. 2010-114 provides: The changes made by this act are

intended to be prospective in nature. It is not intended that persons who are
employed or licensed on the effective date of this act be rescreened until such
time as they are otherwise required to be rescreened pursuant to law, at which
time they must meet the requirements for screening as set forth in this act.

Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,
Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. IV. ,   744.3115. 
Fla. Stat.  744.3115

 744.3115. Advance directives for health care.
In each proceeding in which a guardian is appointed under this chapter, the

court shall determine whether the ward, prior to incapacity, has executed any
valid advance directive under chapter 765. If any advance directive exists, the
court shall specify in its order and letters of guardianship what authority, if
any, the guardian shall exercise over the ward with regard to health care
decisions and what authority, if any, the surrogate shall continue to exercise
over the ward with regard to health care decisions. Pursuant to the grounds
listed in s. 765.105, the court, upon its own motion, may, with notice to the
surrogate and any other appropriate parties, modify or revoke the authority of
the surrogate to make health care decisions for the ward. Any order revoking
or modifying the authority of the surrogate must be supported by specific
written findings of fact. If the court order provides that the guardian is
responsible for making health care decisions for the ward, the guardian shall
assume the responsibilities of the surrogate which are provided in s. 765.205.
For purposes of this section, the term health care decision has the same
meaning as in s. 765.101.

HISTORY:
S. 6, ch. 92-199; s. 1, ch. 94-183; s. 7, ch. 2006-178, eff. July 1, 2006; s. 8,

ch. 2015-83, effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. IV. ,   744.312. 
Fla. Stat.  744.312

 744.312. Considerations in appointment of guardian.
(1) If the person designated is qualified to serve pursuant to s. 744.309,

the court shall appoint any standby guardian or preneed guardian, unless
the court determines that appointing such person is contrary to the best
interests of the ward.

(2) If a guardian cannot be appointed under subsection (1), the court
may appoint any person who is fit and proper and qualified to act as
guardian, whether related to the ward or not. The court shall give
preference to the appointment of a person who:
(a) Is related by blood or marriage to the ward;
(b) Has educational, professional, or business experience relevant to the

nature of the services sought to be provided;
(c) Has the capacity to manage the financial resources involved; or
(d) Has the ability to meet the requirements of the law and the unique

needs of the individual case.
(3) The court shall also:

(a) Consider the wishes expressed by an incapacitated person as to who
shall be appointed guardian.

(b) Consider the preference of a minor who is age 14 or over as to who
should be appointed guardian.

(c) Consider any person designated as guardian in any will in which the
ward is a beneficiary.

(d) Consider the wishes of the wards next of kin, when the ward cannot
express a preference.

(e) Inquire into and consider potential disqualifications under s. 744.309
and potential conflicts of interest under s. 744.446.

(4) Except when a standby guardian or a preneed guardian is appointed
by the court:



(a) In each case when a court appoints a professional guardian and does not
use a rotation system for such appointment, the court must make specific
findings of fact stating why the person was selected as guardian in the
particular matter involved. The findings must reference each of the factors
listed in subsections (2) and (3).

(b) An emergency temporary guardian who is a professional guardian may
not be appointed as the permanent guardian of a ward unless one of the next
of kin of the alleged incapacitated person or the ward requests that the
professional guardian be appointed as permanent guardian. The court may
waive the limitations of this paragraph if the special requirements of the
guardianship demand that the court appoint a guardian because he or she has
special talent or specific prior experience. The court must make specific
findings of fact that justify waiving the limitations of this paragraph.

(5) The court may not give preference to the appointment of a person
under subsection (2) based solely on the fact that such person was
appointed by the court to serve as an emergency temporary guardian.

HISTORY:
S. 1, ch. 74-106; s. 12, ch. 75-222; s. 1, ch. 77-174; s. 5, ch. 79-221; s. 27,

ch. 89-96; s. 15, ch. 90-271; s. 9, ch. 2015-83, effective July 1, 2015; s. 1, ch.
2020-35, effective July 1, 2020.

Editors Notes
Created from former s. 744.35.
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. IV. ,   744.3125. 
Fla. Stat.  744.3125

 744.3125. Application for appointment.
(1) Every prospective guardian must complete an application for

appointment as guardian. The application must list the persons
qualifications to serve as a guardian.

(2) A person may not be appointed a guardian unless the person
discloses in the application form the names of all wards for whom the
person is currently acting as a guardian. The application must identify each
ward by court file number and circuit court in which the case is pending
and must state whether the person is acting as the limited or plenary
guardian of the person or property or both.

(3) This section does not apply to corporate guardians other than
nonprofit corporate guardians or to public guardians.

(4) Nonprofit corporate guardians must file quarterly with the clerk of
court disclosure statements that contain the information required under
subsections (1) and (2), rather than filing a guardianship application with
each petition to be appointed guardian.

HISTORY:
S. 29, ch. 89-96; s. 16, ch. 90-271; s. 1075, ch. 97-102.



 Title XLIII. ,  Ch. 744. ,  Pt. IV. ,   744.3135. 
Fla. Stat.  744.3135

 744.3135. Credit and criminal investigation.
(1) The court shall require all guardians who are seeking appointment by

the court, other than a corporate guardian as described in s. 744.309(4),
and all employees of a professional guardian, other than a corporate
guardian as described in s. 744.309(4), who have a fiduciary responsibility
to a ward, to submit, at their own expense, to a credit history investigation
and to undergo level 2 background screening as required under s. 435.04.
On petition by any interested person or on the courts own motion, the
court may waive the requirement of a credit history investigation or a level
2 background screening, or both. If appointed, a nonprofessional guardian
may petition the court for reimbursement of the reasonable expenses of the
credit history investigation and background screening. The court must
consider the results of any investigation before appointing a guardian. At
any time, the court may require a guardian or the guardians employees to
submit to an investigation of the persons credit history and complete a
level 1 or level 2 background screening pursuant to s. 435.03. The court
shall consider the results of any investigation in determining whether to
reappoint a guardian. The clerk of the court shall maintain a file on each
guardian appointed by the court and retain in the file documentation of the
result of any investigation conducted under this section. A professional
guardian shall pay the clerk of the court a fee of up to $7.50 for handling
and processing professional guardian files.

(2) For nonprofessional guardians, the court shall accept the satisfactory
completion of a criminal history record check as described in this
subsection. A nonprofessional guardian satisfies the requirements of this
section by undergoing a state and national criminal history record check
using fingerprints. Any nonprofessional guardian who is so required shall
have his or her fingerprints taken and forward them along with the
necessary fee to the Department of Law Enforcement for processing. The
results of the fingerprint criminal history record check shall be forwarded
to the clerk of the court, who shall maintain the results in the
nonprofessional guardians file and make the results available to the court.

(3) For professional guardians, the court and the Office of Public and



Professional Guardians shall accept the satisfactory completion of a
criminal history record check by any method described in this subsection.
A professional guardian satisfies the requirements of this section by
undergoing an electronic fingerprint criminal history record check. A
professional guardian may use any electronic fingerprinting equipment
used for criminal history record checks. By October 1, 2016, the Office of
Public and Professional Guardians shall adopt a rule detailing the
acceptable methods for completing an electronic fingerprint criminal
history record check under this section. The professional guardian shall
pay the actual costs incurred by the Federal Bureau of Investigation and
the Department of Law Enforcement for the criminal history record check.
The entity completing the record check must immediately send the results
of the criminal history record check to the clerk of the court and the Office
of Public and Professional Guardians. The clerk of the court shall maintain
the results in the professional guardians file and shall make the results
available to the court.
(4)(a) A professional guardian, and each employee of a professional
guardian who has a fiduciary responsibility to a ward, must complete, at
his or her own expense, a level 2 background screening as set forth in s.
435.04 before and at least once every 5 years after the date the guardian is
registered. A professional guardian, and each employee of a professional
guardian who has a fiduciary responsibility to a ward, must complete, at
his or her own expense, a level 1 background screening as set forth in s.
435.03 at least once every 2 years after the date the guardian is registered.
However, a professional guardian is not required to resubmit fingerprints
for a criminal history record check if he or she has been screened using
electronic fingerprinting equipment and the fingerprints are retained by the
Department of Law Enforcement in order to notify the clerk of the court of
any crime charged against the person in this state or elsewhere, as
appropriate.
(b) All fingerprints electronically submitted to the Department of Law

Enforcement under this section shall be retained by the Department of Law
Enforcement in a manner provided by rule and entered in the statewide
automated biometric identification system authorized by s. 943.05(2)(b). The
fingerprints shall thereafter be available for all purposes and uses authorized
for arrest fingerprints entered in the Criminal Justice Information Program



under s. 943.051.
(c) The Department of Law Enforcement shall search all arrest fingerprints

received under s. 943.051 against the fingerprints retained in the statewide
automated biometric identification system under paragraph (b). Any arrest
record that is identified with the fingerprints of a person described in this
paragraph must be reported to the clerk of court. The clerk of court must
forward any arrest record received for a professional guardian to the Office of
Public and Professional Guardians within 5 days. Each professional guardian
who elects to submit fingerprint information electronically shall participate in
this search process by paying an annual fee to the Office of Public and
Professional Guardians of the Department of Elderly Affairs and by
informing the clerk of court and the Office of Public and Professional
Guardians of any change in the status of his or her guardianship appointment.
The amount of the annual fee to be imposed for performing these searches
and the procedures for the retention of professional guardian fingerprints and
the dissemination of search results shall be established by rule of the
Department of Law Enforcement. At least once every 5 years, the Office of
Public and Professional Guardians must request that the Department of Law
Enforcement forward the fingerprints maintained under this section to the
Federal Bureau of Investigation.

(5)(a) A professional guardian, and each employee of a professional
guardian who has a fiduciary responsibility to a ward, must complete, at
his or her own expense, an investigation of his or her credit history before
and at least once every 2 years after the date of the guardians registration
with the Office of Public and Professional Guardians.
(b) By October 1, 2016, the Office of Public and Professional Guardians

shall adopt a rule detailing the acceptable methods for completing a credit
investigation under this section. If appropriate, the Office of Public and
Professional Guardians may administer credit investigations. If the office
chooses to administer the credit investigation, the office may adopt a rule
setting a fee, not to exceed $25, to reimburse the costs associated with the
administration of a credit investigation.

(6) The Office of Public and Professional Guardians may inspect at any
time the results of any credit or criminal history record check of a public or
professional guardian conducted under this section. The office shall



maintain copies of the credit or criminal history record check results in the
guardians registration file. If the results of a credit or criminal
investigation of a public or professional guardian have not been forwarded
to the Office of Public and Professional Guardians by the investigating
agency, the clerk of the court shall forward copies of the results of the
investigations to the office upon receiving them.

(7) The requirements of this section do not apply to a professional
guardian, or to the employees of a professional guardian, that is a trust
company, a state banking corporation or state savings association
authorized and qualified to exercise fiduciary powers in this state, or a
national banking association or federal savings and loan association
authorized and qualified to exercise fiduciary powers in this state.

HISTORY:
S. 30, ch. 89-96; s. 1076, ch. 97-102; s. 2, ch. 97-161; s. 10, ch. 99-277; s.

5, ch. 2002-195; s. 10, ch. 2003-57; s. 114, ch. 2003-402; s. 12, ch. 2004-260;
s. 22, ch. 2004-267; s. 8, ch. 2006-178, eff. July 1, 2006; s. 1, ch. 2007-127,
eff. July 1, 2007; s. 58, ch. 2013-116, eff. July 1, 2013; s. 2, ch. 2014-124,
effective July 1, 2014; s. 27, ch. 2016-40, effective March 10, 2016.

Editors notes.
Section 22, ch. 2004-267, reenacted this section without change to

incorporate amendments to statutory sections referenced therein.



 Title XLIII. ,  Ch. 744. ,  Pt. IV. ,   744.3145. 
Fla. Stat.  744.3145

 744.3145. Guardian education requirements.
(1) Each ward is entitled to a guardian competent to perform the duties

of a guardian necessary to protect the interests of the ward.
(2) Each person appointed by the court to be a guardian, other than a

parent who is the guardian of the property of a minor child, must receive a
minimum of 8 hours of instruction and training which covers:
(a) The legal duties and responsibilities of the guardian;
(b) The rights of the ward;
(c) The availability of local resources to aid the ward; and
(d) The preparation of habilitation plans and annual guardianship reports,

including financial accounting for the wards property.
(3) Each person appointed by the court to be the guardian of the property

of his or her minor child must receive a minimum of 4 hours of instruction
and training that covers:
(a) The legal duties and responsibilities of the guardian of the property;
(b) The preparation of the initial inventory and annual guardianship

accountings for the wards property; and
(c) Use of guardianship assets.

(4) Each person appointed by the court to be a guardian must complete
the required number of hours of instruction and education within 4 months
after his or her appointment as guardian. The instruction and education
must be completed through a course approved by the chief judge of the
circuit court and taught by a court-approved organization. Court-approved
organizations may include, but are not limited to, community or junior
colleges, guardianship organizations, and the local bar association or The
Florida Bar.

(5) Expenses incurred by the guardian to satisfy the education
requirement may be paid from the wards estate, unless the court directs
that such expenses be paid by the guardian individually.



(6) The court may, in its discretion, waive some or all of the
requirements of this section or impose additional requirements. The court
shall make its decision on a case-by-case basis and, in making its decision,
shall consider the experience and education of the guardian, the duties
assigned to the guardian, and the needs of the ward.

(7) The provisions of this section do not apply to professional guardians.

HISTORY:
S. 31, ch. 89-96; s. 17, ch. 90-271; s. 1077, ch. 97-102; s. 3, ch. 97-161; s.

11, ch. 2003-57; s. 9, ch. 2006-178, eff. July 1, 2006.



 Title XLIII. ,  Ch. 744. ,  Pt. V. 
Fla. Stat. Title XLIII, Ch. 744, Pt. V



PART V.
ADJUDICATION OF INCAPACITY AND APPOINTMENT

OF GUARDIANS.
 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.3201. 

Fla. Stat.  744.3201

 744.3201. Petition to determine incapacity.
(1) A petition to determine incapacity of a person may be executed by an

adult person.
(2) The petition must be verified and must:

(a) State the name, age, and present address of the petitioner and his or her
relationship to the alleged incapacitated person;

(b) State the name, age, county of residence, and present address of the
alleged incapacitated person;

(c) Specify the primary language spoken by the alleged incapacitated
person, if known;

(d) Allege that the petitioner believes the alleged incapacitated person to be
incapacitated and specify the factual information on which such belief is
based and the names and addresses of all persons known to the petitioner who
have knowledge of such facts through personal observations;

(e) State the name and address of the alleged incapacitated persons
attending or family physician, if known;

(f) State which rights enumerated in s. 744.3215 the alleged incapacitated
person is incapable of exercising, to the best of petitioners knowledge. If the
petitioner has insufficient experience to make such judgments, the petition
must so state; and

(g) State the names, relationships, and addresses of the next of kin of the
alleged incapacitated person, so far as are known, specifying the dates of
birth of any who are minors.

(3) A copy of any petition for appointment of guardian or emergency
temporary guardian, if applicable, shall be filed with the petition to



determine incapacity.

HISTORY:
S. 33, ch. 89-96; s. 18, ch. 90-271; s. 22, ch. 95-401; s. 1078, ch. 97-102.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.3203. 
Fla. Stat.  744.3203

 744.3203. Suspension of power of attorney before incapacity
determination.
(1) At any time during proceedings to determine incapacity but before

the entry of an order determining incapacity, the authority granted under an
alleged incapacitated persons power of attorney to a parent, spouse, child,
or grandchild is suspended when the petitioner files a motion stating that a
specific power of attorney should be suspended for any of the following
grounds:
(a) The agents decisions are not in accord with the alleged incapacitated

persons known desires.
(b) The power of attorney is invalid.
(c) The agent has failed to discharge his or her duties or incapacity or

illness renders the agent incapable of discharging duties.
(d) The agent has abused powers.
(e) There is a danger that the property of the alleged incapacitated person

may be wasted, misappropriated, or lost unless the authority under the power
of attorney is suspended.

Grounds for suspending a power of attorney do not include the existence of
a dispute between the agent and the petitioner which is more appropriate for
resolution in some other forum or a legal proceeding other than a
guardianship proceeding.

(2) The motion must:
(a) Identify one or more of the grounds in subsection (1);
(b) Include specific statements of fact showing that grounds exist to justify

the relief sought; and
(c) Include the following statement: Under penalties of perjury, I declare

that I have read the foregoing motion and that the facts stated in it are true to
the best of my knowledge and belief, followed by the signature of the
petitioner.



(3) Upon the filing of a response to the motion by the agent under the
power of attorney, the court shall schedule the motion for an expedited
hearing. Unless an emergency arises and the agents response sets forth the
nature of the emergency, the property or matter involved, and the power to
be exercised by the agent, notice must be given to all interested persons,
the alleged incapacitated person, and the alleged incapacitated persons
attorney. The court order following the hearing must set forth what powers
the agent is permitted to exercise, if any, pending the outcome of the
petition to determine incapacity.

(4) In addition to any other remedy authorized by law, a court may
award reasonable attorney fees and costs to an agent who successfully
challenges the suspension of the power of attorney if the petitioners
motion was made in bad faith.

(5) The suspension of authority granted to persons other than a parent,
spouse, child, or grandchild shall be as provided in s. 709.2109.

HISTORY:
S. 10, ch. 2015-83, effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.3215. 
Fla. Stat.  744.3215

 744.3215. Rights of persons determined incapacitated.
(1) A person who has been determined to be incapacitated retains the

right:
(a) To have an annual review of the guardianship report and plan.
(b) To have continuing review of the need for restriction of his or her

rights.
(c) To be restored to capacity at the earliest possible time.
(d) To be treated humanely, with dignity and respect, and to be protected

against abuse, neglect, and exploitation.
(e) To have a qualified guardian.
(f) To remain as independent as possible, including having his or her

preference as to place and standard of living honored, either as he or she
expressed or demonstrated his or her preference prior to the determination of
his or her incapacity or as he or she currently expresses his or her preference,
insofar as such request is reasonable.

(g) To be properly educated.
(h) To receive prudent financial management for his or her property and to

be informed how his or her property is being managed, if he or she has lost
the right to manage property.

(i) To receive services and rehabilitation necessary to maximize the
quality of life.

(j) To be free from discrimination because of his or her incapacity.
(k) To have access to the courts.

(l) To counsel.
(m) To receive visitors and communicate with others.
(n) To notice of all proceedings related to determination of capacity and

guardianship, unless the court finds the incapacitated person lacks the ability
to comprehend the notice.



(o) To privacy.
(2) Rights that may be removed from a person by an order determining

incapacity but not delegated to a guardian include the right:
(a) To marry. If the right to enter into a contract has been removed, the

right to marry is subject to court approval.
(b) To vote.
(c) To personally apply for government benefits.
(d) To have a driver license.
(e) To travel.
(f) To seek or retain employment.

(3) Rights that may be removed from a person by an order determining
incapacity and which may be delegated to the guardian include the right:
(a) To contract.
(b) To sue and defend lawsuits.
(c) To apply for government benefits.
(d) To manage property or to make any gift or disposition of property.
(e) To determine his or her residence.
(f) To consent to medical and mental health treatment.
(g) To make decisions about his or her social environment or other social

aspects of his or her life.
(4) Without first obtaining specific authority from the court, as described

in s. 744.3725, a guardian may not:
(a) Commit the ward to a facility, institution, or licensed service provider

without formal placement proceeding, pursuant to chapter 393, chapter 394,
or chapter 397.

(b) Consent on behalf of the ward to the performance on the ward of any
experimental biomedical or behavioral procedure or to the participation by
the ward in any biomedical or behavioral experiment. The court may permit
such performance or participation only if:



1. It is of direct benefit to, and is intended to preserve the life of or prevent
serious impairment to the mental or physical health of the ward; or

2. It is intended to assist the ward to develop or regain his or her abilities.
(c) Initiate a petition for dissolution of marriage for the ward.
(d) Consent on behalf of the ward to termination of the wards parental

rights.
(e) Consent on behalf of the ward to the performance of a sterilization or

abortion procedure on the ward.

HISTORY:
S. 34, ch. 89-96; s. 19, ch. 90-271; s. 36, ch. 93-39; s. 13, ch. 94-183; s. 44,

ch. 96-169; s. 6, ch. 96-354; s. 1782, ch. 97-102; s. 10, ch. 2006-178, eff. July
1, 2006; s. 5, ch. 2017-16, effective July 1, 2017.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.331. 
Fla. Stat.  744.331

 744.331. Procedures to determine incapacity.
(1) Notice of petition to determine incapacity. Notice of the filing of a

petition to determine incapacity and a petition for the appointment of a
guardian if any and copies of the petitions must be served on and read to
the alleged incapacitated person. The notice and copies of the petitions
must also be given to the attorney for the alleged incapacitated person, and
served upon all next of kin identified in the petition. The notice must state
the time and place of the hearing to inquire into the capacity of the alleged
incapacitated person and that an attorney has been appointed to represent
the person and that, if she or he is determined to be incapable of exercising
certain rights, a guardian will be appointed to exercise those rights on her
or his behalf.

(2) Attorney for the alleged incapacitated person.
(a) When a court appoints an attorney for an alleged incapacitated person,

the court must appoint the office of criminal conflict and civil regional
counsel or a private attorney as prescribed in s. 27.511(6). A private attorney
must be one who is included in the attorney registry compiled pursuant to s.
27.40. Appointments of private attorneys must be made on a rotating basis,
taking into consideration conflicts arising under this chapter.

(b) The court shall appoint an attorney for each person alleged to be
incapacitated in all cases involving a petition for adjudication of incapacity.
The alleged incapacitated person may substitute her or his own attorney for
the attorney appointed by the court.

(c) Any attorney representing an alleged incapacitated person may not
serve as guardian of the alleged incapacitated person or as counsel for the
guardian of the alleged incapacitated person or the petitioner.

(d) An attorney seeking to be appointed by a court for incapacity and
guardianship proceedings must have completed a minimum of 8 hours of
education in guardianship. A court may waive the initial training requirement
for an attorney who has served as a court-appointed attorney in incapacity
proceedings or as an attorney of record for guardians for not less than 3 years.
This training requirement does not apply to a court-appointed attorney



employed by an office of criminal conflict and civil regional counsel.
(3) Examining committee.

(a) Within 5 days after a petition for determination of incapacity has been
filed, the court shall appoint an examining committee consisting of three
members. One member must be a psychiatrist or other physician. The
remaining members must be either a psychologist, a gerontologist, a
psychiatrist, a physician, an advanced practice registered nurse, a registered
nurse, a licensed social worker, a person with an advanced degree in
gerontology from an accredited institution of higher education, or any other
person who by knowledge, skill, experience, training, or education may, in
the courts discretion, advise the court in the form of an expert opinion. One
of three members of the committee must have knowledge of the type of
incapacity alleged in the petition. Unless good cause is shown, the attending
or family physician may not be appointed to the committee. If the attending
or family physician is available for consultation, the committee must consult
with the physician. Members of the examining committee may not be related
to or associated with one another, with the petitioner, with counsel for the
petitioner or the proposed guardian, or with the person alleged to be totally or
partially incapacitated. A member may not be employed by any private or
governmental agency that has custody of, or furnishes, services or subsidies,
directly or indirectly, to the person or the family of the person alleged to be
incapacitated or for whom a guardianship is sought. A petitioner may not
serve as a member of the examining committee. Members of the examining
committee must be able to communicate, either directly or through an
interpreter, in the language that the alleged incapacitated person speaks or to
communicate in a medium understandable to the alleged incapacitated person
if she or he is able to communicate. The clerk of the court shall send notice of
the appointment to each person appointed no later than 3 days after the
courts appointment.

(b) A person who has been appointed to serve as a member of an
examining committee to examine an alleged incapacitated person may not
thereafter be appointed as a guardian for the person who was the subject of
the examination.

(c) Each person appointed to an examining committee must file an
affidavit with the court stating that he or she has completed the required



courses or will do so no later than 4 months after his or her initial
appointment. Each year, the chief judge of the circuit must prepare a list of
persons qualified to be members of an examining committee.

(d) A member of an examining committee must complete a minimum of 4
hours of initial training. The person must complete 2 hours of continuing
education during each 2-year period after the initial training. The initial
training and continuing education program must be developed under the
supervision of the Office of Public and Professional Guardians, in
consultation with the Florida Conference of Circuit Court Judges; the Elder
Law and the Real Property, Probate and Trust Law sections of The Florida
Bar; and the Florida State Guardianship Association. The court may waive
the initial training requirement for a person who has served for not less than 5
years on examining committees. If a person wishes to obtain his or her
continuing education on the Internet or by watching a video course, the
person must first obtain the approval of the chief judge before taking an
Internet or video course.

(e) Each member of the examining committee shall examine the person.
Each examining committee member must determine the alleged incapacitated
persons ability to exercise those rights specified in s. 744.3215. In addition
to the examination, each examining committee member must have access to,
and may consider, previous examinations of the person, including, but not
limited to, habilitation plans, school records, and psychological and
psychosocial reports voluntarily offered for use by the alleged incapacitated
person. Each member of the examining committee must file his or her report
with the clerk of the court within 15 days after appointment.

(f) The examination of the alleged incapacitated person must include a
comprehensive examination, a report of which shall be filed by each
examining committee member as part of his or her written report. The
comprehensive examination report should be an essential element, but not
necessarily the only element, used in making a capacity and guardianship
decision. The comprehensive examination must include, if indicated:

1. A physical examination;
2. A mental health examination; and
3. A functional assessment.



If any of these three aspects of the examination is not indicated or cannot
be accomplished for any reason, the written report must explain the reasons
for its omission.

(g) Each committee members written report must include:
1. To the extent possible, a diagnosis, prognosis, and recommended course

of treatment.
2. An evaluation of the alleged incapacitated persons ability to retain her

or his rights, including, without limitation, the rights to marry; vote; contract;
manage or dispose of property; have a driver license; determine her or his
residence; consent to medical treatment; and make decisions affecting her or
his social environment.

3. The results of the comprehensive examination and the committee
members assessment of information provided by the attending or family
physician, if any.

4. A description of any matters with respect to which the person lacks the
capacity to exercise rights, the extent of that incapacity, and the factual basis
for the determination that the person lacks that capacity.

5. The names of all persons present during the time the committee member
conducted his or her examination. If a person other than the person who is the
subject of the examination supplies answers posed to the alleged
incapacitated person, the report must include the response and the name of
the person supplying the answer.

6. The signature of the committee member and the date and time the
member conducted his or her examination.

(h) Within 3 days after receipt of each examining committee members
report, the clerk shall serve the report on the petitioner and the attorney for
the alleged incapacitated person by electronic mail delivery or United States
mail, and, upon service, shall file a certificate of service in the incapacity
proceeding. The petitioner and the attorney for the alleged incapacitated
person must be served with all reports at least 10 days before the hearing on
the petition, unless the reports are not complete, in which case the petitioner
and attorney for the alleged incapacitated person may waive the 10 day
requirement and consent to the consideration of the report by the court at the
adjudicatory hearing. If such service is not timely effectuated, the petitioner



or the alleged incapacitated person may move for a continuance of the
hearing.

(i) The petitioner and the alleged incapacitated person may object
to the introduction into evidence of all or any portion of the
examining committee members reports by filing and serving a
written objection on the other party no later than 5 days before the
adjudicatory hearing. The objection must state the basis upon which
the challenge to admissibility is made. If an objection is timely filed
and served, the court shall apply the rules of evidence in determining
the reports admissibility. For good cause shown, the court may
extend the time to file and serve the written objection.

(4) Dismissal of petition. If a majority of the examining committee
members conclude that the alleged incapacitated person is not
incapacitated in any respect, the court shall dismiss the petition.

(5) Adjudicatory hearing.
(a) Upon appointment of the examining committee, the court shall set the

date upon which the petition will be heard. The adjudicatory hearing must be
conducted at least 10 days, which time period may be waived, but no more
than 30 days, after the filing of the last filed report of the examining
committee members, unless good cause is shown. The adjudicatory hearing
must be conducted at the time and place specified in the notice of hearing and
in a manner consistent with due process.

(b) The alleged incapacitated person must be present at the adjudicatory
hearing, unless waived by the alleged incapacitated person or the persons
attorney or unless good cause can be shown for her or his absence.
Determination of good cause rests in the sound discretion of the court.

(c) In the adjudicatory hearing on a petition alleging incapacity, the partial
or total incapacity of the person must be established by clear and convincing
evidence.

(6) Order determining incapacity. If, after making findings of fact on
the basis of clear and convincing evidence, the court finds that a person is
incapacitated with respect to the exercise of a particular right, or all rights,
the court shall enter a written order determining such incapacity. In
determining incapacity, the court shall consider the persons unique needs



and abilities and may only remove those rights that the court finds the
person does not have the capacity to exercise. A person is determined to be
incapacitated only with respect to those rights specified in the order.
(a) The court shall make the following findings:
1. The exact nature and scope of the persons incapacities;
2. The exact areas in which the person lacks capacity to make informed

decisions about care and treatment services or to meet the essential
requirements for her or his physical or mental health or safety;

3. The specific legal disabilities to which the person is subject; and
4. The specific rights that the person is incapable of exercising.
(b) When an order determines that a person is incapable of exercising

delegable rights, the court must consider and find whether there is an
alternative to guardianship that will sufficiently address the problems of the
incapacitated person. A guardian may not be appointed if the court finds there
is an alternative to guardianship which will sufficiently address the problems
of the incapacitated person. If the court finds there is not an alternative to
guardianship that sufficiently addresses the problems of the incapacitated
person, a guardian must be appointed to exercise the incapacitated persons
delegable rights.

(c) In determining that a person is totally incapacitated, the order must
contain findings of fact demonstrating that the individual is totally without
capacity to care for herself or himself or her or his property.

(d) An order adjudicating a person to be incapacitated constitutes proof of
such incapacity until further order of the court.

(e) After the order determining that the person is incapacitated has been
filed with the clerk, it must be served on the incapacitated person. The person
is deemed incapacitated only to the extent of the findings of the court. The
filing of the order is notice of the incapacity. An incapacitated person retains
all rights not specifically removed by the court.

(f) Upon the filing of a verified statement by an interested person stating:
1. That he or she has a good faith belief that the alleged incapacitated

persons trust, trust amendment, or durable power of attorney is invalid; and



2. A reasonable factual basis for that belief, the trust, trust amendment, or
durable power of attorney shall not be deemed to be an alternative to the
appointment of a guardian. The appointment of a guardian does not limit the
courts power to determine that certain authority granted by a durable power
of attorney is to remain exercisable by the agent.

(7) Fees.
(a) The examining committee and any attorney appointed under subsection

(2) are entitled to reasonable fees to be determined by the court.
(b) The fees awarded under paragraph (a) shall be paid by the guardian

from the property of the ward or, if the ward is indigent, by the state. The
state shall have a creditors claim against the guardianship property for any
amounts paid under this section. The state may file its claim within 90 days
after the entry of an order awarding attorney ad litem fees. If the state does
not file its claim within the 90-day period, the state is thereafter barred from
asserting the claim. Upon petition by the state for payment of the claim, the
court shall enter an order authorizing immediate payment out of the property
of the ward. The state shall keep a record of the payments.

(c) If the petition is dismissed or denied:
1. The fees of the examining committee shall be paid upon court order as

expert witness fees under s. 29.004(6).
2. Costs and attorney fees of the proceeding may be assessed against the

petitioner if the court finds the petition to have been filed in bad faith. The
petitioner shall also reimburse the state courts system for any amounts paid
under subparagraph 1. upon such a finding.

HISTORY:
SS. 9, 26, ch. 75-222; s. 4, ch. 77-328; s. 1, ch. 78-342; s. 6, ch. 79-221; s.

35, ch. 89-96; s. 20, ch. 90-271; s. 4, ch. 91-303; s. 5, ch. 91-306; s. 7, ch. 96-
354; s. 1783, ch. 97-102; s. 76, ch. 2004-265; s. 4, ch. 2006-77, eff. June 6,
2006; s. 11, ch. 2006-178, eff. July 1, 2006; s. 44, ch. 2006-217, eff. July 1,
2007; s. 28, ch. 2007-62, eff. Oct. 1, 2007; s. 11, ch. 2015-83, effective July
1, 2015; s. 33, ch. 2016-40, effective March 10, 2016; s. 1, ch. 2017-16,
effective July 1, 2017; s. 89, ch. 2018-110, effective May 10, 2018; s. 35, ch.
2020-9, effective July 1, 2020; s. 11, ch. 2022-195, effective July 1, 2022.



Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.334. 
Fla. Stat.  744.334

 744.334. Petition for appointment of guardian or professional
guardian; contents.
(1) Every petition for the appointment of a guardian shall be verified by

the petitioner and shall contain statements, to the best of petitioners
knowledge and belief, showing the name, age, residence, and post office
address of the alleged incapacitated person or minor; the nature of her or
his incapacity, if any; the extent of guardianship desired, either plenary or
limited; the residence and post office address of the petitioner; the names
and addresses of the next of kin of the alleged incapacitated person or
minor, if known to the petitioner; the name of the proposed guardian and
the reasons why she or he should be appointed guardian; whether the
proposed guardian is a professional guardian; the relationship and previous
relationship of the proposed guardian to the alleged incapacitated person or
minor; any other type of guardianship under part III of this chapter or
alternatives to guardianship that the alleged incapacitated person or minor
has designated or is in currently or has been in previously; the reasons why
a guardian advocate under s. 744.3085 or other alternatives to guardianship
are insufficient to meet the needs of the alleged incapacitated person or
minor; and the nature and value of property subject to the guardianship.
The petition must state whether a willing and qualified guardian cannot be
located. As used in this subsection, the term alternatives to guardianship
means an advance directive as defined in s. 765.101, a durable power of
attorney as provided in chapter 709, a representative payee under 42
U.S.C. s. 1007, or a trust instrument as defined in s. 736.0103.

(2) If the petitioner is a professional guardian, she or he may not petition
for her or his own appointment unless the petitioner is a relative of the
alleged incapacitated person or minor. For purposes of this subsection, the
term relative means an individual who would qualify to serve as a
nonresident guardian under s. 744.309(2). This subsection does not apply
to a public guardian appointed under s. 744.2006 who seeks appointment
as a guardian of a person of limited financial means and whose
compensation as guardian for such person would be paid from the Office
of Public and Professional Guardians or any local government.



HISTORY:
SS. 11, 26, ch. 75-222; s. 7, ch. 79-221; s. 36, ch. 89-96; s. 21, ch. 90-271;

s. 8, ch. 96-354; s. 1784, ch. 97-102; s. 2, ch. 2020-35, effective July 1, 2020.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.3371. 
Fla. Stat.  744.3371

 744.3371. Notice of petition for appointment of guardian and hearing.
(1) When the petition for appointment of a guardian for an incapacitated

person is heard upon the conclusion of the hearing in which the person is
determined to be incapacitated, the court shall hear the petition without
further notice. If the petition is heard on a later date, reasonable notice of
the hearing must be served on the incapacitated person, the persons
attorney, if any, any guardian then serving, the persons next of kin, and
such other interested persons as the court may direct.

(2) When a petition for appointment of a guardian for a minor is filed,
formal notice must be served on the minors parents. If the petitioner has
custody of the minor and the petition alleges that, after diligent search, the
parents cannot be found, the parents may be served by informal notice,
delivered to their last known address or addresses. When a parent petitions
for appointment as guardian for his or her minor child, no notice is
necessary unless the other parent is living and does not consent to the
appointment.

HISTORY:
S. 22, ch. 90-271; s. 1079, ch. 97-102.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.341. 
Fla. Stat.  744.341

 744.341. Voluntary guardianship.
(1) Without adjudication of incapacity, the court shall appoint a guardian

of the property of a resident or nonresident person who, though mentally
competent, is incapable of the care, custody, and management of his or her
estate by reason of age or physical infirmity and who has voluntarily
petitioned for the appointment. The petition shall be accompanied by a
certificate of a licensed physician specifying that he or she has examined
the petitioner and that the petitioner is competent to understand the nature
of the guardianship and his or her delegation of authority. Notice of
hearing on any petition for appointment and for authority to act shall be
given to the petitioner and to any person to whom the petitioner requests
that notice be given. Such request may be made in the petition for
appointment of guardian or in a subsequent written request for notice
signed by the petitioner.

(2) If requested in the petition for appointment of a guardian brought
under this section, the court may direct the guardian to take possession of
less than all of the wards property and of the rents, income, issues, and
profits from it. In such case, the court shall specify in its order the property
to be included in the guardianship estate, and the duties and responsibilities
of the guardian appointed under this section will extend only to such
property.

(3) Unless the voluntary guardianship is limited pursuant to subsection
(2), any guardian appointed under this section has the same duties and
responsibilities as are provided by law for plenary guardians of the
property, generally.

(4) A guardian must include in the annual report filed with the court a
certificate from a licensed physician who examined the ward not more than
90 days before the annual report is filed with the court. The certificate must
certify that the ward is competent to understand the nature of the
guardianship and of the wards authority to delegate powers to the
voluntary guardian.

(5) A voluntary guardianship may be terminated by the ward by filing a



notice with the court that the voluntary guardianship is terminated. A copy
of the notice must be served on all interested persons.

HISTORY:
SS. 11, 26, ch. 75-222; s. 9, ch. 79-221; s. 4, ch. 84-31; s. 38, ch. 89-96; s.

23, ch. 90-271; s. 1080, ch. 97-102; s. 12, ch. 2006-178, eff. July 1, 2006.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.342. 
Fla. Stat.  744.342

 744.342. Minors; guardianship.
Upon petition, the court may appoint a guardian for a minor without

appointing an examining committee or conducting an adjudicatory hearing
pursuant to s. 744.331.

HISTORY:
S. 71, ch. 90-271.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.344. 
Fla. Stat.  744.344

 744.344. Order of appointment. [Transferred]

HISTORY:
S. 12, ch. 2015-83, effective July 1, 2015; Former  744.344 was

transferred to 744.2005 by s. 13, ch. 2016-40, effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.345. 
Fla. Stat.  744.345

 744.345. Letters of guardianship.
Letters of guardianship shall be issued to the guardian and shall specify

whether the guardianship pertains to the person, or the property, or both, of
the ward. The letters must state whether the guardianship is plenary or
limited, and, if limited, the letters must state the powers and duties of the
guardian. The letters shall state whether or not and to what extent the
guardian is authorized to act on behalf of the ward with regard to any
advance directive previously executed by the ward.

HISTORY:
S. 1, ch. 74-106; s. 12, ch. 75-222; s. 28, ch. 89-96; s. 25, ch. 90-271; s. 7,

ch. 92-199; s. 2, ch. 94-183; s. 13, ch. 2015-83, effective July 1, 2015.

Editors Notes
Created from former s. 744.40; former s. 744.313.
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.347. 
Fla. Stat.  744.347

 744.347. Oath of guardian.
Before exercising his or her authority as guardian, every guardian shall

take an oath that he or she will faithfully perform his or her duties as
guardian. This oath is not jurisdictional.

HISTORY:
S. 1, ch. 74-106; ss. 19, 26, ch. 75-222; s. 40, ch. 89-96; s. 1082, ch. 97-

102.

Editors notes.
Created from former s. 744.36.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.351. 
Fla. Stat.  744.351

 744.351. Bond of guardian.
(1) Before exercising his or her authority as guardian, every person

appointed a guardian of the property of a ward in this state shall file a bond
with surety as prescribed in s. 45.011 to be approved by the clerk. The
bond shall be payable to the Governor of the state and the Governors
successors in office, conditioned on the faithful performance of all duties
by the guardian. In form the bond shall be joint and several. When the
petitioner or guardian presents compelling reasons, the court may waive a
bond or require the use of a designated financial institution as defined in s.
655.005(1).

(2) When the sureties on a bond are natural persons, the guardian shall
be required to file with the annual guardianship report proof satisfactory to
the court that the sureties are alive and solvent.

(3) The penal sum of a guardians bond shall be fixed by the court, and
it must be in an amount not less than the full amount of the cash on hand
and on deposit belonging to the ward and subject to the control of the
guardian, plus the value of the notes and bonds owned by the ward that are
payable to bearer, and plus the value of all other intangible personal
property, in whatever form, owned by the ward which has a market value
which readily can be fixed and which intangible personal property readily
can be traded for cash or its equivalent.

(4) For good cause, the court may require, or increase or reduce the
amount of, bond or change or release the surety.

(5) Financial institutions as defined in s. 744.309(4), other than a trust
company operating under chapter 662 which is not a licensed family trust
company or foreign licensed family trust company, and public guardians
authorized by law to be guardians are not required to file bonds.

(6) When it is expedient in the judgment of any court having jurisdiction
of any guardianship property, because the size of the bond required of the
guardian is burdensome, or for other cause, the court may order, in lieu of
a bond or in addition to a lesser bond, that the guardian place all or part of
the property of the ward in a designated financial institution under the



same conditions and limitations as are contained in s. 69.031. A designated
financial institution shall also include a dealer, as defined in s. 517.021(6),
if the dealer is a member of the Security Investment Protection Corporation
and is doing business in the state.

HISTORY:
S. 1, ch. 74-106; ss. 19, 26, ch. 75-222; s. 1, ch. 77-174; s. 2, ch. 78-342; s.

2, ch. 86-120; s. 41, ch. 89-96; s. 26, ch. 90-271; s. 30, ch. 95-401; s. 9, ch.
96-354; s. 1785, ch. 97-102; s. 39, ch. 2014-97, effective October 1, 2015.

Editors notes.
Created from former s. 744.38.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.354. 
Fla. Stat.  744.354

 744.354. Validity of bond.
No bond executed by any guardian shall be invalid because of an

informality in it or because of an informality or illegality in the appointment
of the guardian. The bond shall have the same force and effect as if the bond
had been executed in proper form and the appointment had been legally
made.

HISTORY:
S. 1, ch. 74-106; ss. 19, 26, ch. 75-222; s. 42, ch. 89-96.

Editors notes.
Created from former s. 744.42.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.357. 
Fla. Stat.  744.357

 744.357. Liability of surety.
No surety for a guardian shall be charged beyond the property of the ward.

HISTORY:
S. 1, ch. 74-106; ss. 19, 26, ch. 75-222; s. 43, ch. 89-96; s. 27, ch. 90-271.

Editors notes.
Created from former s. 744.43.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.358. 
Fla. Stat.  744.358

 744.358. Liability of a guardian.
(1) A guardian is not liable, solely because of the guardianship, for the

debts, contracts, or torts of her or his ward.
(2) In dealing with the wards property, a guardian is subject to the

standards set forth in s. 518.11.

HISTORY:
S. 44, ch. 89-96; s. 28, ch. 90-271; s. 1083, ch. 97-102.



 Title XLIII. ,  Ch. 744. ,  Pt. V. ,   744.359. 
Fla. Stat.  744.359

 744.359. Abuse, neglect, or exploitation by a guardian.
(1) A guardian may not abuse, neglect, or exploit a ward.
(2) A guardian has committed exploitation when the guardian:

(a) Commits fraud in obtaining appointment as a guardian;
(b) Abuses his or her powers; or
(c) Wastes, embezzles, or intentionally mismanages the assets of the ward.

(3) A person who believes that a guardian is abusing, neglecting, or
exploiting a ward shall report the incident to the central abuse hotline of
the Department of Children and Families.

(4) This section shall be interpreted in conformity with s. 825.103.

HISTORY:
S. 14, ch. 2015-83, effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. 
Fla. Stat. Title XLIII, Ch. 744, Pt. VI



PART VI.
POWERS AND DUTIES.

 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.361. 
Fla. Stat.  744.361

 744.361. Powers and duties of guardian.
(1) The guardian of an incapacitated person is a fiduciary and may

exercise only those rights that have been removed from the ward and
delegated to the guardian. The guardian of a minor shall exercise the
powers of a plenary guardian.

(2) The guardian shall act within the scope of the authority granted by
the court and as provided by law.

(3) The guardian shall act in good faith.
(4) A guardian may not act in a manner that is contrary to the wards

best interests under the circumstances.
(5) A guardian who has special skills or expertise, or is appointed in

reliance upon the guardians representation that the guardian has special
skills or expertise, shall use those special skills or expertise when acting on
behalf of the ward.

(6) The guardian shall file an initial guardianship report in accordance
with s. 744.362.

(7) The guardian shall file a guardianship report annually in accordance
with s. 744.367.

(8) The guardian of the person shall implement the guardianship plan.
(9) When two or more guardians have been appointed, the guardians

shall consult with each other.
(10) A guardian who is given authority over any property of the ward

shall:
(a) Protect and preserve the property and invest it prudently as provided in

chapter 518, apply it as provided in s. 744.397, and keep clear, distinct, and
accurate records of the administration of the wards property.



(b) Perform all other duties required of him or her by law.
(c) At the termination of the guardianship, deliver the property of the ward

to the person lawfully entitled to it.
(11) The guardian shall observe the standards in dealing with the

guardianship property that would be observed by a prudent person dealing
with the property of another.

(12) The guardian, if authorized by the court, shall take possession of all
of the wards property and of the rents, income, issues, and profits from it,
whether accruing before or after the guardians appointment, and of the
proceeds arising from the sale, lease, or mortgage of the property or of any
part. All of the property and the rents, income, issues, and profits from it
are assets in the hands of the guardian for the payment of debts, taxes,
claims, charges, and expenses of the guardianship and for the care, support,
maintenance, and education of the ward or the wards dependents, as
provided for under the terms of the guardianship plan or by law.

(13) Recognizing that every individual has unique needs and abilities, a
guardian who is given authority over a wards person shall, as appropriate
under the circumstances:
(a) Consider the expressed desires of the ward as known by the guardian

when making decisions that affect the ward.
(b) Allow the ward to maintain contact with family and friends unless the

guardian believes that such contact may cause harm to the ward.
(c) Not restrict the physical liberty of the ward more than reasonably

necessary to protect the ward or another person from serious physical injury,
illness, or disease.

(d) Assist the ward in developing or regaining capacity, if medically
possible.

(e) Notify the court if the guardian believes that the ward has regained
capacity and that one or more of the rights that have been removed should be
restored to the ward.

(f) To the extent applicable, make provision for the medical, mental,
rehabilitative, or personal care services for the welfare of the ward.



(g) To the extent applicable, acquire a clear understanding of the risks and
benefits of a recommended course of health care treatment before making a
health care decision.

(h) Evaluate the wards medical and health care options, financial
resources, and desires when making residential decisions that are best suited
for the current needs of the ward.

(i) Advocate on behalf of the ward in institutional and other
residential settings and regarding access to home and community-
based services.

(j) When not inconsistent with the persons goals, needs, and preferences,
acquire an understanding of the available residential options and give priority
to home and other community-based services and settings.

(14) A professional guardian must ensure that each of the guardians
wards is personally visited by the guardian or one of the guardians
professional staff at least once each calendar quarter. During the personal
visit, the guardian or the guardians professional staff person shall assess:
(a) The wards physical appearance and condition.
(b) The appropriateness of the wards current living situation.
(c) The need for any additional services and the necessity for continuation

of existing services, taking into consideration all aspects of social,
psychological, educational, direct service, health, and personal care needs.

(d) The nature and extent of visitation and communication with the wards
family and friends.

This subsection does not apply to a professional guardian who has been
appointed only as guardian of the property.

HISTORY:
S. 1, ch. 74-106; ss. 6, 26, ch. 75-222; s. 45, ch. 89-96; s. 29, ch. 90-271; s.

1084, ch. 97-102; s. 13, ch. 2006-178, eff. July 1, 2006; s. 45, ch. 2006-217,
eff. July 1, 2007; s. 15, ch. 2015-83, effective July 1, 2015.

Editors Notes
Created from former ss. 744.48, 744.49.



Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,
Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.362. 
Fla. Stat.  744.362

 744.362. Initial guardianship report.
(1) Each guardian shall file with the court an initial guardianship report

within 60 days after her or his letters of guardianship are signed. The initial
guardianship report for a guardian of the property must consist of a
verified inventory. The initial report for a guardian of the person must
consist of an initial guardianship plan. The initial report shall be served on
the ward, unless the ward is a minor under the age of 14 years or is totally
incapacitated, and the attorney for the ward. Either the ward or the wards
attorney may request a hearing concerning the adequacy of the report.

(2) Review of the initial guardianship report and representation of the
ward during an objection thereto, if any, shall be the appointed attorneys
final official action on behalf of the ward. Thereafter, the court-appointed
attorney is no longer obligated to represent the ward.

HISTORY:
S. 46, ch. 89-96; s. 30, ch. 90-271; s. 24, ch. 92-200; s. 23, ch. 95-401; s.

1085, ch. 97-102.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.363. 
Fla. Stat.  744.363

 744.363. Initial guardianship plan.
(1) The initial guardianship plan shall include all of the following:

(a) The provision of medical, mental, or personal care services for the
welfare of the ward.

(b) The provision of social and personal services for the welfare of the
ward.

(c) The place and kind of residential setting best suited for the needs of the
ward.

(d) The application of health and accident insurance and any other private
or governmental benefits to which the ward may be entitled to meet any part
of the costs of medical, mental health, or related services provided to the
ward.

(e) Any physical and mental examinations necessary to determine the
wards medical and mental health treatment needs.

(f) A list of any preexisting orders not to resuscitate executed under s.
401.45(3) or preexisting advance directives, as defined in s. 765.101, the date
an order or directive was signed, whether such order or directive has been
suspended by the court, and a description of the steps taken to identify and
locate the preexisting order not to resuscitate or advance directive.

(2) The initial guardianship plan for an incapacitated person must be
based on the recommendations of the examining committees examination,
as incorporated into the order determining incapacity.

(3) Unless the ward has been found to be totally incapacitated or is a
minor under the age of 14 years, the initial guardianship plan must contain
an attestation that the guardian has consulted with the ward and, to the
extent reasonable, has honored the wards wishes consistent with the rights
retained by the ward under the plan. To the maximum extent reasonable,
the plan must be in accordance with the wishes of the ward.

(4) The guardianship plan may not restrict the physical liberty of the
ward more than reasonably necessary to protect the ward or others from



serious physical injury, illness, or disease and to provide the ward with
medical care and mental health treatment for the wards physical and
mental health.

(5) An initial guardianship plan continues in effect until it is amended or
replaced by the approval of an annual guardianship plan, until the
restoration of capacity or death of the ward, or until the ward, if a minor,
reaches the age of 18 years. If there are significant changes in the capacity
of the ward to meet the essential requirements for his or her health or
safety, the guardian may file a petition to modify the guardianship plan and
shall serve notice on all persons who received notice of the plan. At the
hearing on such petition, the court may modify the guardianship plan and
specify the effective date of such amendment.

(6) In exercising his or her powers, the guardian shall recognize any
rights retained by the ward.

HISTORY:
S. 47, ch. 89-96; s. 31, ch. 90-271; s. 1086, ch. 97-102; s. 3, ch. 2020-35,

effective July 1, 2020.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.365. 
Fla. Stat.  744.365

 744.365. Verified inventory.
(1) Filing.  A guardian of the property shall file a verified inventory

of the wards property.
(2) Contents.  The verified inventory must include the following:

(a) All property of the ward, real and personal, that has come into the
guardians possession or knowledge, including a statement of all
encumbrances, liens, and other secured claims on any item, any claims
against the property, any cause of action accruing to the ward, and any trusts
of which the ward is a beneficiary.

(b) The location of the real and personal property in sufficient detail so that
it may be clearly identified or located.

(c) A description of all sources of income, including, without limitation,
social security benefits and pensions.

(3) Cash assets.  Along with the verified inventory, the guardian must
file a copy of the most current statement of all of the wards cash assets
from all institutions where the cash is on deposit.

(4) Safe-deposit box. 
(a) The initial opening of any safe-deposit box of the ward must be

conducted in the presence of an employee of the institution where the box is
located. The inventory of the contents of the box also must be conducted in
the presence of the employee, who must verify the contents of the box by
signing a copy of the inventory. This safe-deposit box inventory shall be filed
with the court within 10 days after the box is opened.

(b) The guardian shall provide the ward with a copy of each signed safe-
deposit box inventory unless the ward is a minor or has been adjudicated
totally incapacitated or unless the order appointing the guardian states
otherwise.

(c) Nothing may be removed from the wards safe-deposit box without
specific court approval.



(5) Records retention. 
(a) The guardian shall maintain substantiating papers and records sufficient

to demonstrate the accuracy of the initial inventory for a period of 3 years
after her or his discharge. The substantiating papers need not be filed with the
court but must be made available for inspection and review at such time and
place and before such persons as the court may order.

(b) As part of the substantiating papers, the guardian must identify by
name, address, and occupation, the witness or witnesses, if any, who were
present during the initial inventory of the wards personal property.

(6) Audit fee. 
(a) Where the value of the wards property exceeds $25,000, a guardian

shall pay from the wards property to the clerk of the circuit court a fee of up
to $85, from which the clerk shall remit $10 to the Department of Revenue
for deposit into the General Revenue Fund, upon the filing of the verified
inventory, for the auditing of the inventory. Upon petition by the guardian,
the court may waive the auditing fee upon a showing of insufficient funds in
the wards estate. Any guardian unable to pay the auditing fee may petition
the court for waiver of the fee. The court may waive the fee after it has
reviewed the documentation filed by the guardian in support of the waiver.

(b) An audit fee may not be charged to any ward whose property has a
value of less than $25,000.

HISTORY:
S. 49, ch. 89-96; s. 32, ch. 90-271; s. 1087, ch. 97-102; s. 115, ch. 2003-

402; s. 77, ch. 2004-265; s. 14, ch. 2006-178, eff. July 1, 2006; s. 40, ch.
2008-111, eff. July 1, 2008; s. 26, ch. 2019-58, effective May 24, 2019.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.367. 
Fla. Stat.  744.367

 744.367. Duty to file annual guardianship report.
(1) Unless the court requires filing on a calendar-year basis, each

guardian of the person shall file with the court an annual guardianship plan
within 90 days after the last day of the anniversary month that the letters of
guardianship were signed, and the plan must cover the coming fiscal year,
ending on the last day in such anniversary month. If the court requires
calendar-year filing, the guardianship plan must be filed on or before April
1 of each year. The latest annual guardianship plan approved by the court
will remain in effect until the court approves a subsequent plan.

(2) Unless the court requires or authorizes filing on a fiscal-year basis,
each guardian of the property shall file with the court an annual accounting
on or before April 1 of each year. The annual accounting must cover the
preceding calendar year. If the court authorizes or directs filing on a fiscal-
year basis, the annual accounting must be filed on or before the first day of
the fourth month after the end of the fiscal year.
(3)(a) The annual guardianship report of a guardian of the property must
consist of an annual accounting, and the annual guardianship report of a
guardian of the person must consist of an annual guardianship plan. The
annual guardianship report of a guardian of the property and the annual
guardianship report of a guardian of the person must both include a
declaration of all remuneration received by the guardian from any source
for services rendered to or on behalf of the ward. As used in this
paragraph, the term remuneration means any payment or other benefit
made directly or indirectly, overtly or covertly, or in cash or in kind to the
guardian.
(b) The annual guardianship report must be served on the ward, unless the

ward is a minor or is totally incapacitated, and on the attorney for the ward, if
any. The guardian shall provide a copy to any other person as the court may
direct.

(4) Unless the ward is a minor or has been determined to be totally
incapacitated, the guardian shall review a copy of the annual report with
the ward, to the extent possible. Within 30 days after the annual report has



been filed, any interested person, including the ward, may file written
objections to any element of the report, specifying the nature of the
objection.

(5) If the guardian fails to timely file the annual guardianship report, the
judge may impose sanctions which may include contempt, removal of the
guardian, or other sanctions provided by law in s. 744.3685.

(6) Notwithstanding any other requirement of this section or unless
otherwise directed by the court, the guardian of the property may file the
first annual accounting on either a fiscal-year or calendar-year basis.
Unless the court directs otherwise, the guardian shall notify the court as to
the guardians filing intention within 30 days from the date the guardian
was issued the letter of guardianship. All subsequent annual accountings
must be filed on the same accounting period as the first annual accounting
unless the court authorizes or directs otherwise. The first accounting period
must end within 1 year after the end of the month in which the letters of
guardianship were issued to the guardian of the property.

HISTORY:
S. 1, ch. 74-106; ss. 6, 26, ch. 75-222; s. 50, ch. 89-96; s. 33, ch. 90-271; s.

25, ch. 92-200; s. 68, ch. 95-211; s. 24, ch. 95-401; s. 10, ch. 96-354; s. 15,
ch. 2006-178, eff. July 1, 2006; s. 16, ch. 2015-83, effective July 1, 2015; s.
2, ch. 2017-16, effective July 1, 2017; s. 4, ch. 2020-35, effective July 1,
2020.

Editors Notes
Created from former s. 744.482.
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.3675. 
Fla. Stat.  744.3675

 744.3675. Annual guardianship plan.
Each guardian of the person must file with the court an annual

guardianship plan which updates information about the condition of the ward.
The annual plan must specify the current needs of the ward and how those
needs are proposed to be met in the coming year.

(1) Each plan for an adult ward must, if applicable, include:
(a) Information concerning the residence of the ward, including:
1. The wards address at the time of filing the plan.
2. The name and address of each place where the ward was maintained

during the preceding year.
3. The length of stay of the ward at each place.
4. A statement of whether the current residential setting is best suited for

the current needs of the ward.
5. Plans for ensuring during the coming year that the ward is in the best

residential setting to meet his or her needs.
(b) Information concerning the medical and mental health conditions and

treatment and rehabilitation needs of the ward, including:
1. A resume of any professional medical treatment given to the ward

during the preceding year.
2. The report of a physician or an advanced practice registered nurse

registered under s. 464.0123 who examined the ward no more than 90 days
before the beginning of the applicable reporting period. If the guardian has
requested a physician to complete the examination and prepare the report and
the physician has delegated that responsibility, the examination may be
performed and the report may be prepared and signed by a physician assistant
acting pursuant to s. 458.347(4)(h) or s. 459.022(4)(g), or by an advanced
practice registered nurse acting pursuant to s. 464.012(3). The report must
contain an evaluation of the wards condition and a statement of the current
level of capacity of the ward.



3. The plan for providing medical, mental health, and rehabilitative
services in the coming year.

(c) Information concerning the social condition of the ward, including:
1. The social and personal services currently used by the ward.
2. The social skills of the ward, including a statement of how well the ward

communicates and maintains interpersonal relationships.
3. The social needs of the ward.
(d) A list of any preexisting orders not to resuscitate executed under s.

401.45(3) or preexisting advance directives, as defined in s. 765.101, the date
an order or directive was signed, whether such order or directive has been
suspended by the court, and a description of the steps taken to identify and
locate the preexisting order not to resuscitate or advance directive.

(2) Each plan filed by the legal guardian of a minor must include:
(a) Information concerning the residence of the minor, including:
1. The minors address at the time of filing the plan.
2. The name and address of each place the minor lived during the

preceding year.
(b) Information concerning the medical and mental health conditions and

treatment and rehabilitation needs of the minor, including:
1. A resume of any professional medical treatment given to the minor

during the preceding year.
2. A report from the physician who examined the minor no more than 180

days before the beginning of the applicable reporting period that contains an
evaluation of the minors physical and mental conditions.

3. The plan for providing medical services in the coming year.
(c) Information concerning the education of the minor, including:
1. A summary of the school progress report.
2. The social development of the minor, including a statement of how well

the minor communicates and maintains interpersonal relationships.
3. The social needs of the minor.



(3) Each plan for an adult ward must address the issue of restoration of
rights to the ward and include:
(a) A summary of activities during the preceding year that were designed

to enhance the capacity of the ward.
(b) A statement of whether the ward can have any rights restored.
(c) A statement of whether restoration of any rights will be sought.

(4) The court, in its discretion, may require reexamination of the ward
by a physician at any time.

HISTORY:
S. 51, ch. 89-96; s. 34, ch. 90-271; s. 11, ch. 96-354; s. 1786, ch. 97-102; s.

4, ch. 97-161; s. 16, ch. 2006-178, eff. July 1, 2006; s. 36, ch. 2020-9,
effective July 1, 2020; s. 5, ch. 2020-35, effective July 1, 2020; s. 3, ch.
2020-73, effective July 1, 2020.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.3678. 
Fla. Stat.  744.3678

 744.3678. Annual accounting.
(1) Each guardian of the property must file an annual accounting with

the court.
(2) The annual accounting must include:

(a) A full and correct account of the receipts and disbursements of all of
the wards property over which the guardian has control and a statement of
the wards property on hand at the end of the accounting period. This
paragraph does not apply to any property or any trust of which the ward is a
beneficiary but which is not under the control or administration of the
guardian.

(b) A copy of the annual or year-end statement of all of the wards cash
accounts from each of the institutions where the cash is deposited.

(3) The guardian must obtain a receipt, canceled check, or other proof of
payment for all expenditures and disbursements made on behalf of the
ward. The guardian must preserve all evidence of payment, along with
other substantiating papers, for a period of 3 years after his or her
discharge. The receipts, proofs of payment, and substantiating papers need
not be filed with the court but shall be made available for inspection and
review at the time and place and before the persons as the court may order.

(4) The guardian shall pay from the wards estate to the clerk of the
circuit court a fee based upon the following graduated fee schedule, upon
the filing of the annual financial return, for the auditing of the return:
(a) For estates with a value of $25,000 or less the clerk of the court may

charge a fee of up to $20, from which the clerk shall remit $5 to the
Department of Revenue for deposit into the General Revenue Fund.

(b) For estates with a value of more than $25,000 up to and including
$100,000 the clerk of the court may charge a fee of up to $85, from which the
clerk shall remit $10 to the Department of Revenue for deposit into the
General Revenue Fund.

(c) For estates with a value of more than $100,000 up to and including



$500,000 the clerk of the court may charge a fee of up to $170, from which
the clerk shall remit $20 to the Department of Revenue for deposit into the
General Revenue Fund.

(d) For estates with a value in excess of $500,000 the clerk of the court
may charge a fee of up to $250, from which the clerk shall remit $25 to the
Department of Revenue for deposit into the General Revenue Fund.

Upon petition by the guardian, the court may waive the auditing fee upon a
showing of insufficient funds in the wards estate. Any guardian unable to
pay the auditing fee may petition the court for a waiver of the fee. The court
may waive the fee after it has reviewed the documentation filed by the
guardian in support of the waiver.

(5) This section does not apply if the court determines that the ward
receives income only from social security benefits and the guardian is the
wards representative payee for the benefits.

HISTORY:
S. 52, ch. 89-96; ss. 35, 72, ch. 90-271; s. 1088, ch. 97-102; s. 116, ch.

2003-402; s. 13, ch. 2004-260; s. 78, ch. 2004-265; s. 139, ch. 2005-2; s. 17,
ch. 2006-178, eff. July 1, 2006; s. 41, ch. 2008-111, eff. July 1, 2008; s. 27,
ch. 2019-58, effective May 24, 2019.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.3679. 
Fla. Stat.  744.3679

 744.3679. Simplified accounting procedures in certain cases.
(1) In a guardianship of property, when all property of the estate is in

designated depositories under s. 69.031 and the only transactions that
occur in that account are interest accrual, deposits from a settlement, or
financial institution service charges, the guardian may elect to file an
accounting consisting of:
(a) The original or a certified copy of the year-end statement of the wards

account from the financial institution; and
(b) A statement by the guardian under penalty of perjury that the guardian

has custody and control of the wards property as shown in the year-end
statement.

(2) The accounting allowed by subsection (1) is in lieu of the accounting
and auditing procedures under s. 744.3678(2). However, any interested
party may seek judicial review as provided in s. 744.3685.

(3) The guardian need not be represented by an attorney in order to file
the annual accounting allowed by subsection (1).

HISTORY:
S. 1, ch. 93-102; s. 18, ch. 2006-178, eff. July 1, 2006; s. 44, ch. 2021-183,

effective July 1, 2021.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.368. 
Fla. Stat.  744.368

 744.368. Responsibilities of the clerk of the circuit court.
(1) In addition to the duty to serve as the custodian of the guardianship

files, the clerk shall review each initial and annual guardianship report to
ensure that it contains information about the ward addressing, as
appropriate:
(a) Physical and mental health care;
(b) Personal and social services;
(c) The residential setting;
(d) The application of insurance, private benefits, and government benefits;
(e) The physical and mental health examinations; and
(f) The initial verified inventory or the annual accounting.

(2) The clerk shall, within 30 days after the date of filing of the initial or
annual report of the guardian of the person, complete his or her review of
the report.

(3) Within 90 days after the filing of the verified inventory and
accountings by a guardian of the property, the clerk shall audit the verified
inventory and the accountings. The clerk shall advise the court of the
results of the audit.

(4) The clerk shall report to the court when a report is not timely filed.
(5) If the clerk has reason to believe further review is appropriate, the

clerk may request and review records and documents that reasonably
impact guardianship assets, including, but not limited to, the beginning
inventory balance and any fees charged to the guardianship. As a part of
this review, the clerk may conduct audits and may cause the initial and
annual guardianship reports to be audited. The clerk shall advise the court
of the results of any such audit. Any fee or cost incurred by the guardian in
responding to the review or audit may not be paid or reimbursed by the
wards assets if there is a finding of wrongdoing by the court.

(6) If a guardian fails to produce records and documents to the clerk



upon request, the clerk may request the court to enter an order pursuant to
s. 744.3685(2) by filing an affidavit that identifies the records and
documents requested and shows good cause as to why the documents and
records requested are needed to complete the audit.

(7) Upon application to the court supported by an affidavit pursuant to
subsection (6), the clerk may issue subpoenas to nonparties to compel
production of books, papers, and other documentary evidence. Before
issuance of a subpoena by affidavit, the clerk must serve notice on the
guardian and the ward, unless the ward is a minor or totally incapacitated,
of the intent to serve subpoenas to nonparties.
(a) The clerk must attach the affidavit and the proposed subpoena to the

notice to the guardian and, if appropriate, to the ward, and must:
1. State the time, place, and method for production of the documents or

items, and the name and address of the person who is to produce the
documents or items, if known, or, if not known, a general description
sufficient to identify the person or the particular class or group to which the
person belongs.

2. Include a designation of the items to be produced.
3. State that the person who will be asked to produce the documents or

items has the right to object to the production under this section and that the
person is not required to surrender the documents or items.

(b) A copy of the notice and proposed subpoena may not be furnished to
the person upon whom the subpoena is to be served.

(c) If the guardian or ward serves an objection to production under this
subsection within 10 days after service of the notice, the documents or items
may not be required to be produced until resolution of the objection. If an
objection is not made within 10 days after service of the notice, the clerk may
issue the subpoena to the nonparty. The court may shorten the period within
which a guardian or ward is required to file an objection upon a showing by
the clerk by affidavit that the wards property is in imminent danger of being
wasted, misappropriated, or lost unless immediate action is taken.

HISTORY:
S. 53, ch. 89-96; s. 36, ch. 90-271; s. 1089, ch. 97-102; s. 19, ch. 2006-178,



eff. July 1, 2006; s. 3, ch. 2014-124, effective July 1, 2014; s. 2, ch. 2018-68,
effective July 1, 2018.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.3685. 
Fla. Stat.  744.3685

 744.3685. Order requiring guardianship report; contempt.
(1) If a guardian fails to file the guardianship report, the court shall order

the guardian to file the report within 15 days after the service of the order
upon her or him or show cause why she or he may not be compelled to do
so.

(2) If a guardian fails to comply with the submission of records and
documents requested by the clerk during the audit, upon a showing of good
cause by affidavit of the clerk which shows the reasons the records must be
produced, the court may order the guardian to produce the records and
documents within a period specified by the court unless the guardian
shows good cause as to why the guardian may not be compelled to do so
before the deadline specified by the court. The affidavit of the clerk shall
be served with the order.

(3) A copy of an order entered pursuant to subsection (1) or subsection
(2) shall be served on the guardian or on the guardians resident agent. If
the guardian fails to comply with the order within the time specified by the
order without good cause, the court may cite the guardian for contempt of
court and may fine her or him. The fine may not be paid out of the wards
property.

HISTORY:
S. 1, ch. 74-106; ss. 17, 26, ch. 75-222; s. 70, ch. 89-96; s. 37, ch. 90-271;

s. 1090, ch. 97-102; s. 4, ch. 2014-124, effective July 1, 2014.

Editors notes.
Created from former s. 745.29; former s. 744.431.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.369. 
Fla. Stat.  744.369

 744.369. Judicial review of guardianship reports.
(1) The court shall review the initial guardianship report within 60 days

after the filing of the clerks report of findings to the court. The court shall
review the annual guardianship report within 30 days after the filing of the
clerks report of findings to the court.

(2) The court may appoint a general or special magistrate to assist the
court in its review function. The court may require the general or special
magistrate to conduct random field audits.

(3) If an initial or annual report is not timely filed, the court shall order
the guardian to file the report or to show cause why the report has not been
filed within the prescribed time. Service of the order and subsequent
proceedings shall be governed by s. 744.3685.

(4) The court must review the initial and annual guardianship report to
determine that the report:
(a) Meets the needs of the ward;
(b) Authorizes the guardian to act only in areas in which an adult ward has

been declared incapacitated; and
(c) Conforms to all other requirements of the law.

(5) Upon examining the initial or annual guardianship report, the court
shall enter an order approving or disapproving the report. If the court
disapproves the report, the court shall order the guardian to provide a
revised report or proof of any item in the report to the court. The guardian
shall do so within a reasonable amount of time set by court.

(6) If the guardian fails to comply with the court order entered pursuant
to subsection (5), the court shall take immediate action to compel
compliance or to sanction the guardian after a hearing with appropriate
notice to the ward, the wards counsel, if any, the guardian, and the wards
next of kin.

(7) If an objection has been filed to a report, the court shall set the matter
for hearing and shall conduct the hearing within 30 days after the filing of



the objection. After the hearing, the court shall enter a written order either
approving, or ordering modifications to, the report. If an objection is found
to be without merit, the court may assess costs and attorneys fees against
the person who made the objection.

(8) The approved report constitutes the authority for the guardian to act
in the forthcoming year. The powers of the guardian are limited by the
terms of the report. The annual report may not grant additional authority to
the guardian without a hearing, as provided for in s. 744.331, to determine
that the ward is incapacitated to act in that matter. Unless the court orders
otherwise, the guardian may continue to act under authority of the last-
approved report until the forthcoming years report is approved.

HISTORY:
S. 54, ch. 89-96; s. 38, ch. 90-271; s. 1, ch. 99-277; s. 96, ch. 2004-11; s.

17, ch. 2015-83, effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.3701. 
Fla. Stat.  744.3701

 744.3701. Confidentiality.
(1) Unless otherwise ordered by the court, upon a showing of good

cause, an initial, annual, or final guardianship report or amendment thereto,
or a court record relating to the settlement of a claim, is subject to
inspection only by the court, the clerk or the clerks representative, the
guardian and the guardians attorney, the guardian ad litem with regard to
the settlement of the claim, the ward if he or she is at least 14 years of age
and has not been determined to be totally incapacitated, the wards
attorney, the minor if he or she is at least 14 years of age, or the attorney
representing the minor with regard to the minors claim, or as otherwise
provided by this chapter.

(2) The court may direct disclosure and recording of parts of an initial,
annual, or final report or amendment thereto, or a court record relating to
the settlement of a claim, including a petition for approval of a settlement
on behalf of a ward or minor, a report of a guardian ad litem relating to a
pending settlement, or an order approving a settlement on behalf of a ward
or minor, in connection with a real property transaction or for such other
purpose as the court allows.

(3) A court record relating to the settlement of a wards or minors
claim, including a petition for approval of a settlement on behalf of a ward
or minor, a report of a guardian ad litem relating to a pending settlement,
or an order approving a settlement on behalf of a ward or minor, is
confidential and exempt from the provisions of s. 119.07(1) and s. 24(a),
Art. I of the State Constitution and may not be disclosed except as
specifically authorized.

(4) The clerk may disclose confidential information to the Department of
Children and Families or law enforcement agencies for other purposes as
provided by court order.

HISTORY:
S. 39, ch. 90-271; s. 1091, ch. 97-102; s. 3, ch. 2018-68, effective July 1,

2018.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.371. 
Fla. Stat.  744.371

 744.371. Relief to be granted.
If it appears from the annual guardianship report that:

(1) The condition of the ward requires further examination;
(2) Any change in the proposed care, maintenance, or treatment is

needed;
(3) The ward is qualified for restoration of some or all rights;
(4) The condition or maintenance of the ward requires the performance

or doing of any other thing for the best interest of the ward which is not
indicated in the plan; or

(5) There is any other matter necessary to protect the interests of the
ward,
the court shall, after a hearing with appropriate notice, amend the plan or
enter any other order necessary to protect the ward.

HISTORY:
S. 1, ch. 74-106; ss. 6, 26, ch. 75-222; s. 55, ch. 89-96; s. 40, ch. 90-271.

Editors notes.
Created from former s. 744.484.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.3715. 
Fla. Stat.  744.3715

 744.3715. Petition for interim judicial review.
(1) At any time, any interested person, including the ward, may petition

the court for review alleging that the guardian is not complying with the
guardianship plan, is exceeding his or her authority under the guardianship
plan, is acting in a manner contrary to s. 744.361, is denying visitation
between the ward and his or her relatives in violation of s. 744.361(13), or
is not acting in the best interest of the ward. The petition for review must
state the nature of the objection to the guardians action or proposed action.
Upon the filing of any such petition, the court shall review the petition and
act upon it expeditiously.

(2) If the petition for review is found to be without merit, the court may
assess costs and attorneys fees against the petitioner.

HISTORY:
S. 56, ch. 89-96; s. 41, ch. 90-271; s. 1092, ch. 97-102; s. 18, ch. 2015-83,

effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.372. 
Fla. Stat.  744.372

 744.372. Judicial review of guardianships.
The court retains jurisdiction over all guardianships. The court shall review

the appropriateness and extent of a guardianship annually and:
(1) If an objection to the terms of the guardianship report has been filed

pursuant to s. 744.367;
(2) If interim review has been requested under s. 744.3715;
(3) If a person, including the ward, has filed a suggestion of increased

capacity; or
(4) If the guardianship report has not been received and the guardian has

failed to respond to a show cause order.

HISTORY:
S. 57, ch. 89-96; s. 42, ch. 90-271.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.3725. 
Fla. Stat.  744.3725

 744.3725. Procedure for extraordinary authority.
Before the court may grant authority to a guardian to exercise any of the

rights specified in s. 744.3215(4), the court must:
(1) Appoint an independent attorney to act on the incapacitated persons

behalf, and the attorney must have the opportunity to meet with the person
and to present evidence and cross-examine witnesses at any hearing on the
petition for authority to act;

(2) Receive as evidence independent medical, psychological, and social
evaluations with respect to the incapacitated person by competent
professionals or appoint its own experts to assist in the evaluations;

(3) Personally meet with the incapacitated person to obtain its own
impression of the persons capacity, so as to afford the incapacitated
person the full opportunity to express his or her personal views or desires
with respect to the judicial proceeding and issue before the court;

(4) Find by clear and convincing evidence that the person lacks the
capacity to make a decision about the issue before the court and that the
incapacitated persons capacity is not likely to change in the foreseeable
future; and

(5) Be persuaded by clear and convincing evidence that the authority
being requested is in the best interests of the incapacitated person.
The provisions of this section and s. 744.3215(4) are procedural and do not

establish any new or independent right to or authority over the termination of
parental rights, dissolution of marriage, sterilization, abortion, or the
termination of life support systems.

HISTORY:
S. 58, ch. 89-96; s. 43, ch. 90-271; s. 25, ch. 95-401; s. 1093, ch. 97-102; s.

3, ch. 2017-16, effective July 1, 2017.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.373. 
Fla. Stat.  744.373

 744.373. Production of property.
On the petition of a creditor or other interested person, including the ward,

or on its own motion, the court may require a guardian of the property to
produce satisfactory evidence that the property of the ward for which the
guardian is responsible is in the guardians possession or under her or his
control. If it deems it necessary or proper, the court may order the guardian to
produce the property for the inspection of the creditor, another interested
person, the ward, or the court.

HISTORY:
S. 1, ch. 74-106; ss. 17, 26, ch. 75-222; s. 71, ch. 89-96; s. 44, ch. 90-271;

s. 1094, ch. 97-102.

Editors notes.
Created from former s. 745.30; former s. 744.434.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.3735. 
Fla. Stat.  744.3735

 744.3735. Annual appearance of the guardian.
The court may require the guardian to appear before the court at the time

the guardian files the annual guardianship report or at such other time as the
court determines, in order for the court to inquire as to any matter relating to
the well-being of the ward.

HISTORY:
S. 1, ch. 74-106; ss. 17, 26, ch. 75-222; s. 11, ch. 79-221; s. 72, ch. 89-96.

Editors notes.
Former s. 744.437.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.374. 
Fla. Stat.  744.374

 744.374. Payments to guardian.
If there is more than one guardian, either guardian may petition for an

order directing the guardian of the property to pay to the guardian of the
person periodic amounts for the support, care, maintenance, education, and
other needs of the ward if not otherwise provided for in the guardianship
plan. The amount may be increased or decreased from time to time. If an
order is entered, the receipt of the guardian for payments made shall be a
sufficient discharge of the guardian who makes the payments. The guardian
shall not be bound to see to the application of the payments.

HISTORY:
S. 1, ch. 74-106; ss. 6, 26, ch. 75-222; s. 59, ch. 89-96; s. 45, ch. 90-271; s.

1095, ch. 97-102.

Editors notes.
Created from former s. 744.50.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.381. 
Fla. Stat.  744.381

 744.381. Appraisals.
When the court deems it necessary, appraisers may be appointed to

appraise the property of the ward that is subject to the guardianship.

HISTORY:
S. 1, ch. 74-106; s. 61, ch. 89-96; s. 46, ch. 90-271.

Editors notes.
Created from former s. 744.54.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.384. 
Fla. Stat.  744.384

 744.384. Subsequently discovered or acquired property.
(1) If a plenary guardian of the property of the ward learns of any

property that is not included in previous inventories, the property shall be
inventoried within 30 days after the discovery or acquisition.

(2) If a limited guardian of the property of the ward learns of any
property that was not known to the court at the time of his or her
appointment, he or she shall file a report of such property with the court.
Upon petition by the guardian, ward, or other interested person, the court,
after hearing with appropriate notice, may direct the guardian to take
custody and control of such property, without further adjudicatory
proceeding under s. 744.331.

HISTORY:
S. 1, ch. 74-106; ss. 14, 26, ch. 75-222; s. 62, ch. 89-96; s. 47, ch. 90-271;

s. 1096, ch. 97-102.

Editors notes.
Created from former s. 744.59.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.387. 
Fla. Stat.  744.387

 744.387. Settlement of claims.
(1) When a settlement of any claim by or against the guardian, whether

arising as a result of personal injury or otherwise, and whether arising
before or after appointment of a guardian, is proposed, but before an action
to enforce it is begun, on petition by the guardian of the property stating
the facts of the claim, question, or dispute and the proposed settlement, and
on any evidence that is introduced, the court may enter an order
authorizing the settlement if satisfied that the settlement will be for the best
interest of the ward. The order shall relieve the guardian from any further
responsibility in connection with the claim or dispute when the settlement
has been made in accordance with the order. The order authorizing the
settlement may also determine whether an additional bond is required and,
if so, shall fix the amount of it.

(2) In the same manner as provided in subsection (1) or as authorized by
s. 744.301, the natural guardians or guardian of a minor may settle any
claim by or on behalf of a minor that does not exceed $15,000 without
bond. A legal guardianship shall be required when the amount of the net
settlement to the ward exceeds $15,000.
(3)(a) No settlement after an action has been commenced by or on behalf
of a ward shall be effective unless approved by the court having
jurisdiction of the action.
(b) In the event of settlement or judgment in favor of the ward or minor,

the court may authorize the natural guardians or guardian, or a guardian of
the property appointed by a court of competent jurisdiction, to collect the
amount of the settlement or judgment and to execute a release or satisfaction.
When the amount of net settlement to the ward or judgment exceeds $15,000
and no guardian has been appointed, the court shall require the appointment
of a guardian for the property.

(4) In making a settlement under court order as provided in this section,
the guardian is authorized to execute any instrument that may be necessary
to effect the settlement. When executed, the instrument shall be a complete
release of the person making the settlement.



HISTORY:
S. 1, ch. 74-106; ss. 14, 26, ch. 75-222; s. 3, ch. 78-342; s. 10, ch. 79-221;

s. 63, ch. 89-96; s. 48, ch. 90-271; s. 10, ch. 2002-195.

Editors notes.
Created from former s. 744.60.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.391. 
Fla. Stat.  744.391

 744.391. Actions by and against guardian or ward.
If an action is brought by the guardian against the ward, or vice versa, or if

the interest of the guardian is adverse to that of his or her ward, a guardian ad
litem shall be appointed to represent the ward in that particular litigation. In
any litigation between the guardian and the ward, a guardian ad litem shall be
appointed to represent the ward. If there is a conflict of interest between the
guardian and the ward, the guardian ad litem shall petition the court for
removal of the guardian. Judgments in favor of the ward shall become the
property of the ward without the necessity for any assignment by the
guardian or receipt by the ward upon termination of guardianship. The
guardian may receive payment and satisfy any judgment in behalf of the ward
without joinder by the ward.

HISTORY:
S. 1, ch. 74-106; s. 64, ch. 89-96; s. 1097, ch. 97-102.

Editors notes.
Created from former s. 744.61.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.394. 
Fla. Stat.  744.394

 744.394. Suspension of statutes of limitations in favor of guardian.
If a person entitled to bring an action is declared incapacitated before the

expiration of the time limited for the commencement of it and the cause of
the action survives, the action may be commenced by the guardian of the
property after such expiration and within 1 year from the date of the order
appointing the guardian or the time otherwise limited by law, whichever is
longer.

HISTORY:
S. 1, ch. 74-106; ss. 16, 26, ch. 75-222; s. 65, ch. 89-96; s. 49, ch. 90-271;

s. 1098, ch. 97-102.

Editors notes.
Created from former s. 744.62.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.397. 
Fla. Stat.  744.397

 744.397. Application of income of property of ward.
(1) The court may authorize the guardian of the property to apply the

wards income, first to the wards care, support, education, and
maintenance, and then for the care, support, education, maintenance, cost
of final illness, and cost of funeral and burial or cremation of the parent,
spouse, or dependents, if any, of the ward, to the extent necessary. If the
income is not sufficient for these purposes, the court may authorize the
expenditure of part of the principal for such purposes from time to time.

(2) The word dependents, as used in subsection (1) means, in addition
to those persons who are legal dependents of a ward under existing law,
the person or persons whom the ward is morally or equitably obligated to
aid, assist, maintain, or care for, including, but not limited to, such persons
as the indigent spouse of the ward, based upon the showing of an existing
need and an ability of the estate of the ward to pay for, provide, or furnish
the aid, assistance, maintenance, or care without unreasonably jeopardizing
the care, support, and maintenance of the ward.

(3) If the ward is a minor and the wards parents are able to care for him
or her and to support, maintain, and educate him or her, the guardian of the
minor shall not so use his or her wards property unless directed or
authorized to do so by the court.

HISTORY:
S. 1, ch. 74-106; ss. 16, 26, ch. 75-222; s. 66, ch. 89-96; s. 50, ch. 90-271;

s. 1099, ch. 97-102.

Editors notes.
Created from former s. 744.64.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.421. 
Fla. Stat.  744.421

 744.421. Petition for support of wards dependents.
Any person dependent on the ward for support may petition for an order

directing the guardian of the property to contribute to the support of the
dependent person from the property of the ward. The court may enter an
order for suitable support and education of the dependent person out of the
wards property that is subject to the guardianship. The grant or denial of an
order for support shall not preclude a further petition for increase, decrease,
modification, or termination of allowance for support by either the petitioner
or the guardian. The order for support shall be valid for payments made
pursuant to it, but no valid payments can be made after the termination of the
guardianship. The receipt of the petitioner shall be a sufficient release of the
guardian for payments made pursuant to the order. If the property of the ward
is derived in whole or in part from payments of compensation, adjusted
compensation, pension, insurance, or other benefits made directly to the
guardian by the United States Department of Veterans Affairs, notice of the
petition for support shall be given by the petitioner to the office of the United
States Department of Veterans Affairs having jurisdiction over the area in
which the court is located and the chief attorney for the Department of
Veterans Affairs in this state at least 15 days before the hearing on the
petition. The court may not authorize payments from the wards property
unless the ward has been adjudicated incapacitated to handle such property in
accordance with s. 744.331; except in a voluntary guardianship, in which
case such petition may be granted only upon the written consent of the ward.

HISTORY:
S. 1, ch. 74-106; ss. 16, 26, ch. 75-222; s. 1, ch. 77-174; s. 1, ch. 78-305; s.

80, ch. 81-167; s. 84, ch. 83-55; s. 30, ch. 88-290; s. 67, ch. 89-96; s. 51, ch.
90-271; s. 37, ch. 93-268.

Editors notes.
Created from former s. 744.65.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.441. 
Fla. Stat.  744.441

 744.441. Powers of guardian upon court approval.
After obtaining approval of the court pursuant to a petition for

authorization to act:
(1) A plenary guardian of the property, or a limited guardian of the

property within the powers granted by the order appointing the guardian or
an approved annual or amended guardianship report, may:
(a) Perform, compromise, or refuse performance of a wards contracts that

continue as obligations of the estate, as he or she may determine under the
circumstances.

(b) Execute, exercise, or release any powers as trustee, personal
representative, custodian for minors, conservator, or donee of any power of
appointment or other power that the ward might have lawfully exercised,
consummated, or executed if not incapacitated, if the best interest of the ward
requires such execution, exercise, or release.

(c) Make ordinary or extraordinary repairs or alterations in buildings or
other structures; demolish any improvements; or raze existing, or erect new,
party walls or buildings.

(d) Subdivide, develop, or dedicate land to public use; make or obtain the
vacation of plats and adjust boundaries; adjust differences in valuation on
exchange or partition by giving or receiving consideration; or dedicate
easements to public use without consideration.

(e) Enter into a lease as lessor or lessee for any purpose, with or without
option to purchase or renew, for a term within, or extending beyond, the
period of guardianship.

(f) Enter into a lease or arrangement for exploration and removal of
minerals or other natural resources or enter into a pooling or unitization
agreement.

(g) Abandon property when, in the opinion of the guardian, it is valueless
or is so encumbered or in such condition that it is of no benefit to the estate.

(h) Pay calls, assessments, and other sums chargeable or accruing against,



or on account of, securities.
(i) Borrow money, with or without security, to be repaid from the

property or otherwise and advance money for the protection of the
estate.

(j) Effect a fair and reasonable compromise with any debtor or obligor or
extend, renew, or in any manner modify the terms of any obligation owing to
the estate.

(k) Prosecute or defend claims or proceedings in any jurisdiction for the
protection of the estate and of the guardian in the performance of his or her
duties. Before authorizing a guardian to bring an action described in s.
736.0207, the court shall first find that the action appears to be in the wards
best interests during the wards probable lifetime. There shall be a rebuttable
presumption that an action challenging the wards revocation of all or part of
a trust is not in the wards best interests if the revocation relates solely to a
devise. This paragraph does not preclude a challenge after the wards death.
If the court denies a request that a guardian be authorized to bring an action
described in s. 736.0207, the court shall review the continued need for a
guardian and the extent of the need for delegation of the wards rights.

(l) Sell, mortgage, or lease any real or personal property of the estate,
including homestead property, or any interest therein for cash or credit, or for
part cash and part credit, and with or without security for unpaid balances.

(m) Continue any unincorporated business or venture in which the ward
was engaged.

(n) Purchase the entire fee simple title to real estate in this state in which
the guardian has no interest, but the purchase may be made only for a home
for the ward, to protect the home of the ward or the wards interest, or as a
home for the wards dependent family. If the ward is a married person and
the home of the ward or of the dependent family of the ward is owned by the
ward and spouse as an estate by the entirety and the home is sold pursuant to
the authority of paragraph (l), the court may authorize the investment of any
part or all of the proceeds from the sale toward the purchase of a fee simple
title to real estate in this state for a home for the ward or the dependent family
of the ward as an estate by the entirety owned by the ward and spouse. If the
guardian is authorized to acquire title to real estate for the ward or dependent



family of the ward as an estate by the entirety in accordance with the
preceding provisions, the conveyance shall be in the name of the ward and
spouse and shall be effective to create an estate by the entirety in the ward
and spouse.

(o) Exercise any option contained in any policy of insurance payable to, or
inuring to the benefit of, the ward.

(p) Pay reasonable funeral, interment, and grave marker expenses for the
ward from the wards estate.

(q) Make gifts of the wards property to members of the wards family in
estate and income tax planning procedures.

(r) When the wards will evinces an objective to obtain a United States
estate tax charitable deduction by use of a split interest trust (as that term is
defined in s. 736.1201), but the maximum charitable deduction otherwise
allowable will not be achieved in whole or in part, execute a codicil on the
wards behalf amending said will to obtain the maximum charitable
deduction allowable without diminishing the aggregate value of the benefits
of any beneficiary under such will.

(s) Create or amend revocable trusts or create irrevocable trusts of property
of the wards estate which may extend beyond the disability or life of the
ward in connection with estate, gift, income, or other tax planning or in
connection with estate planning. The court shall retain oversight of the assets
transferred to a trust, unless otherwise ordered by the court.

(t) Renounce or disclaim any interest by testate or intestate succession or
by inter vivos transfer.

(u) Enter into contracts that are appropriate for, and in the best interest of,
the ward.

(v) As to a minor ward, pay expenses of the wards support, health,
maintenance, and education, if the wards parents, or either of them,
are alive.

(2) A plenary guardian or a limited guardian of a ward may sign an
order not to resuscitate as provided in s. 401.45(3). When a plenary
guardian or a limited guardian of a ward seeks to obtain approval of the
court to sign an order not to resuscitate, if required by exigent



circumstances, the court must hold a preliminary hearing within 72 hours
after the petition is filed, and:
(a) Rule on the relief requested immediately after the preliminary hearing;

or
(b) Conduct an evidentiary hearing not later than 4 days after the

preliminary hearing and rule on the relief requested immediately after the
evidentiary hearing.

HISTORY:
S. 1, ch. 74-106; ss. 22, 26, ch. 75-222; s. 1, ch. 77-174; s. 2, ch. 77-328; s.

281, ch. 79-400; s. 4, ch. 80-203; s. 3, ch. 86-120; s. 2, ch. 87-317; s. 73, ch.
89-96; s. 52, ch. 90-271; s. 1100, ch. 97-102; s. 11, ch. 97-240; s. 5, ch. 2006-
77, eff. June 6, 2006; s. 20, ch. 2006-178, eff. July 1, 2006; s. 46, ch. 2006-
217, eff. July 1, 2007; s. 12, ch. 2011-183, eff. June 21, 2011; s. 4, ch. 2017-
16, effective July 1, 2017; s. 6, ch. 2020-35, effective July 1, 2020.

Editors notes.
Created from former ss. 744.501, 745.03(2) and (3), 745.20, 745.23.
Section 14, ch. 2011-183 provides: Except as otherwise expressly

provided in this act, this act shall take effect upon becoming a law and shall
apply to all proceedings pending before such date and all cases commenced
on or after the effective date.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.442. 
Fla. Stat.  744.442

 744.442. Delegation of authority.
(1) A guardian may designate a surrogate guardian to exercise the

powers of the guardian if the guardian is unavailable to act. A person
designated as a surrogate guardian under this section must be a
professional guardian.
(2)(a) A guardian must file a petition with the court requesting permission
to designate a surrogate guardian.
(b) If the court approves the designation, the order must specify the name

and business address of the surrogate guardian and the duration of
appointment, which may not exceed 30 days. The court may extend the
appointment for good cause shown. The surrogate guardian may exercise all
powers of the guardian unless limited by order of the court. The surrogate
guardian must file with the court an oath swearing or affirming that he or she
will faithfully perform the duties delegated. The court may require the
surrogate guardian to post a bond.

(3) This section does not limit the responsibility of the guardian to the
ward and to the court. The guardian is liable for the acts of the surrogate
guardian. The guardian may terminate the authority of the surrogate
guardian by filing a written notice of the termination with the court.

(4) The surrogate guardian is subject to the jurisdiction of the court as if
appointed to serve as guardian.

HISTORY:
S. 21, ch. 2006-178, eff. July 1, 2006.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.444. 
Fla. Stat.  744.444

 744.444. Power of guardian without court approval.
Without obtaining court approval, a plenary guardian of the property, or a

limited guardian of the property within the powers granted by the order
appointing the guardian or an approved annual or amended guardianship
report, may:

(1) Retain assets owned by the ward.
(2) Receive assets from fiduciaries or other sources.
(3) Vote stocks or other securities in person or by general or limited

proxy or not vote stocks or other securities.
(4) Insure the assets of the estate against damage, loss, and liability and

insure himself or herself against liability as to third persons.
(5) Execute and deliver in his or her name as guardian any instrument

necessary or proper to carry out and give effect to this section.
(6) Pay taxes and assessments on the wards property.
(7) Pay valid encumbrances against the wards property in accordance

with their terms, but no prepayment may be made without prior court
approval.

(8) Pay reasonable living expenses for the ward, taking into
consideration the accustomed standard of living, age, health, and financial
condition of the ward. This subsection does not authorize the guardian of a
minor to expend funds for the wards living expenses if one or both of the
wards parents are alive.

(9) Elect to dissent from a will under s. 732.2125(2), seek approval to
make an election in accordance with s. 732.401, or assert any other right or
choice available to a surviving spouse in the administration of a decedents
estate.

(10) Deposit or invest liquid assets of the estate, including moneys
received from the sale of other assets, in federally insured interest-bearing
accounts, readily marketable secured loan arrangements, money market



mutual funds, or other prudent investments. The guardian may redeem or
sell such deposits or investments to pay the reasonable living expenses of
the ward as provided herein.

(11) Pay incidental expenses in the administration of the estate.
(12) Sell or exercise stock subscription or conversion rights and consent,

directly or through a committee or other agent, to the reorganization,
consolidation, merger, dissolution, or liquidation of a corporation or other
business enterprise.

(13) When reasonably necessary, employ persons, including attorneys,
auditors, investment advisers, care managers, or agents, even if they are
associated with the guardian, to advise or assist the guardian in the
performance of his or her duties.

(14) Execute and deliver in his or her name as guardian any instrument
that is necessary or proper to carry out the orders of the court.

(15) Hold a security in the name of a nominee or in other form without
disclosure of the interest of the ward, but the guardian is liable for any act
of the nominee in connection with the security so held.

(16) Pay or reimburse costs incurred and reasonable fees or
compensation to persons, including attorneys, employed by the guardian
pursuant to subsection (13) from the assets of the guardianship estate,
subject to obtaining court approval of the annual accounting.

(17) Provide confidential information about a ward which is related to
an investigation arising under s. 744.368 to the clerk, part II of this chapter
to an Office of Public and Professional Guardians investigator, or part I of
chapter 400 to a local or state ombudsman council member conducting
such an investigation. Any such clerk, Office of Public and Professional
Guardians investigator, or ombudsman shall have a duty to maintain the
confidentiality of such information.

HISTORY:
S. 1, ch. 74-106; ss. 23, 26, ch. 75-222; s. 3, ch. 77-328; s. 282, ch. 79-400;

s. 5, ch. 84-31; s. 74, ch. 89-96; s. 53, ch. 90-271; s. 1101, ch. 97-102; s. 8,
ch. 2000-155; s. 12, ch. 2003-57; s. 18, ch. 2010-132, eff. Oct. 1, 2010; s. 4,
ch. 2018-68, effective July 1, 2018.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.446. 
Fla. Stat.  744.446

 744.446. Conflicts of interest; prohibited activities; court approval;
breach of fiduciary duty.
(1) It is essential to the proper conduct and management of a

guardianship that the guardian be independent and impartial. The fiduciary
relationship which exists between the guardian and the ward may not be
used for the private gain of the guardian other than the remuneration for
fees and expenses provided by law. The guardian may not incur any
obligation on behalf of the guardianship which conflicts with the proper
discharge of the guardians duties.

(2) A guardian may not offer, pay, solicit, or receive a commission,
benefit, bonus, rebate, or kickback, directly or indirectly, overtly or
covertly, in cash or in kind, or engage in a split-fee arrangement in return
for referring, soliciting, or engaging in a transaction for goods or services
on behalf of an alleged incapacitated person or minor, or a ward, for past
or future goods or services.

(3) Unless prior approval is obtained by court order, or unless such
relationship existed before appointment of the guardian and is disclosed to
the court in the petition for appointment of guardian, a guardian may not:
(a) Have any interest, financial or otherwise, direct or indirect, in any

business transaction or activity with the ward, the judge presiding over the
case, any member of the appointed examining committee, any court
employee involved in the guardianship process, or the attorney for the ward;

(b) Acquire an ownership, possessory, security, or other pecuniary interest
adverse to the ward;

(c) Be designated as a beneficiary on any life insurance policy, pension, or
benefit plan of the ward unless such designation was validly made by the
ward before adjudication of incapacity of the ward; and

(d) Directly or indirectly purchase, rent, lease, or sell any property or
services from or to any business entity of which the guardian or the
guardians spouse or any of the guardians lineal descendants, or collateral
kindred, is an officer, partner, director, shareholder, or proprietor, or has any



financial interest.
(4) Any activity prohibited by this section is voidable during the term of

the guardianship or by the personal representative of the wards estate, and
the guardian is subject to removal and to imposition of personal liability
through a proceeding for surcharge, in addition to any other remedies
otherwise available.

(5) In the event of a breach by the guardian of the guardians fiduciary
duty, the court shall take those necessary actions to protect the ward and
the wards assets.

HISTORY:
S. 75, ch. 89-96; s. 54, ch. 90-271; s. 1102, ch. 97-102; s. 6, ch. 2002-195;

s. 7, ch. 2020-35, effective July 1, 2020.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.447. 
Fla. Stat.  744.447

 744.447. Petition for authorization to act.
(1) Application for authorization to perform, or confirmation of, any acts

under s. 744.441 or s. 744.446 shall be by petition stating the facts showing
the expediency or necessity for the action; a description of any property
involved; and the price and terms of a sale, mortgage, or other contract.
The application must state whether it conforms to the general terms of the
guardianship report and whether the ward has been adjudicated
incapacitated to act with respect to the rights to be exercised.

(2) No notice of a petition to authorize a sale of perishable personal
property or of property rapidly deteriorating shall be required. Notice of a
petition to perform any other acts under s. 744.441 or s. 744.446 shall be
given to the ward, to the next of kin, if any, and to those interested persons
who have filed requests for notices and copies of pleadings, as provided in
the Florida Probate Rules, unless waived by the court. Notice need not be
given to a ward who is under 14 years of age or who has been determined
to be totally incapacitated.

HISTORY:
S. 1, ch. 74-106; ss. 24, 26, ch. 75-222; s. 12, ch. 79-221; s. 76, ch. 89-96;

s. 55, ch. 90-271.

Editors notes.
Created from former s. 745.06.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.451. 
Fla. Stat.  744.451

 744.451. Order.
(1) If a sale or mortgage is authorized, the order shall describe the

property, and
(a) If the property is authorized for sale at private sale, the order shall fix

the price and the terms of sale.
(b) If the sale is to be public, the order shall state that the sale shall be

made to the highest bidder and the court reserves the right to reject all bids.
(2) An order for any other act permitted under s. 744.441 or s. 744.446

shall describe the permitted act and authorize the guardian to perform it.

HISTORY:
S. 1, ch. 74-106; ss. 24, 26, ch. 75-222; s. 77, ch. 89-96.

Editors notes.
Created from former s. 745.09.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.454. 
Fla. Stat.  744.454

 744.454. Guardian forbidden to borrow or purchase; exceptions.
A professional guardian may not purchase property or borrow money from

his or her ward. A guardian who is not a professional guardian may do so if:
(1) A court by written order authorizes the sale or loan after a hearing to

which interested persons were given notice; or
(2) The property is sold at public sale and the guardian is a spouse,

parent, child, brother, or sister of the ward or a cotenant of the ward in the
property to be sold.

HISTORY:
S. 1, ch. 74-106; ss. 24, 26, ch. 75-222; s. 1, ch. 77-174; s. 78, ch. 89-96; s.

2, ch. 96-184; s. 12, ch. 96-354; s. 1787, ch. 97-102; s. 5, ch. 97-161.

Editors notes.
Created from former s. 745.14.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.457. 
Fla. Stat.  744.457

 744.457. Conveyance of various property rights by guardians of the
property.

(1)(a) All legal or equitable interests in property owned as an estate by the
entirety by an incapacitated person for whom a guardian of the property
has been appointed may be sold, transferred, conveyed, or mortgaged in
accordance with s. 744.447, if the spouse who is not incapacitated joins in
the sale, transfer, conveyance, or mortgage of the property. When both
spouses are incapacitated, the sale, transfer, conveyance, or mortgage shall
be by the guardians only. The sale, transfer, conveyance, or mortgage may
be accomplished by one instrument or by separate instruments.
(b) In ordering or approving the sale and conveyance of the real or

personal property owned by the ward and the wards spouse as an estate by
the entirety or as joint tenants with right of survivorship, the court may
provide that one-half of the net proceeds of the sale shall go to the guardian
of the ward and the other one-half to the wards spouse, or the court may
provide for the proceeds of the sale to retain the same character as to
survivorship as the original asset.

(c) The guardian of the property shall collect all payments coming due on
intangible property, such as notes and mortgages and other securities, and
shall retain one-half of all principal and interest payments so collected and
shall pay the other one-half of the collections to the spouse who is not
incapacitated. If both spouses are incapacitated, the guardian of either shall
collect the payments, retain one-half of the principal and interest payments,
and pay the other one-half to the guardian of the other spouse.

(d) The spouse of the incapacitated person shall collect all payments of
rents on real estate held as an estate by the entirety and, after paying all
charges against the property, such as taxes, insurance, maintenance, and
repairs, shall retain one-half of the net rents so collected and pay the other
one-half to the guardian of the spouse who is incapacitated. If both spouses
are incapacitated, the guardian of the property of either may collect the rent,
pay the charges, retain one-half of the net rent, and pay the other one-half to
the guardian of the other spouse.



(2) In determining the value of life estates or remainder interests, the
American Experience Mortality Tables may be used.

(3) Nothing in this section shall prohibit the court in its discretion from
appointing a sole guardian to serve as guardian for both spouses.

(4) Any contingent or expectant interest in property, including marital
property rights and any right of survivorship incident to joint tenancy or
tenancy by the entirety, may be conveyed or released in accordance with s.
744.447.

HISTORY:
S. 1, ch. 74-106; ss. 24, 26, ch. 75-222; s. 13, ch. 79-221; s. 3, ch. 87-317;

s. 79, ch. 89-96; s. 56, ch. 90-271; s. 1103, ch. 97-102.

Editors notes.
Created from former s. 745.15.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.461. 
Fla. Stat.  744.461

 744.461. Purchasers and lenders protected.
No person purchasing or leasing from, or taking a mortgage, pledge, or

other lien from, a guardian shall be bound to see that the money or other
things of value paid to the guardian are actually needed or properly applied.
The person is not otherwise bound as to the proprieties or expediencies of the
acts of the guardian.

HISTORY:
S. 1, ch. 74-106; ss. 24, 26, ch. 75-222; s. 80, ch. 89-96.

Editors notes.
Created from former s. 745.21.



 Title XLIII. ,  Ch. 744. ,  Pt. VI. ,   744.462. 
Fla. Stat.  744.462

 744.462. Determination regarding alternatives to guardianship.
Any judicial determination concerning the validity of the wards durable

power of attorney, trust, or trust amendment shall be promptly reported in the
guardianship proceeding by the guardian of the property. If the instrument
has been judicially determined to be valid or if, after the appointment of a
guardian, a petition is filed alleging that there is an alternative to
guardianship which will sufficiently address the problems of the ward, the
court shall review the continued need for a guardian and the extent of the
need for delegation of the wards rights.

HISTORY:
S. 6, ch. 2006-77, eff. June 6, 2006; s. 47, ch. 2006-217, eff. July 1, 2007.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. 
Fla. Stat. Title XLIII, Ch. 744, Pt. VII



PART VII.
TERMINATION.

 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.464. 
Fla. Stat.  744.464

 744.464. Restoration to capacity.
(1) Venue.  A suggestion of capacity must be filed with the court in

which the guardianship is pending.
(2) Suggestion of capacity. 

(a) Any interested person, including the ward, may file a suggestion of
capacity. The suggestion of capacity must state that the ward is currently
capable of exercising some or all of the rights which were removed.

(b) Upon the filing of the suggestion of capacity, the court shall
immediately appoint a physician to examine the ward. The physician must
examine the ward and file his or her report with the court within 20 days after
the appointment.

(c) The court shall immediately send notice of the filing of the suggestion
of capacity to the ward, the guardian, the attorney for the ward, if any, and
any other interested persons designated by the court. Formal notice must be
served on the guardian. Informal notice may be served on other persons.
Notice need not be served on the person who filed the suggestion of capacity.

(d) Any objections to the suggestion of capacity must be filed within 20
days after service of the notice.

(e) If an objection is timely filed, or if the medical examination suggests
that full restoration is not appropriate, the court shall set the matter for
hearing. If the ward does not have an attorney, the court shall appoint one to
represent the ward.

(f) Notice of the hearing and copies of the objections and medical
examination reports shall be served upon the ward, the wards attorney, the
guardian, the wards next of kin, and any other interested persons as directed
by the court.

(3) Order of restoration. 



(a) If no objections are filed, and the court is satisfied that the medical
examination establishes by a preponderance of the evidence that restoration
of all or some of the wards rights is appropriate, the court shall enter an
order of restoration of capacity, restoring all or some of the rights which were
removed from the ward in accordance with those findings.

(b) At the conclusion of a hearing, conducted pursuant to s. 744.1095, the
court shall make specific findings of fact and, based on a preponderance of
the evidence, enter an order either denying the suggestion of capacity or
restoring all or some of the rights which were removed from the ward. The
ward has the burden of proving by a preponderance of the evidence that the
restoration of capacity is warranted.

(c) If only some rights are restored to the ward, the order must state which
rights are restored, and the guardian shall prepare a new guardianship report
which addresses only the remaining rights retained by the guardian. The
guardian must file a copy of the new report with the court within 60 days
after the entry of the order.

(4) Timeliness of hearing.  The court shall give priority to any
suggestion of capacity and shall advance the cause on the calendar.

HISTORY:
SS. 10, 26, ch. 75-222; s. 1, ch. 77-174; s. 81, ch. 89-96; s. 57, ch. 90-271;

s. 1104, ch. 97-102; s. 22, ch. 2006-178, eff. July 1, 2006; s. 19, ch. 2015-83,
effective July 1, 2015.

Editors Notes
Section 20, ch. 2015-83, provides: Sections 709.2109 and 744.3203,

Florida Statutes, as created by this act, apply to all proceedings filed on or
after July 1, 2015. The amendments made by this act to ss. 744.107,
744.1075, 744.108, 744.3025, 744.3031, 744.309, 744.3115, 744.312,
744.331, 744.344, 744.345, 744.359, 744.361, 744.367, 744.369, 744.3715,
and 744.464, Florida Statutes, apply to all proceedings pending on July 1,
2015.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.467. 
Fla. Stat.  744.467

 744.467. Resignation of guardian.
A guardian may resign and be relieved of his or her duties after the notice

that the court may require and notice to the surety on his or her bond. Before
entering an order discharging a guardian of the property, the court shall
require the guardian to file a true and correct final report of his or her
guardianship and to deliver to the successor guardian all property of the ward,
all records concerning the property of the ward or of the guardianship, and all
money due to the ward from him or her. A guardian of the person must
deliver to the successor guardian copies of all records of medical or personal
care, prior to being discharged. Before entering the order, the court shall be
satisfied that the interest of the ward will not be placed in jeopardy by the
resignation. The acceptance of the resignation shall not exonerate the
guardian or the guardians surety from any liability previously incurred.

HISTORY:
S. 1, ch. 74-106; ss. 19, 26, ch. 75-222; s. 1, ch. 77-174; s. 82, ch. 89-96; s.

58, ch. 90-271; s. 1105, ch. 97-102.

Editors notes.
Created from former s. 746.01.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.471. 
Fla. Stat.  744.471

 744.471. Appointment of successor.
A successor guardian must be appointed and duly qualified before a

guardian shall be relieved of his or her duties and obligations as provided in
s. 744.467. A successor guardian shall be appointed if a guardian dies,
becomes incapacitated, or is removed. Successor guardians are governed by
the laws concerning guardianships.

HISTORY:
S. 1, ch. 74-106; s. 83, ch. 89-96; s. 26, ch. 95-401; s. 1106, ch. 97-102.

Editors notes.
Created from former s. 746.02.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.474. 
Fla. Stat.  744.474

 744.474. Reasons for removal of guardian.
A guardian may be removed for any of the following reasons, and the

removal shall be in addition to any other penalties prescribed by law:
(1) Fraud in obtaining her or his appointment.
(2) Failure to discharge her or his duties.
(3) Abuse of her or his powers.
(4) An incapacity or illness, including substance abuse, which renders

the guardian incapable of discharging her or his duties.
(5) Failure to comply with any order of the court.
(6) Failure to return schedules of property sold or accounts of sales of

property or to produce and exhibit the wards assets when so required.
(7) The wasting, embezzlement, or other mismanagement of the wards

property.
(8) Failure to give bond or security for any purpose when required by

the court or failure to file with the annual guardianship plan the evidence
required by s. 744.351 that the sureties on her or his bond are alive and
solvent.

(9) Conviction of a felony.
(10) Appointment of a receiver, trustee in bankruptcy, or liquidator for

any corporate guardian.
(11) Development of a conflict of interest between the ward and the

guardian.
(12) Having been found guilty of, regardless of adjudication, or entered

a plea of nolo contendere or guilty to, any offense prohibited under s.
435.04 or similar statute of another jurisdiction.

(13) A material failure to comply with the guardianship report by the
guardian.

(14) A failure to comply with the rules for timely filing the initial and



annual guardianship reports.
(15) A failure to fulfill the guardianship education requirements.
(16) The improper management of the wards assets.
(17) A material change in the wards financial circumstances such that

the guardian is no longer qualified to manage the finances of the ward, or
the previous degree of management is no longer required.

(18) After appointment, the guardian becomes a disqualified person as
set forth in s. 744.309(3).

(19) Upon a showing by a person who did not receive notice of the
petition for adjudication of incapacity, when such notice is required, or
who is related to the ward within the relationships specified for nonresident
relatives in ss. 744.309(2) and 744.312(2) and who has not previously been
rejected by the court as a guardian that the current guardian is not a family
member and subsection (20) applies.

(20) Upon a showing that removal of the current guardian is in the best
interest of the ward. In determining whether a guardian who is related by
blood or marriage to the ward is to be removed, there shall be a rebuttable
presumption that the guardian is acting in the best interests of the ward.

(21) A bad faith failure to submit guardianship records during the audit
pursuant to s. 744.368.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 84, ch. 89-96; s. 138, ch. 95-418;

s. 13, ch. 96-354; s. 1788, ch. 97-102; s. 283, ch. 99-8; s. 2, ch. 99-277; s.
111, ch. 2000-349; s. 32, ch. 2004-267; s. 23, ch. 2006-178, eff. July 1, 2006;
s. 54, ch. 2010-114, eff. Aug. 1, 2010; s. 5, ch. 2014-124, effective July 1,
2014.

Editors notes.
Created from former s. 746.03.
Section 32, ch. 2004-267, reenacted (12) without change to incorporate

amendments to statutory sections referenced therein.
Section 58, ch. 2010-114 provides: The changes made by this act are



intended to be prospective in nature. It is not intended that persons who are
employed or licensed on the effective date of this act be rescreened until such
time as they are otherwise required to be rescreened pursuant to law, at which
time they must meet the requirements for screening as set forth in this act.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.477. 
Fla. Stat.  744.477

 744.477. Proceedings for removal of a guardian.
Proceedings for removal of a guardian may be instituted by the court, by

any surety or other interested person, or by the ward. Reasonable notice shall
be given to the guardian. On the hearing, the court may enter an order that is
proper considering the pleadings and the evidence.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 85, ch. 89-96; s. 59, ch. 90-271.

Editors notes.
Created from former s. 746.04.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.511. 
Fla. Stat.  744.511

 744.511. Accounting upon removal.
A removed guardian shall file with the court a true, complete, and final

report of his or her guardianship within 20 days after removal and shall serve
a copy on the successor guardian and the ward, unless the ward is a minor or
has been determined to be totally incapacitated.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 86, ch. 89-96; s. 60, ch. 90-271;

s. 1107, ch. 97-102; s. 24, ch. 2006-178, eff. July 1, 2006.

Editors notes.
Created from former s. 746.05.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.514. 
Fla. Stat.  744.514

 744.514. Surrender of property upon removal.
The successor guardian shall demand of the removed guardian or her or his

heirs, personal representative, or surety all the property of the ward and
copies of all records of the ward. The removed guardian or her or his heirs,
personal representative, or surety shall turn over the items to her or his duly
qualified successor.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 87, ch. 89-96; s. 61, ch. 90-271;

s. 1108, ch. 97-102.

Editors notes.
Created from former s. 746.06.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.517. 
Fla. Stat.  744.517

 744.517. Proceedings for contempt.
If a removed guardian of the property fails to file a true, complete, and

final accounting of his or her guardianship; to turn over to his or her
successor or to the ward all the property of his or her ward and copies of all
records that are in his or her control and that concern the ward; or to pay over
to the successor guardian of the property or to the ward all money due the
ward by him or her, the court shall issue a show cause order. If cause is
shown for the default, the court shall set a reasonable time within which to
comply, and, on failure to comply with this or any subsequent order, the
removed guardian may be held in contempt. Proceedings for contempt may
be instituted by the court, by any interested person, including the ward, or by
a successor guardian.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 88, ch. 89-96; s. 62, ch. 90-271;

s. 1109, ch. 97-102.

Editors notes.
Created from former ss. 746.07, 746.08.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.521. 
Fla. Stat.  744.521

 744.521. Termination of guardianship.
When a ward becomes sui juris or is restored to capacity, when the

guardian has been unable to locate the ward through diligent search, or, for a
guardian of the property, when the property subject to the guardianship has
been exhausted, the guardian shall file a final report and receive his or her
discharge. A guardian of the person is discharged without further proceeding
upon filing a certified copy of the wards death certificate. The court may
require proof of the removal of incapacity.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 4, ch. 86-120; s. 89, ch. 89-96; s.

63, ch. 90-271; s. 1110, ch. 97-102.

Editors notes.
Created from former s. 746.12.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.524. 
Fla. Stat.  744.524

 744.524. Termination of guardianship on change of domicile of resident
ward.

When the domicile of a resident ward has changed as provided in s.
744.1098, and the foreign court having jurisdiction over the ward at the
wards new domicile has appointed a guardian and that guardian has qualified
and posted a bond in an amount required by the foreign court, the guardian in
this state may file her or his final report and close the guardianship in this
state. The guardian of the property in this state shall cause a notice to be
published once a week for 2 consecutive weeks, in a newspaper of general
circulation published in the county, that she or he has filed her or his
accounting and will apply for discharge on a day certain and that jurisdiction
of the ward will be transferred to the state of foreign jurisdiction. If an
objection is filed to the termination of the guardianship in this state, the court
shall hear the objection and enter an order either sustaining or overruling the
objection. Upon the disposition of all objections filed, or if no objection is
filed, final settlement shall be made by the Florida guardian. On proof that
the remaining property in the guardianship has been received by the foreign
guardian, the guardian of the property in this state shall be discharged. The
entry of the order terminating the guardianship in this state shall not
exonerate the guardian or the guardians surety from any liability previously
incurred.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 90, ch. 89-96; s. 64, ch. 90-271;

s. 1111, ch. 97-102; s. 37, ch. 2016-40, effective March 10, 2016.

Editors notes.
Created from former s. 746.121.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.527. 
Fla. Stat.  744.527

 744.527. Final reports and application for discharge; hearing.
(1) When the court terminates the guardianship for any of the reasons set

forth in s. 744.521, the guardian shall promptly file his or her final report.
If the ward has died, the guardian must file a final report with the court no
later than 45 days after he or she has been served with letters of
administration or letters of curatorship. If no objections are filed and if it
appears that the guardian has made full and complete distribution to the
person entitled and has otherwise faithfully discharged his or her duties,
the court shall approve the final report. If objections are filed, the court
shall conduct a hearing in the same manner as provided for a hearing on
objections to annual guardianship reports.

(2) The guardian applying for discharge may retain from the funds in his
or her possession a sufficient amount to pay the final costs of
administration, including guardian and attorneys fees regardless of the
death of the ward, accruing between the filing of his or her final returns
and the order of discharge.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 91, ch. 89-96; s. 65, ch. 90-271;

s. 1112, ch. 97-102; s. 25, ch. 2006-178, eff. July 1, 2006.

Editors notes.
Created from former s. 746.13.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.528. 
Fla. Stat.  744.528

 744.528. Discharge of guardian named as personal representative.
(1) A guardian authorized to manage property, who is subsequently

appointed personal representative, must serve a copy of the guardians
final report and petition for discharge upon the beneficiaries of the wards
estate who will be affected by the report.

(2) All such beneficiaries shall have 30 days to file objections to the
final report and petition for discharge.

(3) Any interested person may file a notice of a hearing on any
objections filed by the beneficiaries. Notice of the hearing must be served
upon the guardian, beneficiaries of the wards estate, and any other person
to whom the court directs service. If a notice of hearing on the objections is
not served within 90 days after filing of the objections, the objections are
deemed abandoned.

(4) The guardian may not be discharged until:
(a) All objections have been judicially resolved;
(b) The report of the guardian is approved by the court; and
(c) In the case of a guardian of the property, all property has been

distributed to the wards estate or the persons entitled to it.

HISTORY:
S. 92, ch. 89-96; s. 66, ch. 90-271; s. 26, ch. 2006-178, eff. July 1, 2006.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.531. 
Fla. Stat.  744.531

 744.531. Order of discharge.
If the court is satisfied that the guardian has faithfully discharged her or his

duties, has rendered a complete and accurate final report, and, in the case of a
guardian of the property, has delivered the property of the ward to the person
entitled, and that the interest of the ward is protected, the court shall enter an
order of discharge. The discharge shall operate as a release from the duties of
the guardianship and as a bar to any action against the guardian or the
guardians surety unless the action is commenced within 3 years after the
date of the order.

HISTORY:
S. 1, ch. 74-106; ss. 21, 26, ch. 75-222; s. 93, ch. 89-96; s. 67, ch. 90-271;

s. 1113, ch. 97-102.

Editors notes.
Created from former s. 746.14.



 Title XLIII. ,  Ch. 744. ,  Pt. VII. ,   744.534. 
Fla. Stat.  744.534

 744.534. Disposition of unclaimed funds held by guardian.
(1) In all cases in which it is appropriate for the guardianship to

terminate due to the wards death and in which property in the hands of the
guardian cannot be distributed because no estate proceeding has been
instituted, the guardian of the property shall be considered an interested
person pursuant to s. 733.202 and may, after a reasonable time, institute
such a proceeding. In the alternative, the guardian may follow the
procedures set forth in subsection (2).
(2)(a) In those cases in which it is appropriate for the guardianship to
terminate pursuant to s. 744.521 and in which property in the hands of a
guardian cannot be distributed to the ward or the wards estate solely
because the guardian is unable to locate the ward through diligent search,
the court shall order the guardian of the property to sell the property of the
ward and deposit the proceeds and cash already on hand after retaining
those amounts provided for in paragraph (e) with the clerk of the court
exercising jurisdiction over the guardianship and receive a receipt. The
clerk shall deposit the funds in the registry of the court, to be disposed of
as follows:
1. If the value of the funds is $50 or less, the clerk shall post a notice for 30

days at the courthouse door giving the amount involved, the name of the
ward, and other pertinent information that will put interested persons on
notice.

2. If the value of the funds is over $50, the clerk shall publish the notice
once a month for 2 consecutive months in a newspaper of general circulation
in the county.

3. After the expiration of 6 months from the posting or first publication, the
clerk shall deposit the funds with the Chief Financial Officer after deducting
his or her fees and the costs of publication.

(b) Upon receipt of the funds, the Chief Financial Officer shall deposit
them to the credit of public guardianship. All interest and all income that may
accrue from the money while so deposited shall belong to the fund. The funds
so deposited shall constitute and be a permanent appropriation for payments



by the Chief Financial Officer in obedience to court orders entered as
provided by paragraph (c).

(c) Within 5 years from the date of deposit with the Chief Financial
Officer, on written petition to the court that directed the deposit of the funds
and informal notice to the Department of Legal Affairs, and after proof of his
or her right to them, any person entitled to the funds, before or after payment
to the Chief Financial Officer and deposit as provided for in paragraph (a),
may obtain a court order directing the payment of the funds to him or her. All
funds deposited with the Chief Financial Officer and not claimed within 5
years from the date of deposit shall escheat to the state to be deposited in the
Department of Elderly Affairs Administrative Trust Fund to be used solely
for the benefit of public guardianship as determined by the Secretary of
Elderly Affairs.

(d) Upon depositing the funds with the clerk, the guardian of the property
may proceed with the filing of his or her final return and application for
discharge under s. 744.527.

(e) The guardian depositing assets with the clerk is permitted to retain from
the funds in his or her possession a sufficient amount to pay the final costs of
administration, including guardian and attorneys fees accruing between the
deposit of the funds with the clerk of the court and the order of discharge.
Any surplus funds so retained must be deposited with the clerk prior to
discharge of the guardian of the property.

HISTORY:
S. 5, ch. 86-120; s. 94, ch. 89-96; s. 68, ch. 90-271; s. 1114, ch. 97-102; s.

7, ch. 2002-195; s. 13, ch. 2003-57; s. 1898, ch. 2003-261.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. 
Fla. Stat. Title XLIII, Ch. 744, Pt. VIII



PART VIII.
VETERANS GUARDIANSHIP.

 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.602. 
Fla. Stat.  744.602

 744.602. Short title; scope of part.
(1) This part shall be known and may be cited as the Veterans

Guardianship Law.
(2) The application of this part is limited to veterans and other persons

who are entitled to receive benefits from the United States Department of
Veterans Affairs. This part is not intended to replace the general law
relating to guardianship except insofar as this part is inconsistent with the
general law relating to guardianship; in which event, this part and the
general law relating to guardianship shall be read together, with any
conflict between this part and the general law of guardianship to be
resolved by giving effect to this part.

HISTORY:
S. 18, ch. 14579, 1929; CGL 1936 Supp. 2146(1); s. 1, ch. 84-62; s. 38, ch.

93-268.

Editors notes.
Former s. 293.01.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.604. 
Fla. Stat.  744.604

 744.604. Definitions.
As used in this part, the term:

(1) Adjudication by a court of competent jurisdiction means a judicial
decision or finding that a person is or is not incapacitated as provided in s.
744.331.

(2) Adjudication by the United States Department of Veterans Affairs
means a determination or finding that a person is competent or
incompetent on examination in accordance with the laws and regulations
governing the United States Department of Veterans Affairs.

(3) Secretary means the Secretary of Veterans Affairs as head of the
United States Department of Veterans Affairs or her or his successor.

(4) Benefits means arrears of pay, bonus, pension, compensation,
insurance, and all other moneys paid or payable by the United States
through the United States Department of Veterans Affairs by reason of
service in the Armed Forces of the United States.

(5) Estate means income on hand and assets acquired in whole or in
part with income.

(6) Guardian means any person acting as a fiduciary for a wards
person or the wards estate, or both.

(7) Income means moneys received from the United States
Department of Veterans Affairs as benefits, and revenue or profit from any
property acquired in whole or in part with such moneys.

(8) Person means an individual, a partnership, a corporation, or an
association.

(9) United States Department of Veterans Affairs means the United
States Department of Veterans Affairs or its predecessors or successors.

(10) Ward means a beneficiary of the United States Department of
Veterans Affairs.

HISTORY:



S. 1, ch. 14579, 1929; CGL 1936 Supp. 2146(2); s. 1, ch. 73-304; s. 2, ch.
84-62; s. 95, ch. 89-96; s. 39, ch. 93-268; s. 1115, ch. 97-102.

Editors notes.
Former s. 293.02.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.607. 
Fla. Stat.  744.607

 744.607. Secretary of Veterans Affairs as party in interest.
The Secretary of Veterans Affairs shall be a party in interest in any

proceeding for the appointment or removal of a guardian or for the removal
of the disability of minority or mental incapacity of a ward, and in any suit or
other proceeding affecting in any manner the administration by the guardian
of the estate of any present or former ward whose estate includes assets
derived in whole or in part from benefits heretofore or hereafter paid by the
United States Department of Veterans Affairs. Not less than 15 days prior to
hearing in such matter, notice in writing of the time and place thereof shall be
given by mail (unless waived in writing) to the office of the United States
Department of Veterans Affairs having jurisdiction over the area in which
any such suit or any such proceeding is pending.

HISTORY:
S. 3, ch. 21795, 1943; s. 3, ch. 84-62; s. 40, ch. 93-268.

Editors notes.
Former s. 293.20.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.609. 
Fla. Stat.  744.609

 744.609. Procedure for commitment of veteran to United States
Department of Veterans Affairs hospital.

The procedure for the placement into a United States Department of
Veterans Affairs hospital of a ward hereunder shall be the procedure
prescribed in s. 394.4672.

HISTORY:
S. 22, ch. 84-62; s. 41, ch. 93-268.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.613. 
Fla. Stat.  744.613

 744.613. Appointment of guardian for ward authorized.
(1) Whenever, pursuant to any law of the United States or regulation of

the United States Department of Veterans Affairs, the secretary requires,
prior to the payment of benefits, that a guardian be appointed for a ward,
the appointment may be made in the manner hereinafter provided.

(2) When a petition is filed for the appointment of a guardian of a minor
ward, a certificate of the secretary or the secretarys authorized
representative setting forth the age of such minor, as shown by the records
of the United States Department of Veterans Affairs, and a statement that
the appointment of a guardian is a condition precedent to the payment of
any moneys due to the minor by the United States Department of Veterans
Affairs are prima facie evidence of the necessity for such appointment.

(3) When a petition is filed for the appointment of a guardian of a
mentally incompetent ward, a certificate of the secretary or the secretarys
authorized representative, setting forth the fact that the person has been
found incompetent and has been rated incompetent by the United States
Department of Veterans Affairs, on examination in accordance with the
laws and regulations governing the United States Department of Veterans
Affairs, and that the appointment of a guardian is a condition precedent to
the payment of any moneys due to such person by the United States
Department of Veterans Affairs, is prima facie evidence of the necessity
for such appointment.

HISTORY:
SS. 2, 5, 6, ch. 14579, 1929; CGL 1936 Supp. 2146(3), (6), (7); s. 1, ch.

73-304; s. 5, ch. 84-62; s. 42, ch. 93-268; s. 1116, ch. 97-102.

Editors notes.
Consolidation of former ss. 293.03, 293.06, 293.07.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.616. 
Fla. Stat.  744.616

 744.616. Petition for appointment of guardian.
(1) A petition for the appointment of a guardian may be filed in any

court of competent jurisdiction by, or on behalf of, any person who under
existing law is entitled to priority of appointment. If no person is so
entitled, or if the person so entitled neglects or refuses to file such a
petition within 30 days after the mailing of notice by the United States
Department of Veterans Affairs to the last known address of such person,
indicating the necessity for filing the petition, a petition for such
appointment may be filed in any court of competent jurisdiction by, or on
behalf of, any responsible person residing in this state.
(2)(a) The petition for appointment shall set forth:
1. The name, age, and place of residence of the ward;
2. The names and places of residence of the nearest relative, if known;
3. The fact that the ward is entitled to receive moneys payable by or

through the United States Department of Veterans Affairs;
4. The amount of moneys then due and the amount of probable future

payments;
5. The name and address of the person or institution, if any, having actual

custody of the ward; and
6. The name, age, relationship, if any, occupation, and address of the

proposed guardian.
(b) In the case of a mentally incompetent ward, the petition shall show that

the ward has been found incompetent and has been rated incompetent on
examination by the United States Department of Veterans Affairs, in
accordance with the laws and regulations governing the United States
Department of Veterans Affairs.

HISTORY:
S. 4, ch. 14579, 1929; CGL 1936 Supp. 2146(5); s. 1, ch. 73-304; s. 6, ch.

84-62; s. 43, ch. 93-268.



Editors notes.
Former s. 293.05.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.617. 
Fla. Stat.  744.617

 744.617. Notice by court of petition filed for appointment of guardian.
(1) When a petition for the appointment of a guardian has been filed

pursuant to s. 744.616, the court shall cause such notice to be given as
provided by the general guardianship law. In addition, notice of the
petition shall be given to the office of the United States Department of
Veterans Affairs having jurisdiction over the area in which the court is
located.

(2) A copy of the petition provided for in s. 744.616 shall be mailed by
the clerk of the court to the person or persons for whom a guardian is to be
appointed, the clerk of court mailing the copy of the petition to the last
known address of such person or persons not less than 5 days prior to the
date set for the hearing of the petition by the court.

HISTORY:
S. 2, ch. 11906, 1927; s. 7, ch. 14579, 1929; CGL 2134; CGL 1936 Supp.

2146(8); s. 7, ch. 84-62; s. 44, ch. 93-268.

Editors notes.
Consolidation of former ss. 293.08, 294.03.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.618. 
Fla. Stat.  744.618

 744.618. Persons who may be appointed guardian.
(1) Notwithstanding any law with respect to priority of persons entitled

to appointment, or nomination in the petition, the court may appoint some
other individual or a bank or trust company as guardian if the court
determines that the appointment of the other individual or bank or trust
company would be in the best interest of the ward.

(2) It is unlawful for a circuit judge to appoint either herself or himself,
or a member of her or his family, as guardian for any person entitled to the
benefits provided for in 38 U.S.C., as amended, except in a case when the
person entitled to such benefits is a member of the family of the circuit
judge involved.

HISTORY:
S. 4, ch. 11906, 1927; CGL 2136; s. 24, ch. 73-334; s. 6, ch. 84-62; s.

1117, ch. 97-102.

Editors notes.
Former s. 294.04.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.619. 
Fla. Stat.  744.619

 744.619. Bond of guardian.
When the appointment of a guardian is made, the guardian shall execute

and file a bond to be approved by the court in an amount not less than the
sum of the amount of moneys then due to the ward and the amount of moneys
estimated to become payable during the ensuing year. The bond shall be in
the form, and shall be conditioned, as required of guardians appointed under
the general guardianship laws of this state. The court has the power to
require, from time to time, the guardian to file an additional bond.

HISTORY:
S. 8, ch. 14579, 1929; CGL 1936 Supp. 2146(9); s. 7, ch. 84-62.

Editors notes.
Former s. 293.09.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.621. 
Fla. Stat.  744.621

 744.621. Inventory of wards property; guardians failure to file
inventory; discharge; forfeiture of commissions.

Every guardian shall, within 30 days after his or her qualification and
whenever subsequently required by the circuit judge, file in the circuit court a
complete inventory of all the wards personal property in his or her hands
and, also, a schedule of all real estate in the state belonging to his or her
ward, describing it and its quality, whether it is improved or not, and, if it is
improved, in what manner, and the appraised value of same. The failure on
the part of the guardian to conform to the requirements of this section is a
ground for the discharge of the guardian, in which case the guardian shall
forfeit all commissions.

HISTORY:
S. 6, ch. 11906, 1927; CGL 2138; s. 24, ch. 73-334; s. 10, ch. 84-62; s.

1118, ch. 97-102.

Editors notes.
Former s. 294.06.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.622. 
Fla. Stat.  744.622

 744.622. Guardian empowered to receive moneys due ward from the
United States Government.

A guardian appointed under the provisions of s. 744.616 may receive
income and benefits payable by the United States through the United States
Department of Veterans Affairs and also has the right to receive for the
account of the ward any moneys due from the United States Government in
the way of arrears of pay, bonus, compensation or insurance, or other sums
due by reason of his or her service (or the service of the person through
whom the ward claims) in the Armed Forces of the United States and any
other moneys due from the United States Government, payable through its
agencies or entities, together with the income derived from investments of
these moneys.

HISTORY:
S. 6, ch. 11906, 1927; CGL 2138; s. 8, ch. 84-62; s. 45, ch. 93-268; s.

1119, ch. 97-102.

Editors notes.
Former s. 294.05.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.624. 
Fla. Stat.  744.624

 744.624. Guardians application of estate funds for support and
maintenance of person other than ward.

A guardian shall not apply any portion of the estate of her or his ward to
the support and maintenance of any person other than her or his ward, except
upon order of the court after a hearing, notice of which has been given to the
proper office of the United States Department of Veterans Affairs as provided
in s. 744.625.

HISTORY:
S. 13, ch. 14579, 1929; CGL 1936 Supp. 2146(14); s. 1, ch. 73-304; s. 10,

ch. 84-62; s. 46, ch. 93-268; s. 1120, ch. 97-102.

Editors notes.
Former s. 293.14.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.625. 
Fla. Stat.  744.625

 744.625. Petition for support, or support and education, of wards
dependents; payments of apportioned benefits prohibit contempt
action against veteran.
(1) Any person who is dependent on a ward for support may petition a

court of competent jurisdiction for an order directing the guardian of the
wards estate to contribute from the estate of the ward to the support, or
support and education, of the dependent person, when the estate of the
ward is derived in whole or in part from payments of compensation,
adjusted compensation, pension, insurance, or other benefits made directly
to the guardian of the ward by the United States Department of Veterans
Affairs. A notice of the application for support, or support and education,
shall be given by the applicant to the office of the United States
Department of Veterans Affairs having jurisdiction over the area in which
the court is located at least 15 days before the hearing on the application.

(2) The grant or denial of an order for support, or support and education,
does not preclude a further petition for an increase, decrease, modification,
or termination of the allowance for such support, or support and education,
by either the petitioner or the guardian.

(3) The order for the support, or support and education, of the petitioner
is valid for any payment made pursuant to the order, but no valid payment
can be made after the termination of the guardianship. The receipt of the
petitioner shall be a sufficient release of the guardian for payments made
pursuant to the order.

(4) When a claim for apportionment of benefits filed with the United
States Department of Veterans Affairs on behalf of a dependent or
dependents of a disabled veteran is approved by the United States
Department of Veterans Affairs, subsequent payments of such apportioned
benefits by the United States Department of Veterans Affairs prohibit an
action for contempt from being instituted against the veteran.

HISTORY:
S. 9, ch. 84-62; s. 47, ch. 93-268.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.626. 
Fla. Stat.  744.626

 744.626. Exemption of benefits from claims of creditors.
Except as provided by federal law, payments of benefits from the United

States Department of Veterans Affairs or the Social Security Administration
to or for the benefit of a disabled veteran or the veterans surviving spouse or
dependents are exempt from the claims of creditors and shall not be liable to
attachment, levy, or seizure by or under any legal or equitable process
whatever, either before or after the receipt of the payments by the guardian or
the beneficiary.

HISTORY:
S. 9, ch. 84-62; s. 48, ch. 93-268; s. 1121, ch. 97-102.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.627. 
Fla. Stat.  744.627

 744.627. Investment of funds of estate by guardian.
Every guardian shall invest the funds of the estate in such manner or in

such securities, in which the guardian has no interest, as allowed by chapter
518.

HISTORY:
S. 12, ch. 14579, 1929; s. 1, ch. 17473, 1935; CGL 1936 Supp. 2146(13);

s. 10, ch. 84-62.

Editors notes.
Former s. 293.13.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.631. 
Fla. Stat.  744.631

 744.631. Guardians petition for authority to sell wards real estate;
notice by publication; penalties.
(1) When a guardian of the estate of a minor or an incompetent ward,

which guardian has the control or management of any real estate that is the
property of such minor or incompetent, deems it necessary or expedient to
sell all or part of the real estate, the guardian shall apply, either in term
time or in vacation by petition to the judge of the circuit court for the
county in which the real estate is situated, for authority to sell all or part of
the real estate. If the prayer of the petition appears to the judge to be
reasonable and just and financially beneficial to the estate of the ward, the
judge may authorize the guardian to sell the real estate described in the
petition under such conditions as the interest of the minor or incompetent
may, in the opinion of the judge, seem to require.

(2) The authority to sell the real estate described in the petition shall not
be granted unless the guardian has given previous notice, published once a
week for 4 successive weeks in a newspaper published in the county where
the application is made, of his or her intention to make application to the
judge for authority to sell such real estate, the guardian setting forth in the
notice the time and place and to what judge the application will be made. If
the lands lie in more than one county, the application for such authority
shall be made in each county in which the lands lie.

(3) The failure on the part of the guardian to comply with the provisions
of this section makes the guardian and the guardians bond agents
individually responsible for any loss that may accrue to the estate of the
ward involved, and is a ground for the immediate removal of such guardian
as to his or her functions, but does not discharge the guardian as to his or
her liability or discharge the liabilities of his or her sureties.

HISTORY:
S. 9, ch. 11906, 1927; CGL 2141; s. 24, ch. 73-334; s. 11, ch. 84-62; s.

1122, ch. 97-102.

Editors notes.



Former s. 294.10.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.634. 
Fla. Stat.  744.634

 744.634. Guardians accounts, filing with court and certification to
United States Department of Veterans Affairs; notice and hearing on
accounts; failure to account.
(1) Every guardian who receives on account of his or her ward any

moneys from the United States Department of Veterans Affairs shall
annually file with the court on the anniversary date of the appointment, in
addition to such other accounts as may be required by the court, a full, true,
and accurate account under oath, which account is an account of all
moneys so received by him or her and of all disbursements from such
moneys, and which account shows the balance of the moneys in his or her
hands at the date of such filing and shows how the moneys are invested. A
certified copy of each of such accounts filed with the court shall be sent by
the guardian to the office of the United States Department of Veterans
Affairs having jurisdiction over the area in which such court is located. If
the requirement of certification is waived in writing by the United States
Department of Veterans Affairs, an uncertified copy of each of such
accounts shall be sent.

(2) The court, at its discretion or upon the petition of an interested party,
shall fix a time and place for the hearing on such account; and notice of the
hearing shall be given by the court to the United States Department of
Veterans Affairs not less than 15 days prior to the date fixed for the
hearing.

(3) The court need not appoint a guardian ad litem to represent the ward
at the hearing provided for in subsection (2). If the residence of the next
kin of the ward is known, notice by registered mail shall be sent to such
relative. Notice also shall be served on the ward; or, if the ward is mentally
incapable of understanding the matter at issue, the notice may be served on
the person in charge of the institution where the ward is detained, or on the
person having charge or custody of the ward.

(4) When a hearing on an account is required by the court or requested
in the petition of an interested party as provided in subsection (2), the
judge of the court on the day of the hearing as provided for in subsection



(2) shall carefully examine the vouchers and audit and state the account
between the guardian and ward. Proper evidence shall be required in
support of any voucher or item of the account that may appear to the court
not to be just and proper, such evidence to be taken by affidavit or by any
other legal mode. If any voucher is rejected, the item or items covered by
the disapproval of any voucher or vouchers shall be taxed against the
guardian personally. After such examination, the court shall render a
decree upon the account, which shall be entered on the record, and the
account and vouchers shall be filed. Such partial settlement shall be taken
and presumed as correct on final settlement of the guardianship.

(5) If a guardian fails to file any account of the moneys received by him
or her from the United States Department of Veterans Affairs on account
of his or her ward within 30 days after such account is required by either
the court or the United States Department of Veterans Affairs, or fails to
furnish the United States Department of Veterans Affairs a copy of his or
her accounts as required by subsection (1), such failure shall be a ground
for the removal of the guardian.

HISTORY:
SS. 7, 8, ch. 11906, 1927; CGL 2139, 2140; ss. 9, 10, ch. 14579, 1929;

CGL 1936 Supp. 2146(10), (11); s. 1, ch. 73-304; s. 12, ch. 84-62; s. 49, ch.
93-268; s. 1123, ch. 97-102.

Editors notes.
Consolidation of former ss. 293.10, 293.11, 294.08, 294.09.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.637. 
Fla. Stat.  744.637

 744.637. Certified copies of public records made available.
When a copy of any public record is required by the United States

Department of Veterans Affairs to be used in determining the eligibility of
any person to participate in benefits made available by the United States
Department of Veterans Affairs, the official charged with the custody of such
public record shall, without charge, provide to the applicant for such benefits
or any person acting on her or his behalf, or to the authorized representative
of the United States Department of Veterans Affairs, a certified copy of such
record. For each and every certified copy so furnished by the official, the
official shall be paid by the board of county commissioners the fee provided
by law for copies.

HISTORY:
S. 14, ch. 14579, 1929; CGL 1936 Supp. 2146(15); s. 7, ch. 29749, 1955;

s. 1, ch. 73-304; s. 13, ch. 84-62; s. 50, ch. 93-268; s. 1124, ch. 97-102.

Editors notes.
Former s. 293.15.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.638. 
Fla. Stat.  744.638

 744.638. Clerk of the circuit court; fees; duties.
Upon the filing of the petition for guardianship, granting of same, and

entering decree thereon, the clerk of the circuit court is entitled to the service
charge as provided by law, which shall include the cost of recording the
petition, bond, and decree and the issuing of letters of guardianship. The
certificate of the secretary or the secretarys authorized representative
provided for in s. 744.613 need not be recorded but must be kept in the file.
Upon issuing letters of guardianship or letters appointing a guardian for the
estate of a minor or incompetent, the clerk of the circuit court shall send to
the regional office of the United States Department of Veterans Affairs
having jurisdiction in this state two certified copies of the letters and two
certified copies of the bond approved by the court, without charge or expense
to the estate involved. The clerk of the circuit court shall also send a certified
copy of such letters to the property appraiser and to the tax collector in each
county in which the ward owns real property.

HISTORY:
S. 10, ch. 11906, 1927; CGL 2142; s. 1, ch. 73-304; s. 24, ch. 73-334; s. 7,

ch. 84-62; s. 11, ch. 87-145; s. 51, ch. 93-268; s. 1125, ch. 97-102.

Editors notes.
Former s. 294.11.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.639. 
Fla. Stat.  744.639

 744.639. Attorneys fee.
The fee for the attorney filing the petition and conducting the proceedings

shall be fixed by the court in an amount as small as reasonably possible, not
to exceed $250. However, this section is not to be interpreted to exclude a
petition for extraordinary attorneys fees, properly filed, and if approved by
the United States Department of Veterans Affairs, does not necessitate a
hearing before the court for approval, but the court shall enter its order for
withdrawal of said attorneys fees from the wards guardianship account
accordingly.

HISTORY:
S. 7, ch. 84-62; s. 31, ch. 95-401; s. 16, ch. 97-93.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.641. 
Fla. Stat.  744.641

 744.641. Guardians compensation; bond premiums.
The amount of compensation payable to a guardian shall not exceed 5

percent of the income of the ward during any year and may be taken, by the
guardian, on a monthly basis. In the event of extraordinary services rendered
by such guardian, the court may, upon petition and after hearing on the
petition, authorize additional compensation for the extraordinary services,
payable from the estate of the ward. Provided that extraordinary services
approved by the United States Department of Veterans Affairs do not require
a court hearing for approval of the fees, but shall require an order authorizing
the guardian to withdraw the amount from the guardianship account. No
compensation shall be allowed on the corpus of an estate received from a
preceding guardian. The guardian may be allowed from the estate of her or
his ward reasonable premiums paid by the guardian to any corporate surety
upon the guardians bond.

HISTORY:
S. 11, ch. 14579, 1929; CGL 1936 Supp. 2146(12); s. 1, ch. 73-304; s. 14,

ch. 84-62; s. 63, ch. 85-62; s. 52, ch. 93-268; s. 32, ch. 95-401; s. 1126, ch.
97-102; s. 85, ch. 99-3.

Editors notes.
Former s. 293.12.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.643. 
Fla. Stat.  744.643

 744.643. Discharge of guardian of minor or incompetent ward.
When a minor ward, for whom a guardian has been appointed under the

provisions of this part or other laws of this state, attains his or her majority
and, if such minor ward has been incompetent, is declared competent by the
United States Department of Veterans Affairs and the court, or when an
incompetent ward who is not a minor is declared competent by the United
States Department of Veterans Affairs and the court, the guardian shall, upon
making a satisfactory accounting, be discharged upon a petition filed for that
purpose.

HISTORY:
S. 16, ch. 14579, 1929; CGL 1936 Supp. 2146(17); s. 1, ch. 73-304; s. 15,

ch. 84-62; s. 53, ch. 93-268; s. 1127, ch. 97-102.

Editors notes.
Former s. 293.17.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.646. 
Fla. Stat.  744.646

 744.646. Final settlement of guardianship; notice required; guardian
ad litem fee; papers required by United States Department of
Veterans Affairs.

On the final settlement of the guardianship, the notice provided herein for
partial settlement must be given and the other proceedings conducted as in
the case of partial settlement, except that a guardian ad litem may be
appointed to represent the ward, the fee of which guardian ad litem shall in
no case exceed $150. However, if the ward has been pronounced competent,
is shown to be mentally sound, appears in court, and is 18 years of age, the
settlement may be had between the guardian and the ward under the direction
of the court without notice to the next of kin, or the appointment of a
guardian ad litem. A certified copy of the final settlement so made in every
case must be filed with the United States Department of Veterans Affairs by
the clerk of the court.

HISTORY:
S. 11, ch. 11906, 1927; CGL 2143; s. 1, ch. 73-304; s. 13, ch. 77-121; s.

16, ch. 84-62; s. 54, ch. 93-268.

Editors notes.
Former s. 294.12.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.649. 
Fla. Stat.  744.649

 744.649. Notice of appointment of general guardian; closing of
veterans guardianship; transfer of responsibilities and penalties to
general guardian.

When the appointment of a general guardian has been made in the proper
court and such guardian has qualified and taken charge of the other property
of the ward, the general guardian shall file notice of such appointment in the
court in which the veterans guardianship is pending and have the veterans
guardianship settled up and closed so that the general guardian may take
charge of the moneys referred to and described in ss. 744.613(2) and (3) and
744.622. When the appointment of a general guardian, whether for an
incompetent or minor child or another beneficiary entitled to the benefits
provided in 38 U.S.C., as amended, has been confirmed by the court having
jurisdiction, such general guardian is responsible and is subject to the
provisions and penalties contained in 38 U.S.C., as amended, as well as the
requirements pertaining to guardians as set forth in this part.

HISTORY:
S. 6, ch. 11906, 1927; CGL 2138; s. 17, ch. 84-62.

Editors notes.
Former s. 294.07.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.652. 
Fla. Stat.  744.652

 744.652. Construction and application of part.
This part shall be construed liberally to secure the beneficial intents and

purposes of this part and applies only to beneficiaries of the United States
Department of Veterans Affairs. It shall be so interpreted and construed as to
effectuate its general purpose of making the welfare of such beneficiaries the
primary concern of their guardians and of the court.

HISTORY:
SS. 17, 19, ch. 14579, 1929; CGL 1936 Supp. 2146(18); s. 1, ch. 73-304; s.

18, ch. 84-62; s. 55, ch. 93-268.

Editors notes.
Former s. 293.18.



 Title XLIII. ,  Ch. 744. ,  Pt. VIII. ,   744.653. 
Fla. Stat.  744.653

 744.653. Annual guardianship report.
Guardians appointed under the Veterans Guardianship Law shall not be

required to comply with the provisions of s. 744.367.

HISTORY:
S. 6, ch. 91-306.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. 
Fla. Stat. Title XLIII, Ch. 744, Pt. IX



PART IX.
PUBLIC GUARDIANSHIP.

 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.701. 
Fla. Stat.  744.701

 744.701. Short title. [Repealed]

HISTORY:
S. 1, ch. 86-120; s. 96, ch. 89-96; repealed by s. 28, ch. 2016-40, effective

March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.702. 
Fla. Stat.  744.702

 744.702. Legislative intent. [Repealed]

HISTORY:
S. 1, ch. 86-120; s. 97, ch. 89-96; s. 3, ch. 99-277; repealed by s. 29, ch.

2016-40, effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.7021. 
Fla. Stat.  744.7021

 744.7021. Statewide Public Guardianship Office. [Transferred]

HISTORY:
Former  744.7021 was transferred to 744.2001 by s. 8, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.703. 
Fla. Stat.  744.703

 744.703. Office of public guardian; appointment, notification.
[Transferred]

HISTORY:
Former  744.703 was transferred to 744.2006 by s. 14, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.704. 
Fla. Stat.  744.704

 744.704. Powers and duties. [Transferred]

HISTORY:
Former  744.704 was transferred to 744.2007 by s. 15, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.705. 
Fla. Stat.  744.705

 744.705. Costs of public guardian. [Transferred]

HISTORY:
Former  744.705 was transferred to 744.2008 by s. 16, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.706. 
Fla. Stat.  744.706

 744.706. Preparation of budget. [Transferred]

HISTORY:
Former  744.706 was transferred to 744.2009 by s. 17, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.707. 
Fla. Stat.  744.707

 744.707. Procedures and rules. [Transferred]

HISTORY:
Former  744.707 was transferred to 744.2101 by s. 18, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.708. 
Fla. Stat.  744.708

 744.708. Reports and standards. [Transferred]

HISTORY:
Former  744.708 was transferred to 744.2103 by s. 20, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.7081. 
Fla. Stat.  744.7081

 744.7081. Access to records by Statewide Public Guardianship Office;
confidentiality. [Transferred]

HISTORY:
Former  744.7081 was transferred to 744.2104 by s. 21, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.7082. 
Fla. Stat.  744.7082

 744.7082. Direct-support organization; definition; use of property;
board of directors; audit; dissolution. [Transferred]

HISTORY:
Former  744.7082 was transferred to 744.2105 by s. 22, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.709. 
Fla. Stat.  744.709

 744.709. Surety bond. [Transferred]

HISTORY:
Former  744.709 was transferred to 744.2102 by s. 19, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.7101. 
Fla. Stat.  744.7101

 744.7101. Short title. [Repealed]

HISTORY:
S. 1, ch. 2004-260; repealed by s. 30, ch. 2016-40, effective March 10,

2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.711. 
Fla. Stat.  744.711

 744.711. Legislative findings and intent. [Repealed]

HISTORY:
S. 2, ch. 2004-260; repealed by s. 31, ch. 2016-40, effective March 10,

2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.712. 
Fla. Stat.  744.712

 744.712. Joining Forces for Public Guardianship grant program;
purpose. [Transferred]

HISTORY:
Former  744.712 was transferred to 744.2106 by s. 23, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.713. 
Fla. Stat.  744.713

 744.713. Program administration; duties of the Statewide Public
Guardianship Office. [Transferred]

HISTORY:
Former  744.713 was transferred to 744.2107 by s. 24, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.714. 
Fla. Stat.  744.714

 744.714. Eligibility. [Transferred]

HISTORY:
Former  744.714 was transferred to 744.2108 by s. 25, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 744. ,  Pt. IX. ,   744.715. 
Fla. Stat.  744.715

 744.715. Grant application requirements; review criteria; awards
process. [Transferred]

HISTORY:
Former  744.715 was transferred to 744.2109 by s. 26, ch. 2016-40,

effective March 10, 2016.



 Title XLIII. ,  Ch. 747. 
Fla. Stat. Title XLIII, Ch. 747



CHAPTER 747.
CONSERVATORSHIP.

 Title XLIII. ,  Ch. 747. ,   747.01. 
Fla. Stat.  747.01

 747.01. Who are absentees under this law.
(1) Any person serving in or with the Armed Forces of the United

States, in or with the Red Cross, in or with the Merchant Marine or
otherwise, during any period of time when a state of hostilities exists
between the United States and any other power and for 1 year thereafter,
who has been reported or listed as missing in action, interned in a neutral
country, beleaguered, besieged or captured by the enemy, shall be an
absentee within the meaning of this law; and,

(2) Any resident of this state, or any person owning property herein,
who disappears under circumstances indicating that he or she may have
died, either naturally, accidentally or at the hand of another, or may have
disappeared as the result of mental derangement, amnesia or other mental
cause, shall also be an absentee within the meaning of this law.

HISTORY:
S. 1, ch. 22888, 1945; s. 1, ch. 67-458; s. 1129, ch. 97-102.



 Title XLIII. ,  Ch. 747. ,   747.011. 
Fla. Stat.  747.011

 747.011. Absentee incompetent for certain purposes.
An absentee as defined in s. 747.01 is considered incompetent for the

purposes of s. 4, Art. X of the State Constitution.

HISTORY:
S. 1, ch. 71-103.



 Title XLIII. ,  Ch. 747. ,   747.02. 
Fla. Stat.  747.02

 747.02. Jurisdiction.
The circuit court has jurisdiction to appoint a conservator of the estate of

an absentee as defined in s. 747.01 upon a showing that:
(1)(a)1. The absentee has an interest in any form of property in this state;

or
2. The absentee is a legal resident of this state; or
3. The spouse or next of kin of the absentee is a legal resident of this state;

and
(b) The absentee has not provided an adequate power of attorney

authorizing another to act in his or her behalf with regard to such property or
interest or the term of any such power of attorney has expired; and

(2) A necessity exists for providing care for the property or estate of the
absentee or care for or judgments concerning the absentees spouse and
children or, if he or she has no spouse and children, the absentees mother
or father.

HISTORY:
S. 2, ch. 22888, 1945; s. 2, ch. 71-103; s. 1130, ch. 97-102.



 Title XLIII. ,  Ch. 747. ,   747.03. 
Fla. Stat.  747.03

 747.03. Petition.
(1) The jurisdiction of the court shall be invoked by the filing of a

petition by any person who would have an interest in the property or estate
of the absentee were such absentee deceased or any person who is
dependent on said absentee for his or her maintenance or support.

(2) The petition shall be sworn to by the petitioner and shall state:
(a) The names, addresses, and ages of the spouse, children, mother, father,

brothers, and sisters, or, if none of these is living, the next of kin, of the
absentee;

(b) The name, address, and age of any other person who would have an
interest in the property or the estate of the absentee if he or she were
deceased;

(c) The exact circumstances which cause the person missing to be an
absentee under s. 747.01 including the date he or she was first known to be
missing, interned, beleaguered, etc.;

(d) The necessity for establishing a conservatorship;
(e) Whether or not the person alleged to be an absentee has a will and the

whereabouts of said will; and
(f) A statement of all property constituting an asset of the alleged

absentees estate or in which he or she has any interest and the approximate
value of same.

HISTORY:
S. 3, ch. 22888, 1945; s. 5, ch. 71-103; s. 1131, ch. 97-102.



 Title XLIII. ,  Ch. 747. ,   747.031. 
Fla. Stat.  747.031

 747.031. Notice; hearing.
(1) Notice of the hearing on the petition to appoint a conservator shall be

given to all persons named in the petition by registered mail or certified
mail with return receipt requested.

(2) The judge shall hear evidence on the question of whether the person
alleged to be missing, interned, beleaguered, etc., is an absentee as defined
by s. 747.01 and on the question of who is entitled to appointment as
conservator. Any person interested in such proceedings may intervene with
leave of the court.

(3) The court may in its discretion appoint a guardian ad litem to
represent the alleged absentee at the hearing.

HISTORY:
S. 6, ch. 71-103.



 Title XLIII. ,  Ch. 747. ,   747.032. 
Fla. Stat.  747.032

 747.032. Order of appointment.
(1) If, after hearing, the court is satisfied that the person alleged to be an

absentee is an absentee as defined in s. 747.01 and that it is necessary that
a conservatorship be established, she or he shall appoint a conservator of
the estate and property of said absentee to take charge of the absentees
estate and property under the supervision, and subject to the further orders,
of the court.

(2) In the appointment of a conservator, the court shall give due
consideration to the appointment of one of the next of kin of the absentee if
such next of kin is a fit and proper person and is qualified to act.

HISTORY:
S. 7, ch. 71-103; s. 1132, ch. 97-102.



 Title XLIII. ,  Ch. 747. ,   747.033. 
Fla. Stat.  747.033

 747.033. Oath.
Every conservator, before exercising his or her authority as conservator,

shall take oath that he or she will faithfully perform his or her duties as
conservator and will render true accounts whenever required according to
law, which oath may be administered by any officer authorized to administer
oaths under the laws of this state. Such oath shall be filed with the court.

HISTORY:
S. 8, ch. 71-103; s. 1133, ch. 97-102.



 Title XLIII. ,  Ch. 747. ,   747.034. 
Fla. Stat.  747.034

 747.034. Bond.
The court may require the conservator to post a bond as required for a

guardian under ss. 744.38 and 744.39. All provisions of chapter 744 which
are applicable to bonds are applicable to the bond of the conservator required
under this chapter.

HISTORY:
S. 9, ch. 71-103.

Editors notes.
Sections 744.38 and 744.39, referred to in the first sentence, were repealed

by s. 3, ch. 74-106.



 Title XLIII. ,  Ch. 747. ,   747.035. 
Fla. Stat.  747.035

 747.035. Rights, powers, and duties of conservator.
(1) The conservator shall have all the rights, powers, and duties of a

guardian of the property as established in chapter 744 and an absentee and
an absentees dependents shall be entitled to all benefits accruing to a ward
or a wards dependents under said chapter.

(2) The circuit court shall have the same responsibility as to a
conservatorship as it has with respect to the guardianship of the property
under said chapter.

HISTORY:
S. 10, ch. 71-103; s. 32, ch. 73-334; s. 70, ch. 95-211.



 Title XLIII. ,  Ch. 747. ,   747.036. 
Fla. Stat.  747.036

 747.036. Resignation or removal of conservator.
The provision for resignation and removal of a guardian of the property in

chapter 746 shall apply in the circuit court to resignation and removal of a
conservator.

HISTORY:
S. 11, ch. 71-103.

Editors notes.
All sections in chapter 746, referred to in this section, were repealed by s.

3, ch. 74-106.



 Title XLIII. ,  Ch. 747. ,   747.04. 
Fla. Stat.  747.04

 747.04. Termination of conservatorship.
(1) At any time upon petition signed by the absentee, or on petition of an

attorney in fact acting under an adequate power of attorney granted by the
absentee, the court shall direct the termination of the conservatorship and
the transfer of all property held thereunder to the absentee or to the
designated attorney in fact.

(2) Likewise, if at any time subsequent to the appointment of a
conservator it shall appear that the absentee has died and an executor or
administrator has been appointed for her or his estate, the court shall direct
the termination of the conservatorship and the transfer of all property of
the deceased absentee held thereunder to such executor or administrator.

(3) When the need for a conservatorship terminates, the conservator
shall promptly file her or his final returns and application for discharge
with the court. If it appears to the court that the returns are correct and that
the conservator has made full and complete transfer of the absentees
assets as directed, the court may approve the returns and discharge the
conservator. If objections to the returns are filed, the circuit judge shall
conduct a hearing under the same conditions for a hearing on objections to
annual returns.

(4) Such discharge shall operate as a release from the duties of the
conservatorship and as a bar to any suit against said conservator or her or
his surety, unless such suit is commenced within 1 year from the date of
discharge.

HISTORY:
S. 4, ch. 22888, 1945; s. 12, ch. 71-103; s. 1134, ch. 97-102.



 Title XLIII. ,  Ch. 747. ,   747.051. 
Fla. Stat.  747.051

 747.051. Summary procedure.
(1) If the wife of any person defined as an absentee in s. 747.01(1), or

his next of kin if said absentee has no wife, shall wish to sell or transfer
any property of the absentee which has a gross value of less than $5,000,
or shall require the consent of the absentee in any matter regarding the
absentees children or in any other matter in which the gross value of the
subject matter is less than $5,000, she may apply to the circuit court for an
order authorizing said sale, transfer, or consent without opening a full
conservatorship proceeding as provided by this chapter. She may make the
application without the assistance of an attorney. Said application shall be
made by petition on the following form, which form shall be made readily
available to the applicant by the clerk of the circuit court:

In the Circuit Court

In re: (Absentee)case number _________.

PETITION FOR SUMMARY RELIEF

Petitioner, (Name), whose residence is (Street & number), (City or town),
and (County), Florida, and who is the (Describe relationship to absentee) of
the absentee, (Name), states that the absentee has been (Imprisoned or
missing in action) since (Date) when (Describe details). Petitioner desires to
sell/transfer (Describe property) of the value of (Value) because (Give
reasons). The terms of sale/transfer are (Give reasons). Petitioner requires the
consent of the absentee for the purpose of _________.

(Petitioner)
State of Florida
County of_________
Sworn to (or affirmed) and subscribed before me this _________ day of

____________________, (year), by (name of person making statement).
(Signature of Notary Public - State of Florida)



(Print, Type, or Stamp Commissioned Name of Notary Public)
Personally Known ____________________ OR Produced Identification

____________________
Type of Identification Produced ____________________

(2) The court shall, without hearing or notice, enter an order on said
petition if it deems the relief requested in said petition necessary to protect
the best interests of the absentee or her or his dependents.

(3) Such order shall be prima facie evidence of the validity of the
proceedings and the authority of the petitioner to make a conveyance or
transfer of the property or to give the absentees consent in any matter
prescribed by subsection (1).

HISTORY:
S. 3, ch. 71-103; s. 32, ch. 73-334; s. 1135, ch. 97-102; s. 19, ch. 98-246; s.

8, ch. 2021-205, effective June 29, 2021.



 Title XLIII. ,  Ch. 747. ,   747.052. 
Fla. Stat.  747.052

 747.052. Procedure for order authorizing action by spouse or next of
kin.
(1) If the spouse, or the next of kin if there is no spouse, of any person

defined as an absentee under s. 747.01(1), shall wish to sell, lease, or
mortgage specific property having a gross value of $5,000 or more owned
by the absentee or in which the absentee had an interest, or take specific
action with respect to the absentees interest having a gross value of $5,000
or more, he or she may petition the circuit court for an order authorizing
the action with respect to such property or interest.

(2) The petition shall be sworn to by the petitioner and shall state:
(a) The names, addresses, and ages of the spouse, children, mother, father,

brothers, and sisters, or, if none of these is living, the next of kin, of the
absentee;

(b) The name, address, and age of any other person who would have an
interest in the property or the estate of the absentee if she or he were
deceased;

(c) The exact circumstances which cause the person missing to be an
absentee under s. 747.01, including the date she or he was first known to be
missing, interned, beleaguered, etc.;

(d) The reasons for the action for which the petition seeks authorization;
(e) Whether or not the person alleged to be an absentee has a will and the

whereabouts of said will and contents if known; and
(f) A statement of all property constituting an asset of the alleged

absentees estate or in which she or he has any interest and the approximate
value of same.

(3) Notice of the hearing on the petition shall be given to all persons
named in the petition by registered mail or certified mail with return
receipt requested.

(4) The judge shall hear evidence on the question of whether the person
alleged to be missing, interned, beleaguered, etc., is an absentee as defined



by s. 747.01 and on the question of whether the action in question should
be authorized. Any person interested in such proceedings may intervene
with leave of the court.

(5) The court may in its discretion appoint a guardian ad litem to
represent the alleged absentee at the hearing.

(6) If, after hearing, the court is satisfied that the person alleged to be an
absentee is an absentee as defined in s. 747.01, that the action in question
should be authorized, and that there is no necessity for a full
conservatorship as provided by s. 747.03, the court shall enter an order
appointing the petitioner as conservator for the purposes of the action
which is the subject of the petition and authorizing the conservator to take
the action requested in the petition. The court shall require the conservator
to account for the proceeds of the sale, lease, or other action, but the
conservator shall not be required to subject the other property of the
absentee to a conservatorship proceeding. The court may retain jurisdiction
of the proceeding to make such further orders as it deems proper.

HISTORY:
S. 4, ch. 71-103; s. 1136, ch. 97-102.



 Title XLIV. 
Fla. Stat. Title XLIV

TITLE XLIV.
CIVIL RIGHTS.

________
 Title XLIV. ,  Ch. 765. 

Fla. Stat. Title XLIV, Ch. 765



CHAPTER 765.
HEALTH CARE ADVANCE DIRECTIVES.

 Title XLIV. ,  Ch. 765. ,  Pt. I. 
Fla. Stat. Title XLIV, Ch. 765, Pt. I



PART I.
GENERAL PROVISIONS.

 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.101. 
Fla. Stat.  765.101

 765.101. Definitions.
As used in this chapter:

(1) Advance directive means a witnessed written document or oral
statement in which instructions are given by a principal or in which the
principals desires are expressed concerning any aspect of the principals
health care or health information, and includes, but is not limited to, the
designation of a health care surrogate, a living will, or an anatomical gift
made pursuant to part V of this chapter.

(2) Attending physician means the physician who has primary
responsibility for the treatment and care of the patient while the patient
receives such treatment or care in a hospital as defined in s. 395.002(12).

(3) Close personal friend means any person 18 years of age or older
who has exhibited special care and concern for the patient, and who
presents an affidavit to the health care facility or to the primary physician
stating that he or she is a friend of the patient; is willing and able to
become involved in the patients health care; and has maintained such
regular contact with the patient so as to be familiar with the patients
activities, health, and religious or moral beliefs.

(4) End-stage condition means an irreversible condition that is caused
by injury, disease, or illness which has resulted in progressively severe and
permanent deterioration, and which, to a reasonable degree of medical
probability, treatment of the condition would be ineffective.

(5) Health care means care, services, or supplies related to the health
of an individual and includes, but is not limited to, preventive, diagnostic,
therapeutic, rehabilitative, maintenance, or palliative care, and counseling,
service, assessment, or procedure with respect to the individuals physical
or mental condition or functional status or that affect the structure or
function of the individuals body.



(6) Health care decision means:
(a) Informed consent, refusal of consent, or withdrawal of consent to any

and all health care, including life-prolonging procedures and mental health
treatment, unless otherwise stated in the advance directives.

(b) The decision to apply for private, public, government, or veterans
benefits to defray the cost of health care.

(c) The right of access to health information of the principal reasonably
necessary for a health care surrogate or proxy to make decisions involving
health care and to apply for benefits.

(d) The decision to make an anatomical gift pursuant to part V of this
chapter.

(7) Health care facility means a hospital, nursing home, hospice, home
health agency, or health maintenance organization licensed in this state, or
any facility subject to part I of chapter 394.

(8) Health care provider or provider means any person licensed,
certified, or otherwise authorized by law to administer health care in the
ordinary course of business or practice of a profession.

(9) Health information means any information, whether oral or
recorded in any form or medium, as defined in 45 C.F.R. s. 160.103 and
the Health Insurance Portability and Accountability Act of 1996, 42 U.S.C.
s. 1320d, as amended, that:
(a) Is created or received by a health care provider, health care facility,

health plan, public health authority, employer, life insurer, school or
university, or health care clearinghouse; and

(b) Relates to the past, present, or future physical or mental health or
condition of the principal; the provision of health care to the principal; or the
past, present, or future payment for the provision of health care to the
principal.

(10) Incapacity or incompetent means the patient is physically or
mentally unable to communicate a willful and knowing health care
decision. For the purposes of making an anatomical gift, the term also
includes a patient who is deceased.



(11) Informed consent means consent voluntarily given by a person
after a sufficient explanation and disclosure of the subject matter involved
to enable that person to have a general understanding of the treatment or
procedure and the medically acceptable alternatives, including the
substantial risks and hazards inherent in the proposed treatment or
procedures, and to make a knowing health care decision without coercion
or undue influence.

(12) Life-prolonging procedure means any medical procedure,
treatment, or intervention, including artificially provided sustenance and
hydration, which sustains, restores, or supplants a spontaneous vital
function. The term does not include the administration of medication or
performance of medical procedure, when such medication or procedure is
deemed necessary to provide comfort care or to alleviate pain.

(13) Living will or declaration means:
(a) A witnessed document in writing, voluntarily executed by the principal

in accordance with s. 765.302; or
(b) A witnessed oral statement made by the principal expressing the

principals instructions concerning life-prolonging procedures.
(14) Minors principal means a principal who is a natural guardian as

defined in s. 744.301(1); legal custodian; or, subject to chapter 744, legal
guardian of the person of a minor.

(15) Persistent vegetative state means a permanent and irreversible
condition of unconsciousness in which there is:
(a) The absence of voluntary action or cognitive behavior of any kind.
(b) An inability to communicate or interact purposefully with the

environment.
(16) Physician means a person licensed pursuant to chapter 458 or

chapter 459.
(17) Primary physician means a physician designated by an individual

or the individuals surrogate, proxy, or agent under a durable power of
attorney as provided in chapter 709, to have primary responsibility for the
individuals health care or, in the absence of a designation or if the
designated physician is not reasonably available, a physician who



undertakes the responsibility.
(18) Principal means a competent adult executing an advance directive

and on whose behalf health care decisions are to be made or health care
information is to be received, or both.

(19) Proxy means a competent adult who has not been expressly
designated to make health care decisions for a particular incapacitated
individual, but who, nevertheless, is authorized pursuant to s. 765.401 to
make health care decisions for such individual.

(20) Reasonably available means readily able to be contacted without
undue effort and willing and able to act in a timely manner considering the
urgency of the patients health care needs.

(21) Surrogate means any competent adult expressly designated by a
principal to make health care decisions and to receive health information.
The principal may stipulate whether the authority of the surrogate to make
health care decisions or to receive health information is exercisable
immediately without the necessity for a determination of incapacity or only
upon the principals incapacity as provided in s. 765.204.

(22) Terminal condition means a condition caused by injury, disease,
or illness from which there is no reasonable medical probability of
recovery and which, without treatment, can be expected to cause death.

HISTORY:
S. 2, ch. 92-199; s. 3, ch. 94-183; s. 46, ch. 96-169; s. 16, ch. 99-331; s. 3,

ch. 2001-250; s. 131, ch. 2001-277; s. 104, ch. 2006-1, eff. July 4, 2006; s.
28, ch. 2006-178, eff. July 1, 2006; s. 2, ch. 2015-153, effective October 1,
2015; s. 14, ch. 2021-112, effective July 1, 2021; s. 60, ch. 2022-4, effective
May 13, 2022.

Editors notes.
For chapter 2003-418, authorizing the Governor to issue a one-time stay to

prevent the withholding of nutrition and hydration to a patient under certain
circumstances, see the note at s. 765.404.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.102. 
Fla. Stat.  765.102

 765.102. Legislative findings and intent.
(1) The Legislature finds that every competent adult has the fundamental

right of self-determination regarding decisions pertaining to his or her own
health, including the right to choose or refuse medical treatment. This right
is subject to certain interests of society, such as the protection of human
life and the preservation of ethical standards in the medical profession.

(2) To ensure that such right is not lost or diminished by virtue of later
physical or mental incapacity, the Legislature intends that a procedure be
established to allow a person to plan for incapacity by executing a
document or orally designating another person to direct the course of his or
her health care or receive his or her health information, or both, upon his or
her incapacity. Such procedure should be less expensive and less restrictive
than guardianship and permit a previously incapacitated person to exercise
his or her full right to make health care decisions as soon as the capacity to
make such decisions has been regained.

(3) The Legislature also recognizes that some competent adults may
want to receive immediate assistance in making health care decisions or
accessing health information, or both, without a determination of
incapacity. The Legislature intends that a procedure be established to allow
a person to designate a surrogate to make health care decisions or receive
health information, or both, without the necessity for a determination of
incapacity under this chapter.

(4) The Legislature recognizes that for some the administration of life-
prolonging medical procedures may result in only a precarious and
burdensome existence. In order to ensure that the rights and intentions of a
person may be respected even after he or she is no longer able to
participate actively in decisions concerning himself or herself, and to
encourage communication among such patient, his or her family, and his or
her physician, the Legislature declares that the laws of this state recognize
the right of a competent adult to make an advance directive instructing his
or her physician to provide, withhold, or withdraw life-prolonging
procedures or to designate another to make the health care decision for him



or her in the event that such person should become incapacitated and
unable to personally direct his or her health care.

(5) The Legislature recognizes the need for all health care professionals
to rapidly increase their understanding of end-of-life and palliative care.
Therefore, the Legislature encourages the professional regulatory boards to
adopt appropriate standards and guidelines regarding end-of-life care and
pain management and encourages educational institutions established to
train health care professionals and allied health professionals to implement
curricula to train such professionals to provide end-of-life care, including
pain management and palliative care.

(6) For purposes of this chapter:
(a) Palliative care is the comprehensive management of the physical,

psychological, social, spiritual, and existential needs of patients. Palliative
care is especially suited to the care of persons who have incurable,
progressive illnesses.

(b) Palliative care must include:
1. An opportunity to discuss and plan for end-of-life care.
2. Assurance that physical and mental suffering will be carefully attended

to.
3. Assurance that preferences for withholding and withdrawing life-

sustaining interventions will be honored.
4. Assurance that the personal goals of the dying person will be addressed.
5. Assurance that the dignity of the dying person will be a priority.
6. Assurance that health care providers will not abandon the dying person.
7. Assurance that the burden to family and others will be addressed.
8. Assurance that advance directives for care will be respected regardless

of the location of care.
9. Assurance that organizational mechanisms are in place to evaluate the

availability and quality of end-of-life, palliative, and hospice care services,
including the evaluation of administrative and regulatory barriers.

10. Assurance that necessary health care services will be provided and that



relevant reimbursement policies are available.
11. Assurance that the goals expressed in subparagraphs 1.-10. will be

accomplished in a culturally appropriate manner.
(7) The Department of Elderly Affairs, the Agency for Health Care

Administration, and the Department of Health shall jointly create a
campaign on end-of-life care for purposes of educating the public. This
campaign should include culturally sensitive programs to improve
understanding of end-of-life care issues in minority communities.

HISTORY:
S. 2, ch. 92-199; s. 1144, ch. 97-102; s. 17, ch. 99-331; s. 7, ch. 2000-295;

s. 4, ch. 2001-250; ss. 132, 133, ch. 2001-277; s. 3, ch. 2015-153, effective
October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.103. 
Fla. Stat.  765.103

 765.103. Existing advance directives.
Any advance directive made prior to October 1, 1999, shall be given effect

as executed, provided such directive was legally effective when written.

HISTORY:
S. 2, ch. 92-199; s. 18, ch. 99-331.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.104. 
Fla. Stat.  765.104

 765.104. Amendment or revocation.
(1) An advance directive may be amended or revoked at any time by a

competent principal:
(a) By means of a signed, dated writing;
(b) By means of the physical cancellation or destruction of the advance

directive by the principal or by another in the principals presence and at the
principals direction;

(c) By means of an oral expression of intent to amend or revoke; or
(d) By means of a subsequently executed advance directive that is

materially different from a previously executed advance directive.
(2) Unless otherwise provided in the advance directive or in an order of

dissolution or annulment of marriage, the dissolution or annulment of
marriage of the principal revokes the designation of the principals former
spouse as a surrogate.

(3) Any such amendment or revocation will be effective when it is
communicated to the surrogate, health care provider, or health care facility.
No civil or criminal liability shall be imposed upon any person for a failure
to act upon an amendment or revocation unless that person has actual
knowledge of such amendment or revocation.

(4) Any patient for whom a medical proxy has been recognized under s.
765.401 and for whom any previous legal disability that precluded the
patients ability to consent is removed may amend or revoke the
recognition of the medical proxy and any uncompleted decision made by
that proxy. The amendment or revocation takes effect when it is
communicated to the proxy, the health care provider, or the health care
facility in writing or, if communicated orally, in the presence of a third
person.

HISTORY:
S. 2, ch. 92-199; s. 47, ch. 96-169; s. 19, ch. 99-331; s. 12, ch. 2002-195; s.



4, ch. 2015-153, effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.105. 
Fla. Stat.  765.105

 765.105. Review of surrogate or proxys decision.
(1) The patients family, the health care facility, or the primary

physician, or any other interested person who may reasonably be expected
to be directly affected by the surrogate or proxys decision concerning any
health care decision may seek expedited judicial intervention pursuant to
rule 5.900 of the Florida Probate Rules, if that person believes:
(a) The surrogate or proxys decision is not in accord with the patients

known desires or this chapter;
(b) The advance directive is ambiguous, or the patient has changed his or

her mind after execution of the advance directive;
(c) The surrogate or proxy was improperly designated or appointed, or the

designation of the surrogate is no longer effective or has been revoked;
(d) The surrogate or proxy has failed to discharge duties, or incapacity or

illness renders the surrogate or proxy incapable of discharging duties;
(e) The surrogate or proxy has abused his or her powers; or
(f) The patient has sufficient capacity to make his or her own health care

decisions.
(2) This section does not apply to a patient who is not incapacitated and

who has designated a surrogate who has immediate authority to make
health care decisions or receive health information, or both, on behalf of
the patient.

HISTORY:
S. 2, ch. 92-199; s. 4, ch. 94-183; s. 5, ch. 2015-153, effective October 1,

2015; s. 85, ch. 2016-10, effective May 10, 2016.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.106. 
Fla. Stat.  765.106

 765.106. Preservation of existing rights.
The provisions of this chapter are cumulative to the existing law regarding

an individuals right to consent, or refuse to consent, to medical treatment
and do not impair any existing rights or responsibilities which a health care
provider, a patient, including a minor, competent or incompetent person, or a
patients family may have under the common law, Federal Constitution, State
Constitution, or statutes of this state.

HISTORY:
S. 2, ch. 92-199; s. 5, ch. 94-183.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.107. 
Fla. Stat.  765.107

 765.107. Construction.
(1) This chapter shall not be construed to repeal by implication any

provision of s. 766.103, the Florida Medical Consent Law. For all
purposes, the Florida Medical Consent Law shall be considered an
alternative to provisions of this section.

(2) Procedures provided in this chapter permitting the withholding or
withdrawal of life-prolonging procedures do not apply to a person who
never had capacity to designate a health care surrogate or execute a living
will.

HISTORY:
S. 2, ch. 92-199; s. 20, ch. 99-331.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.108. 
Fla. Stat.  765.108

 765.108. Effect with respect to insurance.
The making of an advance directive pursuant to the provisions of this

chapter shall not affect the sale, procurement, or issuance of any policy of life
insurance, nor shall such making of an advance directive be deemed to
modify the terms of an existing policy of life insurance. No policy of life
insurance will be legally impaired or invalidated by the withholding or
withdrawal of life-prolonging procedures from an insured patient in
accordance with the provisions of this chapter, nor by any other treatment
decision made according to this chapter, notwithstanding any term of the
policy to the contrary. A person shall not be required to make an advance
directive as a condition for being insured for, or receiving, health care
services.

HISTORY:
S. 2, ch. 92-199.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.109. 
Fla. Stat.  765.109

 765.109. Immunity from liability; weight of proof; presumption.
(1) A health care facility, provider, or other person who acts under the

direction of a health care facility or provider is not subject to criminal
prosecution or civil liability, and will not be deemed to have engaged in
unprofessional conduct, as a result of carrying out a health care decision
made in accordance with the provisions of this chapter. The surrogate or
proxy who makes a health care decision on a patients behalf, pursuant to
this chapter, is not subject to criminal prosecution or civil liability for such
action.

(2) The provisions of this section shall apply unless it is shown by a
preponderance of the evidence that the person authorizing or effectuating a
health care decision did not, in good faith, comply with the provisions of
this chapter.

HISTORY:
S. 2, ch. 92-199.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.110. 
Fla. Stat.  765.110

 765.110. Health care facilities and providers; discipline.
(1) A health care facility, pursuant to Pub. L. No. 101-508, ss. 4206 and

4751, shall provide to each patient written information concerning the
individuals rights concerning advance directives and the health care
facilitys policies respecting the implementation of such rights, and shall
document in the patients medical records whether or not the individual has
executed an advance directive.

(2) A health care provider or health care facility may not require a
patient to execute an advance directive or to execute a new advance
directive using the facilitys or providers forms. The patients advance
directives shall travel with the patient as part of the patients medical
record.

(3) A health care provider or health care facility shall be subject to
professional discipline and revocation of license or certification, and a fine
of not more than $1,000 per incident, or both, if the health care provider or
health care facility, as a condition of treatment or admission, requires an
individual to execute or waive an advance directive.

(4) The Department of Health, in consultation with the Department of
Elderly Affairs, for health care providers; the Agency for Health Care
Administration for hospitals, hospices, nursing homes, home health
agencies, and health maintenance organizations; and the Department of
Children and Families for facilities subject to part I of chapter 394 shall
adopt rules to implement this section.

HISTORY:
S. 2, ch. 92-199; s. 6, ch. 94-183; s. 243, ch. 94-218; s. 48, ch. 96-169; s.

284, ch. 99-8; s. 21, ch. 99-331; s. 293, ch. 2014-19, effective July 1, 2014; s.
29, ch. 2019-11, effective July 1, 2019.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.1103. 
Fla. Stat.  765.1103

 765.1103. Pain management and palliative care.
(1) A patient shall be given information concerning pain management

and palliative care when he or she discusses with the primary physician, or
such physicians designee, the diagnosis, planned course of treatment,
alternatives, risks, or prognosis for his or her illness. If the patient is
incapacitated, the information shall be given to the patients health care
surrogate or proxy, court-appointed guardian as provided in chapter 744, or
attorney in fact under a durable power of attorney as provided in chapter
709. The court-appointed guardian or attorney in fact must have been
delegated authority to make health care decisions on behalf of the patient.

(2) Health care providers and practitioners regulated under chapter 458,
chapter 459, or chapter 464 must, as appropriate, comply with a request for
pain management or palliative care from a patient under their care or, for
an incapacitated patient under their care, from a surrogate, proxy, guardian,
or other representative permitted to make health care decisions for the
incapacitated patient. Facilities regulated under chapter 395, chapter 400,
or chapter 429 must comply with the pain management or palliative care
measures ordered by the patients physician.

HISTORY:
S. 8, ch. 2000-295; s. 5, ch. 2001-250; s. 134, ch. 2001-277; s. 105, ch.

2006-197, eff. July 1, 2006; s. 6, ch. 2015-153, effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.1105. 
Fla. Stat.  765.1105

 765.1105. Transfer of a patient.
(1) A health care provider or facility that refuses to comply with a

patients advance directive, or the treatment decision of his or her surrogate
or proxy, shall make reasonable efforts to transfer the patient to another
health care provider or facility that will comply with the directive or
treatment decision. This chapter does not require a health care provider or
facility to commit any act which is contrary to the providers or facilitys
moral or ethical beliefs, if the patient:
(a) Is not in an emergency condition; and
(b) Has received written information upon admission informing the patient

of the policies of the health care provider or facility regarding such moral or
ethical beliefs.

(2) A health care provider or facility that is unwilling to carry out the
wishes of the patient or the treatment decision of his or her surrogate or
proxy because of moral or ethical beliefs must within 7 days either:
(a) Transfer the patient to another health care provider or facility. The

health care provider or facility shall pay the costs for transporting the patient
to another health care provider or facility; or

(b) If the patient has not been transferred, carry out the wishes of the
patient or the patients surrogate or proxy, unless s. 765.105 applies.

HISTORY:
S. 4, ch. 92-199; s. 11, ch. 94-183; s. 1148, ch. 97-102; s. 30, ch. 99-331; s.

7, ch. 2015-153, effective October 1, 2015.

Editors notes.
Former s. 765.308.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.1115. 
Fla. Stat.  765.1115

 765.1115. Falsification, forgery, or willful concealment, cancellation, or
destruction of directive or revocation or amendment; penalties.
(1) Any person who willfully conceals, cancels, defaces, obliterates, or

damages an advance directive without the principals consent or who
falsifies or forges the revocation or amendment of an advance directive of
another, and who thereby causes life-prolonging procedures to be utilized
in contravention of the previously expressed intent of the principal,
commits a felony of the third degree, punishable as provided in s. 775.082,
s. 775.083, or s. 775.084.

(2) Any person who falsifies or forges the advance directive of another
or who willfully conceals or withholds personal knowledge of the
revocation of an advance directive, with the intent to cause a withholding
or withdrawal of life-prolonging procedures contrary to the wishes of the
principal, and who thereby because of such act directly causes life-
prolonging procedures to be withheld or withdrawn and death to be
hastened, commits a felony of the second degree, punishable as provided in
s. 775.082, s. 775.083, or s. 775.084.

HISTORY:
S. 4, ch. 92-199; s. 31, ch. 99-331.

Editors notes.
Former s. 765.310.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.112. 
Fla. Stat.  765.112

 765.112. Recognition of advance directive executed in another state.
An advance directive executed in another state in compliance with the law

of that state or of this state is validly executed for the purposes of this
chapter.

HISTORY:
S. 2, ch. 92-199.



 Title XLIV. ,  Ch. 765. ,  Pt. I. ,   765.113. 
Fla. Stat.  765.113

 765.113. Restrictions on providing consent.
Unless the principal expressly delegates such authority to the surrogate in

writing, or a surrogate or proxy has sought and received court approval
pursuant to rule 5.900 of the Florida Probate Rules, a surrogate or proxy may
not provide consent for:

(1) Abortion, sterilization, electroshock therapy, psychosurgery,
experimental treatments that have not been approved by a federally
approved institutional review board in accordance with 45 C.F.R. part 46
or 21 C.F.R. part 56, or voluntary admission to a mental health facility.

(2) Withholding or withdrawing life-prolonging procedures from a
pregnant patient prior to viability as defined in s. 390.0111(4).

HISTORY:
S. 2, ch. 92-199; s. 7, ch. 94-183; s. 87, ch. 99-3.



 Title XLIV. ,  Ch. 765. ,  Pt. II. 
Fla. Stat. Title XLIV, Ch. 765, Pt. II



PART II.
HEALTH CARE SURROGATE.

 Title XLIV. ,  Ch. 765. ,  Pt. II. ,   765.201. 
Fla. Stat.  765.201

 765.201. Short title.
Sections 765.202-765.205 may be cited as the Florida Health Care

Surrogate Act.

HISTORY:
S. 3, ch. 92-199.



 Title XLIV. ,  Ch. 765. ,  Pt. II. ,   765.202. 
Fla. Stat.  765.202

 765.202. Designation of a health care surrogate.
(1) A written document designating a surrogate to make health care

decisions for a principal or receive health information on behalf of a
principal, or both, shall be signed by the principal in the presence of two
subscribing adult witnesses. A principal unable to sign the instrument may,
in the presence of witnesses, direct that another person sign the principals
name as required herein. An exact copy of the instrument shall be provided
to the surrogate.

(2) The person designated as surrogate shall not act as witness to the
execution of the document designating the health care surrogate. At least
one person who acts as a witness shall be neither the principals spouse nor
blood relative.

(3) A document designating a health care surrogate may also designate
an alternate surrogate provided the designation is explicit. The alternate
surrogate may assume his or her duties as surrogate for the principal if the
original surrogate is not willing, able, or reasonably available to perform
his or her duties. The principals failure to designate an alternate surrogate
shall not invalidate the designation of a surrogate.

(4) If neither the designated surrogate nor the designated alternate
surrogate is willing, able, or reasonably available to make health care
decisions on behalf of the principal and in accordance with the principals
instructions, the health care facility may seek the appointment of a proxy
pursuant to part IV.

(5) A principal may designate a separate surrogate to consent to mental
health treatment in the event that the principal is determined by a court to
be incompetent to consent to mental health treatment and a guardian
advocate is appointed as provided under s. 394.4598. However, unless the
document designating the health care surrogate expressly states otherwise,
the court shall assume that the health care surrogate authorized to make
health care decisions under this chapter is also the principals choice to
make decisions regarding mental health treatment.

(6) A principal may stipulate in the document that the authority of the



surrogate to receive health information or make health care decisions, or
both, is exercisable immediately without the necessity for a determination
of incapacity as provided in s. 765.204.

(7) Unless the document states a time of termination, the designation
shall remain in effect until revoked by the principal.

(8) A written designation of a health care surrogate executed pursuant to
this section establishes a rebuttable presumption of clear and convincing
evidence of the principals designation of the surrogate.

HISTORY:
S. 3, ch. 92-199; s. 8, ch. 94-183; s. 49, ch. 96-169; s. 1797, ch. 97-102; s.

8, ch. 2015-153, effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. II. ,   765.203. 
Fla. Stat.  765.203

 765.203. Suggested form of designation.
A written designation of a health care surrogate executed pursuant to this

chapter may, but need not be, in the following form:

INSTRUCTIONS FOR HEALTH CARE
I authorize my health care surrogate to:
(Initial here) Receive any of my health information, whether oral or recorded
in any form or medium, that:
1. Is created or received by a health care provider, health care facility, health
plan, public health authority, employer, life insurer, school or university, or
health care clearinghouse; and
2. Relates to my past, present, or future physical or mental health or
condition; the provision of health care to me; or the past, present, or future
payment for the provision of health care to me.
I further authorize my health care surrogate to:
(Initial here) Make all health care decisions for me, which means he or she
has the authority to:
1. Provide informed consent, refusal of consent, or withdrawal of consent to
any and all of my health care, including life-prolonging procedures.
2. Apply on my behalf for private, public, government, or veterans benefits
to defray the cost of health care.



3. Access my health information reasonably necessary for the health care
surrogate to make decisions involving my health care and to apply for
benefits for me.
4. Decide to make an anatomical gift pursuant to part V of chapter 765,
Florida Statutes.
(Initial here) Specific instructions and restrictions:
____________________________________________________________________________________________________________________
____________________________________________________________________________________________________________________
While I have decisionmaking capacity, my wishes are controlling and my
physicians and health care providers must clearly communicate to me the
treatment plan or any change to the treatment plan prior to its
implementation.
To the extent I am capable of understanding, my health care surrogate shall
keep me reasonably informed of all decisions that he or she has made on my
behalf and matters concerning me.
THIS HEALTH CARE SURROGATE DESIGNATION IS NOT
AFFECTED BY MY SUBSEQUENT INCAPACITY EXCEPT AS
PROVIDED IN CHAPTER 765, FLORIDA STATUTES.
PURSUANT TO SECTION 765.104, FLORIDA STATUTES, I
UNDERSTAND THAT I MAY, AT ANY TIME WHILE I RETAIN MY
CAPACITY, REVOKE OR AMEND THIS DESIGNATION BY:
(1) SIGNING A WRITTEN AND DATED INSTRUMENT WHICH
EXPRESSES MY INTENT TO AMEND OR REVOKE THIS
DESIGNATION;
(2) PHYSICALLY DESTROYING THIS DESIGNATION THROUGH MY
OWN ACTION OR BY THAT OF ANOTHER PERSON IN MY
PRESENCE AND UNDER MY DIRECTION;
(3) VERBALLY EXPRESSING MY INTENTION TO AMEND OR
REVOKE THIS DESIGNATION; OR
(4) SIGNING A NEW DESIGNATION THAT IS MATERIALLY
DIFFERENT FROM THIS DESIGNATION.



MY HEALTH CARE SURROGATES AUTHORITY BECOMES
EFFECTIVE WHEN MY PRIMARY PHYSICIAN DETERMINES THAT I
AM UNABLE TO MAKE MY OWN HEALTH CARE DECISIONS
UNLESS I INITIAL EITHER OR BOTH OF THE FOLLOWING BOXES:
IF I INITIAL THIS BOX [____], MY HEALTH CARE SURROGATES
AUTHORITY TO RECEIVE MY HEALTH INFORMATION TAKES
EFFECT IMMEDIATELY.
IF I INITIAL THIS BOX [____], MY HEALTH CARE SURROGATES
AUTHORITY TO MAKE HEALTH CARE DECISIONS FOR ME TAKES
EFFECT IMMEDIATELY. PURSUANT TO SECTION 765.204(3),
FLORIDA STATUTES, ANY INSTRUCTIONS OR HEALTH CARE
DECISIONS I MAKE, EITHER VERBALLY OR IN WRITING, WHILE I
POSSESS CAPACITY SHALL SUPERSEDE ANY INSTRUCTIONS OR
HEALTH CARE DECISIONS MADE BY MY SURROGATE THAT ARE
IN MATERIAL CONFLICT WITH THOSE MADE BY ME.

HISTORY:
S. 3, ch. 92-199; s. 1145, ch. 97-102; s. 9, ch. 2000-295; s. 1, ch. 2008-223,

eff. July 1, 2008; s. 9, ch. 2015-153, effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. II. ,   765.2035. 
Fla. Stat.  765.2035

 765.2035. Designation of a health care surrogate for a minor.
(1) A natural guardian as defined in s. 744.301(1), legal custodian, or

legal guardian of the person of a minor may designate a competent adult to
serve as a surrogate to make health care decisions for the minor. Such
designation shall be made by a written document signed by the minors
principal in the presence of two subscribing adult witnesses. If a minors
principal is unable to sign the instrument, the principal may, in the
presence of witnesses, direct that another person sign the minors
principals name as required by this subsection. An exact copy of the
instrument shall be provided to the surrogate.

(2) The person designated as surrogate may not act as witness to the
execution of the document designating the health care surrogate.

(3) A document designating a health care surrogate may also designate
an alternate surrogate; however, such designation must be explicit. The
alternate surrogate may assume his or her duties as surrogate if the original
surrogate is not willing, able, or reasonably available to perform his or her
duties. The minors principals failure to designate an alternate surrogate
does not invalidate the designation.

(4) If neither the designated surrogate or the designated alternate
surrogate is willing, able, or reasonably available to make health care
decisions for the minor on behalf of the minors principal and in
accordance with the minors principals instructions, s. 743.0645(2) shall
apply as if no surrogate had been designated.

(5) A natural guardian as defined in s. 744.301(1), legal custodian, or
legal guardian of the person of a minor may designate a separate surrogate
to consent to mental health treatment for the minor. However, unless the
document designating the health care surrogate expressly states otherwise,
the court shall assume that the health care surrogate authorized to make
health care decisions for a minor under this chapter is also the minors
principals choice to make decisions regarding mental health treatment for
the minor.

(6) Unless the document states a time of termination, the designation



shall remain in effect until revoked by the minors principal. An otherwise
valid designation of a surrogate for a minor shall not be invalid solely
because it was made before the birth of the minor.

(7) A written designation of a health care surrogate executed pursuant to
this section establishes a rebuttable presumption of clear and convincing
evidence of the minors principals designation of the surrogate and
becomes effective pursuant to s. 743.0645(2)(a).

HISTORY:
S. 10, ch. 2015-153, effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. II. ,   765.2038. 
Fla. Stat.  765.2038

 765.2038. Designation of health care surrogate for a minor; suggested
form.

A written designation of a health care surrogate for a minor executed
pursuant to this chapter may, but need not, be in the following form:

DESIGNATION OF HEALTH CARE SURROGATE FOR MINOR
I/We, __________, the [____] natural guardian(s) as defined

in s. 744.301(1), Florida Statutes; [____] legal custodian(s);
[____] legal guardian(s) [check one] of the following minor(s):

________________;
________________;
________________,
pursuant to s. 765.2035, Florida Statutes, designate the

following person to act as my/our surrogate for health care
decisions for such minor(s) in the event that I/we am/are not able
or reasonably available to provide consent for medical treatment
and surgical and diagnostic procedures:

Name: (name)
Address: (address)
Zip Code: (zip code)
Phone: (telephone)
If my/our designated health care surrogate for a minor is not

willing, able, or reasonably available to perform his or her
duties, I/we designate the following person as my/our alternate
health care surrogate for a minor:



Name: (name)
Address: (address)
Zip Code: (zip code)
Phone: (telephone)
I/We authorize and request all physicians, hospitals, or other

providers of medical services to follow the instructions of
my/our surrogate or alternate surrogate, as the case may be, at
anytime and under any circumstances whatsoever, with regard to
medical treatment and surgical and diagnostic procedures for a
minor, provided the medical care and treatment of any minor is
on the advice of a licensed physician.

I/We fully understand that this designation will permit my/our
designee to make health care decisions for a minor and to
provide, withhold, or withdraw consent on my/our behalf, to
apply for public benefits to defray the cost of health care, and to
authorize the admission or transfer of a minor to or from a health
care facility.

I/We will notify and send a copy of this document to the
following person(s) other than my/our surrogate, so that they
may know the identity of my/our surrogate:

Name: (name)
Name: (name)
Signed:(signature)
Date:(date)
WITNESSES:
1. (witness)



2. (witness)
HISTORY:

S. 11, ch. 2015-153, effective October 1, 2015; s. 86, ch. 2016-10,
effective May 10, 2016.



 Title XLIV. ,  Ch. 765. ,  Pt. II. ,   765.204. 
Fla. Stat.  765.204

 765.204. Capacity of principal; procedure.
(1) A principal is presumed to be capable of making health care

decisions for herself or himself unless she or he is determined to be
incapacitated. While a principal has decisionmaking capacity, the
principals wishes are controlling. Each physician or health care provider
must clearly communicate to a principal with decisionmaking capacity the
treatment plan and any change to the treatment plan prior to
implementation of the plan or the change to the plan. Incapacity may not
be inferred from the persons voluntary or involuntary hospitalization for
mental illness or from her or his intellectual disability.

(2) If a principals capacity to make health care decisions for herself or
himself or provide informed consent is in question, the primary or
attending physician shall evaluate the principals capacity and, if the
evaluating physician concludes that the principal lacks capacity, enter that
evaluation in the principals medical record. If the evaluating physician has
a question as to whether the principal lacks capacity, another physician
shall also evaluate the principals capacity, and if the second physician
agrees that the principal lacks the capacity to make health care decisions or
provide informed consent, the health care facility shall enter both
physicians evaluations in the principals medical record. If the principal
has designated a health care surrogate or has delegated authority to make
health care decisions to an attorney in fact under a durable power of
attorney, the health care facility shall notify such surrogate or attorney in
fact in writing that her or his authority under the instrument has
commenced, as provided in chapter 709 or s. 765.203. If an attending
physician determines that the principal lacks capacity, the hospital in
which the attending physician made such a determination shall notify the
principals primary physician of the determination.

(3) The surrogates authority commences either upon a determination
under subsection (2) that the principal lacks capacity or upon a stipulation
of such authority pursuant to s. 765.101(21). Such authority remains in
effect until a determination that the principal has regained such capacity, if
the authority commenced as a result of incapacity, or until the authority is



revoked, if the authority commenced immediately pursuant to s.
765.101(21). Upon commencement of the surrogates authority, a
surrogate who is not the principals spouse shall notify the principals
spouse or adult children of the principals designation of the surrogate.
Except if the principal provided immediately exercisable authority to the
surrogate pursuant to s. 765.101(21), in the event that the primary or
attending physician determines that the principal has regained capacity, the
authority of the surrogate shall cease, but recommences if the principal
subsequently loses capacity as determined pursuant to this section. A
health care provider is not liable for relying upon health care decisions
made by a surrogate while the principal lacks capacity. At any time when a
principal lacks capacity, a health care decision made on the principals
behalf by a surrogate is effective to the same extent as a decision made by
the principal. If a principal possesses capacity, health care decisions of the
principal take precedence over decisions made by the surrogate that present
a material conflict.

(4) Notwithstanding subsections (2) and (3), if the principal has
designated a health care surrogate and has stipulated that the authority of
the surrogate is to take effect immediately, or has appointed an agent under
a durable power of attorney as provided in chapter 709 to make health care
decisions for the principal, the health care facility shall notify such
surrogate or agent in writing when a determination of incapacity has been
entered into the principals medical record.

(5) A determination made pursuant to this section that a principal lacks
capacity to make health care decisions shall not be construed as a finding
that a principal lacks capacity for any other purpose.

(6) If the surrogate is required to consent to withholding or withdrawing
life-prolonging procedures, part III applies.

HISTORY:
S. 3, ch. 92-199; s. 1146, ch. 97-102; s. 22, ch. 99-331; s. 10, ch. 2000-295;

s. 23, ch. 2013-162, eff. July 1, 2013; s. 12, ch. 2015-153, effective October
1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. II. ,   765.205. 
Fla. Stat.  765.205

 765.205. Responsibility of the surrogate.
(1) The surrogate, in accordance with the principals instructions, unless

such authority has been expressly limited by the principal, shall:
(a) Have authority to act for the principal and to make all health care

decisions for the principal during the principals incapacity.
(b) Consult expeditiously with appropriate health care providers to provide

informed consent, and make only health care decisions for the principal
which he or she believes the principal would have made under the
circumstances if the principal were capable of making such decisions. If there
is no indication of what the principal would have chosen, the surrogate may
consider the patients best interest in deciding that proposed treatments are to
be withheld or that treatments currently in effect are to be withdrawn.

(c) Provide written consent using an appropriate form whenever consent is
required, including a physicians order not to resuscitate.

(d) Be provided access to the appropriate health information of the
principal.

(e) Apply for public benefits, such as Medicare and Medicaid, for the
principal and have access to information regarding the principals income and
assets and banking and financial records to the extent required to make
application. A health care provider or facility may not, however, make such
application a condition of continued care if the principal, if capable, would
have refused to apply.

(2) The surrogate may authorize the release of health information to
appropriate persons to ensure the continuity of the principals health care
and may authorize the admission, discharge, or transfer of the principal to
or from a health care facility or other facility or program licensed under
chapter 400 or chapter 429.

(3) If, after the appointment of a surrogate, a court appoints a guardian,
the surrogate shall continue to make health care decisions for the principal,
unless the court has modified or revoked the authority of the surrogate
pursuant to s. 744.3115. The surrogate may be directed by the court to



report the principals health care status to the guardian.

HISTORY:
S. 3, ch. 92-199; s. 9, ch. 94-183; s. 50, ch. 96-169; s. 23, ch. 99-331; s. 11,

ch. 2000-295; s. 6, ch. 2001-250; s. 135, ch. 2001-277; s. 106, ch. 2006-197,
eff. July 1, 2006; s. 13, ch. 2015-153, effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. III. 
Fla. Stat. Title XLIV, Ch. 765, Pt. III



PART III.
LIFE-PROLONGING PROCEDURES.

 Title XLIV. ,  Ch. 765. ,  Pt. III. ,   765.301. 
Fla. Stat.  765.301

 765.301. Short title.
Sections 765.302-765.309 may be cited as the Life-Prolonging Procedure

Act of Florida.

HISTORY:
S. 4, ch. 92-199; s. 24, ch. 99-331.



 Title XLIV. ,  Ch. 765. ,  Pt. III. ,   765.302. 
Fla. Stat.  765.302

 765.302. Procedure for making a living will; notice to physician.
(1) Any competent adult may, at any time, make a living will or written

declaration and direct the providing, withholding, or withdrawal of life-
prolonging procedures in the event that such person has a terminal
condition, has an end-stage condition, or is in a persistent vegetative state.
A living will must be signed by the principal in the presence of two
subscribing witnesses, one of whom is neither a spouse nor a blood relative
of the principal. If the principal is physically unable to sign the living will,
one of the witnesses must subscribe the principals signature in the
principals presence and at the principals direction.

(2) It is the responsibility of the principal to provide for notification to
her or his primary physician that the living will has been made. In the
event the principal is physically or mentally incapacitated at the time the
principal is admitted to a health care facility, any other person may notify
the physician or health care facility of the existence of the living will. A
primary physician or health care facility which is so notified shall promptly
make the living will or a copy thereof a part of the principals medical
records.

(3) A living will, executed pursuant to this section, establishes a
rebuttable presumption of clear and convincing evidence of the principals
wishes.

HISTORY:
S. 4, ch. 92-199; s. 1147, ch. 97-102; s. 25, ch. 99-331; s. 14, ch. 2015-153,

effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. III. ,   765.303. 
Fla. Stat.  765.303

 765.303. Suggested form of a living will.
(1) A living will may, BUT NEED NOT, be in the following form:

Living Will
Declaration made this ____ day of __________,(year), I,
________________, willfully and voluntarily make known my desire that my
dying not be artificially prolonged under the circumstances set forth below,
and I do hereby declare that, if at any time I am incapacitated and
(initial) I have a terminal condition
or (initial) I have an end-stage condition
or (initial) I am in a persistent vegetative state
and if my primary physician and another consulting physician have
determined that there is no reasonable medical probability of my recovery
from such condition, I direct that life-prolonging procedures be withheld or
withdrawn when the application of such procedures would serve only to
prolong artificially the process of dying, and that I be permitted to die
naturally with only the administration of medication or the performance of
any medical procedure deemed necessary to provide me with comfort care or
to alleviate pain.
It is my intention that this declaration be honored by my family and physician
as the final expression of my legal right to refuse medical or surgical
treatment and to accept the consequences for such refusal.
In the event that I have been determined to be unable to provide express and
informed consent regarding the withholding, withdrawal, or continuation of
life-prolonging procedures, I wish to designate, as my surrogate to carry out
the provisions of this declaration:

I understand the full import of this declaration, and I am emotionally and



mentally competent to make this declaration.
Additional Instructions (optional):

(2) The principals failure to designate a surrogate shall not invalidate
the living will.

HISTORY:
S. 4, ch. 92-199; s. 35, ch. 99-6; s. 26, ch. 99-331; s. 12, ch. 2000-295; s.

15, ch. 2015-153, effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. III. ,   765.304. 
Fla. Stat.  765.304

 765.304. Procedure for living will.
(1) If a person has made a living will expressing his or her desires

concerning life-prolonging procedures, but has not designated a surrogate
to execute his or her wishes concerning life-prolonging procedures or
designated a surrogate under part II, the persons primary physician may
proceed as directed by the principal in the living will. In the event of a
dispute or disagreement concerning the primary physicians decision to
withhold or withdraw life-prolonging procedures, the primary physician
shall not withhold or withdraw life-prolonging procedures pending review
under s. 765.105. If a review of a disputed decision is not sought within 7
days following the primary physicians decision to withhold or withdraw
life-prolonging procedures, the primary physician may proceed in
accordance with the principals instructions.

(2) Before proceeding in accordance with the principals living will, it
must be determined that:
(a) The principal does not have a reasonable medical probability of

recovering capacity so that the right could be exercised directly by the
principal.

(b) The principal has a terminal condition, has an end-stage condition, or is
in a persistent vegetative state.

(c) Any limitations or conditions expressed orally or in a written
declaration have been carefully considered and satisfied.

HISTORY:
S. 4, ch. 92-199; s. 10, ch. 94-183; s. 27, ch. 99-331; s. 16, ch. 2015-153,

effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. III. ,   765.305. 
Fla. Stat.  765.305

 765.305. Procedure in absence of a living will.
(1) In the absence of a living will, the decision to withhold or withdraw

life-prolonging procedures from a patient may be made by a health care
surrogate designated by the patient pursuant to part II unless the
designation limits the surrogates authority to consent to the withholding or
withdrawal of life-prolonging procedures.

(2) Before exercising the incompetent patients right to forego treatment,
the surrogate must be satisfied that:
(a) The patient does not have a reasonable medical probability of

recovering capacity so that the right could be exercised by the patient.
(b) The patient has an end-stage condition, the patient is in a persistent

vegetative state, or the patients physical condition is terminal.

HISTORY:
S. 4, ch. 92-199; s. 28, ch. 99-331; s. 13, ch. 2000-295.



 Title XLIV. ,  Ch. 765. ,  Pt. III. ,   765.306. 
Fla. Stat.  765.306

 765.306. Determination of patient condition.
In determining whether the patient has a terminal condition, has an end-

stage condition, or is in a persistent vegetative state or may recover capacity,
or whether a medical condition or limitation referred to in an advance
directive exists, the patients primary physician and at least one other
consulting physician must separately examine the patient. The findings of
each such examination must be documented in the patients medical record
and signed by each examining physician before life-prolonging procedures
may be withheld or withdrawn.

HISTORY:
S. 4, ch. 92-199; s. 13, ch. 94-183; s. 29, ch. 99-331; s. 14, ch. 2000-295; s.

17, ch. 2015-153, effective October 1, 2015.



 Title XLIV. ,  Ch. 765. ,  Pt. III. ,   765.309. 
Fla. Stat.  765.309

 765.309. Mercy killing or euthanasia not authorized; suicide
distinguished.
(1) Nothing in this chapter shall be construed to condone, authorize, or

approve mercy killing or euthanasia, or to permit any affirmative or
deliberate act or omission to end life other than to permit the natural
process of dying.

(2) The withholding or withdrawal of life-prolonging procedures from a
patient in accordance with any provision of this chapter does not, for any
purpose, constitute a suicide.

HISTORY:
S. 4, ch. 92-199.



 Title XLIV. ,  Ch. 765. ,  Pt. IV. 
Fla. Stat. Title XLIV, Ch. 765, Pt. IV



PART IV.
ABSENCE OF ADVANCE DIRECTIVE.

 Title XLIV. ,  Ch. 765. ,  Pt. IV. ,   765.401. 
Fla. Stat.  765.401

 765.401. The proxy.
(1) If an incapacitated or developmentally disabled patient has not

executed an advance directive, or designated a surrogate to execute an
advance directive, or the designated or alternate surrogate is no longer
available to make health care decisions, health care decisions may be made
for the patient by any of the following individuals, in the following order
of priority, if no individual in a prior class is reasonably available, willing,
or competent to act:
(a) The judicially appointed guardian of the patient or the guardian

advocate of the person having a developmental disability as defined in s.
393.063, who has been authorized to consent to medical treatment, if such
guardian has previously been appointed; however, this paragraph shall not be
construed to require such appointment before a treatment decision can be
made under this subsection;

(b) The patients spouse;
(c) An adult child of the patient, or if the patient has more than one adult

child, a majority of the adult children who are reasonably available for
consultation;

(d) A parent of the patient;
(e) The adult sibling of the patient or, if the patient has more than one

sibling, a majority of the adult siblings who are reasonably available for
consultation;

(f) An adult relative of the patient who has exhibited special care and
concern for the patient and who has maintained regular contact with the
patient and who is familiar with the patients activities, health, and religious
or moral beliefs; or

(g) A close friend of the patient.



(h) A clinical social worker licensed pursuant to chapter 491, or who is a
graduate of a court-approved guardianship program. Such a proxy must be
selected by the providers bioethics committee and must not be employed by
the provider. If the provider does not have a bioethics committee, then such a
proxy may be chosen through an arrangement with the bioethics committee
of another provider. The proxy will be notified that, upon request, the
provider shall make available a second physician, not involved in the
patients care to assist the proxy in evaluating treatment. Decisions to
withhold or withdraw life-prolonging procedures will be reviewed by the
facilitys bioethics committee. Documentation of efforts to locate proxies
from prior classes must be recorded in the patient record.

(2) Any health care decision made under this part must be based on the
proxys informed consent and on the decision the proxy reasonably
believes the patient would have made under the circumstances. If there is
no indication of what the patient would have chosen, the proxy may
consider the patients best interest in deciding that proposed treatments are
to be withheld or that treatments currently in effect are to be withdrawn.

(3) Before exercising the incapacitated patients rights to select or
decline health care, the proxy must comply with the provisions of ss.
765.205 and 765.305, except that a proxys decision to withhold or
withdraw life-prolonging procedures must be supported by clear and
convincing evidence that the decision would have been the one the patient
would have chosen had the patient been competent or, if there is no
indication of what the patient would have chosen, that the decision is in the
patients best interest.

(4) Nothing in this section shall be construed to preempt the designation
of persons who may consent to the medical care or treatment of minors
established pursuant to s. 743.0645.

HISTORY:
S. 5, ch. 92-199; s. 12, ch. 94-183; s. 32, ch. 99-331; s. 15, ch. 2000-295; s.

7, ch. 2001-250; s. 136, ch. 2001-277; s. 13, ch. 2002-195; s. 5, ch. 2003-57.



 Title XLIV. ,  Ch. 765. ,  Pt. IV. ,   765.404. 
Fla. Stat.  765.404

 765.404. Persistent vegetative state.
For persons in a persistent vegetative state, as determined by the persons

primary physician in accordance with currently accepted medical standards,
who have no advance directive and for whom there is no evidence indicating
what the person would have wanted under such conditions, and for whom,
after a reasonably diligent inquiry, no family or friends are available or
willing to serve as a proxy to make health care decisions for them, life-
prolonging procedures may be withheld or withdrawn under the following
conditions:

(1) The person has a judicially appointed guardian representing his or
her best interest with authority to consent to medical treatment; and

(2) The guardian and the persons primary physician, in consultation
with the medical ethics committee of the facility where the patient is
located, conclude that the condition is permanent and that there is no
reasonable medical probability for recovery and that withholding or
withdrawing life-prolonging procedures is in the best interest of the
patient. If there is no medical ethics committee at the facility, the facility
must have an arrangement with the medical ethics committee of another
facility or with a community-based ethics committee approved by the
Florida Bio-ethics Network. The ethics committee shall review the case
with the guardian, in consultation with the persons primary physician, to
determine whether the condition is permanent and there is no reasonable
medical probability for recovery. The individual committee members and
the facility associated with an ethics committee shall not be held liable in
any civil action related to the performance of any duties required in this
subsection.

HISTORY:
S. 33, ch. 99-331; s. 18, ch. 2015-153, effective October 1, 2015.

Editors notes.
One-time stay. Section 1, ch. 2003-418 provides: (1) The Governor



shall have the authority to issue a one-time stay to prevent the withholding of
nutrition and hydration from a patient if, as of October 15, 2003: (a) That
patient has no written advance directive; (b) The court has found that patient
to be in a persistent vegetative state; (c) That patient has had nutrition and
hydration withheld; and (d) A member of that patients family has challenged
the withholding of nutrition and hydration. (2) The Governors authority to
issue the stay expires 15 days after the effective date of this act [October 21,
2003], and the expiration of that authority does not impact the validity or the
effect of any stay issued pursuant to this act. The Governor may lift the stay
authorized under this act at any time. A person may not be held civilly liable
and is not subject to regulatory or disciplinary sanctions for taking any action
to comply with a stay issued by the Governor pursuant to this act. (3) Upon
the issuance of a stay, the chief judge of the circuit court shall appoint a
guardian ad litem for the patient to make recommendations to the Governor
and the court.



 Title XLIV. ,  Ch. 765. ,  Pt. V. 
Fla. Stat. Title XLIV, Ch. 765, Pt. V



PART V.
ANATOMICAL GIFTS.

 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.510. 
Fla. Stat.  765.510

 765.510. Legislative declaration.
Because of the rapid medical progress in the fields of tissue and organ

preservation, transplantation of tissue, and tissue culture, and because it is in
the public interest to aid the medical developments in these fields, the
Legislature in enacting this part intends to encourage and aid the
development of reconstructive medicine and surgery and the development of
medical research by facilitating premortem and postmortem authorizations
for donations of tissue and organs. It is the purpose of this part to regulate the
gift of a body or parts of a body, the gift to be made after the death of a
donor.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 3, ch. 84-264; s. 60, ch. 2001-226.

Editors notes.
Created from former s. 736.21; s. 732.910.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.511. 
Fla. Stat.  765.511

 765.511. Definitions.
As used in this part, the term:

(1) Agency means the Agency for Health Care Administration.
(2) Anatomical gift or gift means a donation of all or part of a

human body to take effect after the donors death and to be used for
transplantation, therapy, research, or education.

(3) Bank or storage facility means a facility licensed, accredited, or
approved under the laws of any state for storage of human bodies or body
parts.

(4) Death means the absence of life as determined, in accordance with
currently accepted medical standards, by the irreversible cessation of all
respiration and circulatory function, or as determined, in accordance with
s. 382.009, by the irreversible cessation of the functions of the entire brain,
including the brain stem.

(5) Decedent means a deceased individual whose body or body parts
may be, or are, the source of an anatomical gift.

(6) Department means the Department of Highway Safety and Motor
Vehicles.

(7) Disinterested witness means a witness other than a person listed in
s. 765.512(3) or other family member.

(8) Document of gift means any of the documents or mechanisms used
in making an anatomical gift under s. 765.514.

(9) Donor means an individual who makes an anatomical gift of all or
part of his or her body.

(10) Donor registry means a database that contains records of
anatomical gifts and amendments to, or revocations of, such gifts.

(11) Eye bank means an entity that is accredited by the Eye Bank
Association of America or otherwise regulated under federal or state law to
engage in the retrieval, screening, testing, processing, storage, or



distribution of human eye tissue.
(12) Guardian means a person appointed pursuant to chapter 744. The

term does not include a guardian ad litem.
(13) Hospital means a hospital licensed, accredited, or approved under

the laws of any state and includes a hospital operated by the United States
Government or a state, or a subdivision thereof, although not required to be
licensed under state laws.

(14) Identification card means an official identification card issued by
a governmental entity, state agency, or subdivision thereof.

(15) Organ procurement organization means an entity that is
designated as an organ procurement organization by the Secretary of the
United States Department of Health and Human Services and that engages
in the retrieval, screening, testing, processing, storage, or distribution of
human organs.

(16) Part of the body or body part means an organ, eye, or tissue of
a human being. The term does not include the whole body.

(17) Physician or surgeon means a physician or surgeon licensed to
practice under chapter 458 or chapter 459 or similar laws of any state.
Surgeon includes dental or oral surgeon.

(18) Procurement means any retrieval, recovery, processing, storage,
or distribution of human organs or tissues for transplantation, therapy,
research, or education.

(19) Procurement organization means an organ procurement
organization, eye bank, or tissue bank.

(20) Reasonably available means able to be contacted by a
procurement organization in a timely manner without undue effort, and
willing and able to act in a manner consistent with existing medical
protocols necessary for the making of an anatomical gift.

(21) Record means information that is inscribed on a tangible medium
or that is stored in an electronic or other medium and is retrievable in
perceivable form.

(22) Sign or signed means, with the present intent to authenticate or



adopt a record, to execute or adopt a tangible symbol, or attach to or
logically associate an electronic symbol, sound, or process with the record.

(23) Tissue bank means an entity that is accredited by the American
Association of Tissue Banks or otherwise regulated under federal or state
law to engage in the retrieval, screening, testing, processing, storage, or
distribution of human tissue.

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 973, ch. 97-102; s. 5, ch. 98-68; s.

61, ch. 2001-226; s. 1, ch. 2009-218, eff. July 1, 2009.

Editors notes.
Created from former s. 736.22; s. 732.911.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.512. 
Fla. Stat.  765.512

 765.512. Persons who may make an anatomical gift.
(1) Any person who may make a will may make an anatomical gift of

his or her body.
(a) If the decedent makes an anatomical gift by one of the methods listed in

s. 765.514(1), and in the absence of actual notice of contrary indications by
the decedent, the document or entry in the donor registry is legally sufficient
evidence of the decedents informed consent to donate an anatomical gift.

(b) An anatomical gift made by a qualified donor and not revoked by the
donor, as provided in s. 765.516, is irrevocable after the donors death. A
family member, guardian, representative ad litem, or health care surrogate
may not modify, deny, or prevent a donors wish or intent to make an
anatomical gift after the donors death.

(2) A health care surrogate designated by the decedent pursuant to part
II of this chapter may give all or any part of the decedents body for any
purpose specified in s. 765.513 absent actual notice of contrary indications
by the decedent.

(3) If the decedent has not made an anatomical gift or designated a
health surrogate, a member of one of the classes of persons listed below, in
the order of priority listed and in the absence of actual notice of contrary
indications by the decedent or actual notice of opposition by a member of a
prior class, may give all or any part of the decedents body for any purpose
specified in s. 765.513:
(a) The spouse of the decedent;
(b) An adult son or daughter of the decedent;
(c) Either parent of the decedent;
(d) An adult brother or sister of the decedent;
(e) An adult grandchild of the decedent;
(f) A grandparent of the decedent;
(g) A close personal friend, as defined in s. 765.101;



(h) A guardian of the person of the decedent at the time of his or her death;
or

(i) A representative ad litem appointed by a court of competent
jurisdiction upon a petition heard ex parte filed by any person, who
shall ascertain that no person of higher priority exists who objects to
the gift of all or any part of the decedents body and that no evidence
exists of the decedents having made a communication expressing a
desire that his or her body or body parts not be donated upon death.

Those of higher priority who are reasonably available must be contacted
and made aware of the proposed gift and a reasonable search must be
conducted which shows that there would have been no objection to the gift
by the decedent.

(4) A donee may not accept an anatomical gift if the donee has actual
notice of contrary indications by the donor or actual notice that an
anatomical gift by a member of a class is opposed by a member of a prior
class.

(5) The person authorized by subsection (3) may make the anatomical
gift after the decedents death or immediately before the decedents death.

(6) An anatomical gift authorizes:
(a) Any examination necessary to assure medical acceptability of the gift

for the purposes intended.
(b) The decedents medical provider, family, or a third party to furnish

medical records requested concerning the decedents medical and social
history.

(7) Once the anatomical gift has been made, the rights of the donee are
paramount to the rights of others, except as provided by s. 765.517.

HISTORY:
S. 1, ch. 74-106; s. 45, ch. 75-220; s. 4, ch. 84-264; s. 62, ch. 85-62; s. 5,

ch. 95-423; s. 974, ch. 97-102; s. 6, ch. 98-68; s. 12, ch. 99-331; s. 62, ch.
2001-226; s. 2, ch. 2003-46; s. 2, ch. 2008-223, eff. July 1, 2008; s. 2, ch.
2009-218, eff. July 1, 2009.



Editors notes.
Section 1, ch. 2003-46, provides: This act may be cited as the  Nick

Oelrich Gift of Life Act. 
Created from former s. 736.23; s. 732.912.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.513. 
Fla. Stat.  765.513

 765.513. Donees; purposes for which anatomical gifts may be made.
(1) The following persons or entities may become donees of anatomical

gifts of bodies or parts of them for the purposes stated:
(a) Any procurement organization or accredited medical or dental school,

college, or university for education, research, therapy, or transplantation.
(b) Any individual specified by name for therapy or transplantation needed

by him or her.
(c) The anatomical board or a nontransplant anatomical donation

organization, as defined in s. 406.49, for donation of the whole body for
medical or dental education or research.

(2) If multiple purposes are set forth in the document of gift but are not
set forth in any priority order, the anatomical gift shall be used first for
transplantation or therapy, if suitable. If the gift cannot be used for
transplantation or therapy, the gift may be used for research or education.

(3) The Legislature declares that the public policy of this state prohibits
restrictions on the possible recipients of an anatomical gift on the basis of
race, color, religion, gender, national origin, age, physical disability, health
status, marital status, or economic status, and such restrictions are void and
unenforceable.

HISTORY:
S. 1, ch. 74-106; s. 45, ch. 75-220; s. 1, ch. 94-305; s. 975, ch. 97-102; s. 7,

ch. 98-68; s. 63, ch. 2001-226; s. 3, ch. 2009-218, eff. July 1, 2009; s. 20, ch.
2013-138, eff. July 1, 2013.

Editors notes.
Created from former s. 736.24; s. 732.913.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.514. 
Fla. Stat.  765.514

 765.514. Manner of making anatomical gifts.
(1) A person may make an anatomical gift of all or part of his or her

body under s. 765.512(1) by:
(a) Signing an organ and tissue donor card.
(b) Registering online with the donor registry.
(c) Signifying an intent to donate on his or her driver license or

identification card issued by the department. Revocation, suspension,
expiration, or cancellation of the driver license or identification card does not
invalidate the gift.

(d) Expressing a wish to donate in a living will or other advance directive.
(e) Executing a will that includes a provision indicating that the testator

wishes to make an anatomical gift. The gift becomes effective upon the death
of the testator without waiting for probate. If the will is not probated or if it is
declared invalid for testamentary purposes, the gift is nevertheless valid to the
extent that it has been acted upon in good faith.

(f) Expressing a wish to donate in a document other than a will. The
document must be signed by the donor in the presence of two witnesses who
shall sign the document in the donors presence. If the donor cannot sign, the
document may be signed for him or her at the donors direction and in his or
her presence and the presence of two witnesses who must sign the document
in the donors presence. Delivery of the document of gift during the donors
lifetime is not necessary to make the gift valid. The following form of written
document is sufficient for any person to make an anatomical gift for the
purposes of this part:

UNIFORM DONOR CARD
The undersigned hereby makes this anatomical gift, if medically

acceptable, to take effect on death. The words and marks below indicate my
desires:

I give:



(a) _________ any needed organs, tissues, or eyes;
(b) _________ only the following organs, tissues, or eyes

[Specify the organs, tissues, or eyes]
for the purpose of transplantation, therapy, medical research, or education;
(c) _________ my body for anatomical study if needed. Limitations or

special wishes, if any:
(If applicable, list specific donee; 

this must be arranged in advance with the donee.)
Signed by the donor and the following witnesses in the presence of each
other:
(Signature of donor)    (Date of birth of donor)
(Date signed)    (City and State)
(Witness)    (Witness)
(Address)    (Address)

(2) The anatomical gift may be made to a donee listed in s. 765.513, and
the donee may be specified by name.

(3) Any anatomical gift by a health care surrogate designated by the
decedent pursuant to part II of this chapter or a member of a class
designated in s. 765.512(3) must be made by a document signed by that
person or made by that persons witnessed telephonic discussion,
telegraphic message, or other recorded message.

HISTORY:
S. 1, ch. 74-106; s. 45, ch. 75-220; s. 1, ch. 83-171; s. 2, ch. 94-305; s. 6,

ch. 95-423; s. 976, ch. 97-102; s. 8, ch. 98-68; s. 13, ch. 99-331; s. 64, ch.
2001-226; s. 3, ch. 2008-223, eff. July 1, 2008; s. 4, ch. 2009-218, eff. July 1,
2009.

Editors notes.
Created from former s. 736.25; s. 732.914.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.515. 
Fla. Stat.  765.515

 765.515. Delivery of donor document.
(1) If an anatomical gift is made pursuant to s. 765.521, the completed

donor registration card shall be delivered to the department, and the
department must communicate the donors intent to the donor registry, but
delivery is not necessary to the validity of the gift. If the donor withdraws
the gift, the records of the department must be updated to reflect such
withdrawal, and the department must communicate the withdrawal to the
donor registry for the purpose of updating the registry.

(2) If an anatomical gift is made by the donor to a specified donee, the
document of gift, other than a will, may be delivered to the donee to
expedite the appropriate procedures immediately after death, but delivery
is not necessary to the validity of the gift. The document of gift may be
deposited in any hospital, bank, storage facility, or registry office that
accepts such documents for safekeeping or to facilitate the donation of
organs and tissue after death.

(3) At the request of any interested party upon or after the donors death,
the person in possession shall produce the document of gift for
examination.

HISTORY:
S. 1, ch. 74-106; s. 45, ch. 75-220; s. 2, ch. 83-171; s. 1, ch. 87-372; s. 7,

ch. 95-423; s. 33, ch. 96-418; s. 9, ch. 98-68; s. 65, ch. 2001-226; s. 17, ch.
2008-9, eff. July 1, 2008; s. 4, ch. 2008-223, eff. July 1, 2008; s. 5, ch. 2009-
218, eff. July 1, 2009.

Editors notes.
Created from former s. 736.26; s. 732.915.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.5155. 
Fla. Stat.  765.5155

 765.5155. Donor registry; education program.
(1) The Legislature finds that:

(a) There is a shortage of organ and tissue donors in this state willing to
provide the organs and tissue that could save lives or enhance the quality of
life for many persons.

(b) There is a need to encourage the various minority populations of this
state to donate organs and tissue.

(c) A statewide donor registry having an online donor registration process
coupled with an enhanced program of donor education will lead to an
increase in the number of organ and tissue donors registered in this state, thus
affording more persons who are awaiting organ or tissue transplants the
opportunity for a full and productive life.

(2) The agency and the department shall jointly contract for the
operation of a donor registry and education program. The contractor shall
be procured by competitive solicitation pursuant to chapter 287,
notwithstanding an exemption under s. 287.057(3)(e). When awarding the
contract, priority shall be given to existing nonprofit groups that are based
within the state, have expertise working with procurement organizations,
have expertise in conducting statewide organ and tissue donor public
education campaigns, and represent the needs of the organ and tissue
donation community in the state.

(3) The contractor shall be responsible for:
(a) The development, implementation, and maintenance of an interactive

web-based donor registry that, through electronic means, allows for online
organ donor registration and the recording of organ and tissue donation
records submitted through the driver license identification program or
through other sources.

1. The registry must be maintained in a manner that allows, through
electronic and telephonic methods, immediate access to organ and tissue
donation records 24 hours a day, 7 days a week.



2. Access to the registry must be through coded and secure means to
protect the integrity of the data in the registry.

(b) A continuing program to educate and inform medical professionals, law
enforcement agencies and officers, other state and local government
employees, high school students, minorities, and the public about the laws of
this state relating to anatomical gifts and the need for anatomical gifts.

1. Existing community resources, when available, must be used to support
the program and volunteers may assist the program to the maximum extent
possible.

2. The contractor shall coordinate with the head of a state agency or other
political subdivision of the state, or his or her designee, to establish
convenient times, dates, and locations for educating that entitys employees.

(c) Preparing and submitting an annual written report to the agency by
December 31 of each year. The report must include:

1. The number of donors on the registry and an analysis of the registration
rates by location and method of donation;

2. The characteristics of donors as determined from registry information
submitted directly by the donors or by the department;

3. The annual dollar amount of voluntary contributions received by the
contractor;

4. A description of the educational campaigns and initiatives implemented
during the year and an evaluation of their effectiveness in increasing
enrollment on the registry; and

5. An analysis of Floridas registry compared with other states donor
registries.

(4) Costs for the donor registry and education program shall be paid by
the agency from the funds deposited into the Health Care Trust Fund
pursuant to ss. 320.08047 and 322.08, which are designated for
maintaining the donor registry and education program. In addition, the
contractor may receive and use voluntary contributions to help support the
registry and provide education.

(5) The donor registry established by this section is designated as the



Joshua Abbott Organ and Tissue Registry.

HISTORY:
S. 5, ch. 2008-223, eff. July 1, 2008; s. 6, ch. 2009-218, eff. July 1, 2009;

s. 40, ch. 2010-151, eff. July 1, 2010; s. 20, ch. 2013-154, eff. July 1, 2013.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.51551. 
Fla. Stat.  765.51551

 765.51551. Donor registry; public records exemption.
(1) Information held in the donor registry which identifies a donor is

confidential and exempt from s. 119.07(1) and s. 24(a), Art. I of the State
Constitution.

(2) Such information may be disclosed to the following:
(a) Procurement organizations that have been certified by the agency for

the purpose of ascertaining or effectuating the existence of a gift under s.
765.522.

(b) Persons engaged in bona fide research if the person agrees to:
1. Submit a research plan to the agency which specifies the exact nature of

the information requested and the intended use of the information;
2. Maintain the confidentiality of the records or information if personal

identifying information is made available to the researcher;
3. Destroy any confidential records or information obtained after the

research is concluded; and
4. Not directly or indirectly contact, for any purpose, any donor or donee.

HISTORY:
S. 1, ch. 2008-222, eff. July 1, 2008; s. 7, ch. 2009-218, eff. July 1, 2009;

s. 1, ch. 2013-65, eff. Oct. 1, 2013.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.516. 
Fla. Stat.  765.516

 765.516. Donor amendment or revocation of anatomical gift.
(1) A donor may amend the terms of or revoke an anatomical gift by:

(a) The execution and delivery to the donee of a signed statement
witnessed by at least two adults, at least one of whom is a disinterested
witness.

(b) An oral statement that is made in the presence of two persons, one of
whom is not a family member, and communicated to the donors family or
attorney or to the donee. An oral statement is effective only if the
procurement organization, transplant hospital, or physician or technician has
actual notice of the oral amendment or revocation before an incision is made
to the decedents body or an invasive procedure to prepare the recipient has
begun.

(c) A statement made during a terminal illness or injury addressed to the
primary physician, who must communicate the revocation of the gift to the
procurement organization.

(d) A signed document found on or about the donors person.
(e) Removing his or her name from the donor registry.
(f) A later-executed document of gift which amends or revokes a previous

anatomical gift or portion of an anatomical gift, either expressly or by
inconsistency.

(g) By the destruction or cancellation of the document of gift or the
destruction or cancellation of that portion of the document of gift used to
make the gift with the intent to revoke the gift.

(2) Any anatomical gift made by a will may also be amended or revoked
in the manner provided for the amendment or revocation of wills or as
provided in paragraph (1)(a).

HISTORY:
S. 1, ch. 74-106; s. 113, ch. 75-220; s. 3, ch. 83-171; s. 8, ch. 95-423; s.

977, ch. 97-102; s. 10, ch. 98-68; s. 66, ch. 2001-226; s. 3, ch. 2003-46; s. 6,



ch. 2008-223, eff. July 1, 2008; s. 8, ch. 2009-218, eff. July 1, 2009; s. 19, ch.
2015-153, effective October 1, 2015.

Editors notes.
Section 1, ch. 2003-46, provides: This act may be cited as the  Nick

Oelrich Gift of Life Act.
Created from former s. 736.27; s. 732.916.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.517. 
Fla. Stat.  765.517

 765.517. Rights and duties at death.
(1) The donee, pursuant to s. 765.515(2), may accept or reject an

anatomical gift. If the donee accepts a gift to be used for research or
education purposes, the donee may authorize embalming and the use of the
body in funeral services, subject to the terms of the gift. If the gift is of a
part of the body, the donee shall cause the part to be removed without
unnecessary mutilation upon the death of the donor and before or after
embalming. After removal of the body part, custody of the remainder of
the body vests in the surviving spouse, next of kin, or other persons under
obligation to dispose of the body.

(2) The time of death shall be determined by a physician who attends the
donor at the donors death or, if there is no such physician, the physician
who certifies the death. After death, those physicians or the donors
primary care physician may participate in, but may not obstruct, the
procedures to preserve the donors organs or tissues and may not be paid or
reimbursed for such participation, nor be associated with or employed by, a
procurement organization. These physicians may not participate in the
procedures for removing or transplanting a part. However, this subsection
does not prevent a physician from serving in a voluntary capacity on the
board of directors of a procurement organization or participating on any
board, council, commission, or similar body related to the organ and tissue
procurement system.

(3) The procurement organizations, or hospital medical professionals
under the direction thereof, may perform any and all tests to evaluate the
deceased as a potential donor and any invasive procedures on the deceased
body in order to preserve the potential donors organs. These procedures
do not include the surgical removal of an organ or penetrating any body
cavity, specifically for the purpose of donation, until:
(a) It has been verified that the deceaseds consent to donate appears in the

donor registry or a properly executed document of gift is located; or
(b) If a properly executed document of gift cannot be located or the

deceaseds consent is not listed in the donor registry, a person specified in s.



765.512(2) or (3) has been located, has been notified of the death, and has
granted legal permission for the donation.

(4) All reasonable additional expenses incurred in the procedures to
preserve the donors organs or tissues shall be reimbursed by the
procurement organization.

(5) A person who acts in good faith and without negligence in accord
with the terms of this part or under the anatomical gift laws of another state
or a foreign country, or attempts to do so, may not be subject to any civil
action for damages, may not be subject to any criminal proceeding, and
may not be subject to discipline, penalty, or liability in any administrative
proceeding.

(6) The provisions of this part are subject to the laws of this state
prescribing powers and duties with respect to autopsies.

(7) The person making an anatomical gift and the donors estate are not
liable for any injury or damages that result from the making or use of the
gift.

(8) In determining whether an anatomical gift has been made, amended,
or revoked under this part, a person may rely upon the representation of an
individual listed in s. 765.512, relating to the individuals relationship to
the donor or prospective donor, unless the person knows that the
representation is untrue.

HISTORY:
S. 1, ch. 74-106; s. 45, ch. 75-220; s. 4, ch. 83-171; s. 9, ch. 95-423; s. 978,

ch. 97-102; s. 14, ch. 99-331; s. 67, ch. 2001-226; s. 7, ch. 2008-223, eff. July
1, 2008; s. 9, ch. 2009-218, eff. July 1, 2009.

Editors notes.
Created from former s. 736.28; s. 732.917.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.518. 
Fla. Stat.  765.518

 765.518. Eye banks.
(1) Any state, county, district, or other public hospital may purchase and

provide the necessary facilities and equipment to establish and maintain an
eye bank for restoration of sight purposes.

(2) The Department of Education may have prepared, printed, and
distributed:
(a) A form document of gift for a gift of the eyes.
(b) An eye bank register consisting of the names of persons who have

executed documents for the gift of their eyes.
(c) Wallet cards reciting the document of gift.

HISTORY:
S. 1, ch. 74-106; s. 45, ch. 75-220; s. 462, ch. 77-147; s. 68, ch. 2001-226.

Editors notes.
Created from former s. 736.29; s. 732.918.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.5185. 
Fla. Stat.  765.5185

 765.5185. Corneal removal by medical examiners.
(1) In any case in which a patient is in need of corneal tissue for a

transplant, a district medical examiner or an appropriately qualified
designee with training in ophthalmologic techniques may, upon request of
any eye bank authorized under s. 765.518, provide the cornea of a decedent
whenever all of the following conditions are met:
(a) A decedent who may provide a suitable cornea for the transplant is

under the jurisdiction of the medical examiner and an autopsy is required in
accordance with s. 406.11.

(b) No objection by the next of kin of the decedent is known by the
medical examiner.

(c) The removal of the cornea will not interfere with the subsequent course
of an investigation or autopsy.

(2) Neither the district medical examiner nor the medical examiners
appropriately qualified designee nor any eye bank authorized under s.
765.518 may be held liable in any civil or criminal action for failure to
obtain consent of the next of kin.

HISTORY:
S. 1, ch. 77-172; s. 1, ch. 78-191; s. 979, ch. 97-102; s. 69, ch. 2001-226; s.

111, ch. 2002-1.

Editors notes.
Former s. 732.9185.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.519. 
Fla. Stat.  765.519

 765.519. Enucleation of eyes by licensed funeral directors.
With respect to a gift of an eye as provided for in this part, a licensed

funeral director as defined in chapter 497 who has completed a course in eye
enucleation and has received a certificate of competence from the Department
of Ophthalmology of the University of Florida School of Medicine, the
University of South Florida School of Medicine, or the University of Miami
School of Medicine may enucleate eyes for gift after proper certification of
death by a physician and in compliance with the intent of the gift as defined
in this chapter. No properly certified funeral director acting in accordance
with the terms of this part shall have any civil or criminal liability for eye
enucleation.

HISTORY:
S. 1, ch. 74-106; s. 45, ch. 75-220; s. 1, ch. 80-157; s. 70, ch. 2001-226; s.

148, ch. 2004-301.

Editors notes.
Created from former s. 736.31; s. 732.919.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.521. 
Fla. Stat.  765.521

 765.521. Donations as part of driver license or identification card
process.
(1) The agency and the department shall develop and implement a

program encouraging and allowing persons to make anatomical gifts as a
part of the process of issuing identification cards and issuing and renewing
driver licenses. The donor registration card distributed by the department
shall include the information required by the uniform donor card under s.
765.514 and such additional information as determined necessary by the
department. The department shall also develop and implement a program
to identify donors which includes notations on identification cards, driver
licenses, and driver records or such other methods as the department
develops to clearly indicate the individuals intent to make an anatomical
gift. A notation on an individuals driver license or identification card that
the individual intends to make an anatomical gift satisfies all requirements
for consent to organ or tissue donation. The agency shall provide the
necessary supplies and forms from funds appropriated from general
revenue or contributions from interested voluntary, nonprofit
organizations. The department shall provide the necessary recordkeeping
system from funds appropriated from general revenue. The department and
the agency shall incur no liability in connection with the performance of
any acts authorized herein.

(2) The department shall maintain an integrated link on its website
referring a visitor renewing a driver license or conducting other business to
the donor registry operated under s. 765.5155.

(3) The department, after consultation with and concurrence by the
agency, shall adopt rules to implement the provisions of this section
according to the provisions of chapter 120.

(4) Funds expended by the agency to carry out the intent of this section
may not be taken from funds appropriated for patient care.

HISTORY:
S. 1, ch. 75-71; s. 1, ch. 77-16; s. 463, ch. 77-147; s. 1, ch. 77-174; ss. 1, 2,



ch. 80-134; s. 5, ch. 83-171; s. 10, ch. 95-423; s. 71, ch. 2001-226; s. 8, ch.
2008-223, eff. July 1, 2008; s. 10, ch. 2009-218, eff. July 1, 2009; s. 62, ch.
2016-239, effective July 1, 2016.

Editors notes.
Former s. 732.921.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.5215. 
Fla. Stat.  765.5215

 765.5215. Education program relating to annatomical gifts [Repealed.]
Repealed by s. 10, ch. 2008-223, effective July 1, 2008.

HISTORY:
S. 1, ch. 85-247; s. 11, ch. 95-423; s. 65, ch. 99-248; s. s72, ch. 2001-226;

s. 112, ch. 2002-1.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.52155. 
Fla. Stat.  765.52155

 765.52155. Florida Organ and Tissue Donor Education and
Procurement Trust Fund [Repealed.]

Repealed by s. 18, ch. 2008-9, effective July 1, 2008.

HISTORY:
S. 1, ch. 95-316; s. 29, ch. 96-418; s. 73, ch. 2001-226.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.5216. 
Fla. Stat.  765.5216

 765.5216. Organ and tissue education panel [Repealed.]
Repealed by s. 10, ch. 2008-223, effective July 1, 2008.

HISTORY:
S. 12, ch. 95-423; s. 11, ch. 98-68; s. 66, ch. 99-248; s. 25, ch. 2000-305; s.

74, ch. 2001-226; s. 113, ch. 2002-1; s. 103, ch. 2003-1.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.522. 
Fla. Stat.  765.522

 765.522. Duty of hospital administrators; liability of hospital
administrators and procurement organizations.
(1) If, based on accepted medical standards, a hospital patient is a

suitable candidate for organ or tissue donation, the hospital administrator
or the hospital administrators designee shall, at or near the time of death,
notify the appropriate procurement organization, which shall access the
donor registry created by s. 765.5155 or any other donor registry to
ascertain the existence of an entry in the registry which has not been
revoked or a document of gift executed by the decedent. In the absence of
an entry in the donor registry, a document of gift, or other properly
executed document, the procurement organization shall request:
(a) The patients health care surrogate, as authorized in s. 765.512(2); or
(b) If the patient does not have a surrogate, or the surrogate is not

reasonably available, any of the persons specified in s. 765.512(3), in the
order and manner listed,

to consent to the anatomical gift of the decedents body for any purpose
specified in this part. Except as provided in s. 765.512, in the absence of
actual notice of opposition, consent need only be obtained from the person
or persons in the highest priority class reasonably available.

(2) A document of gift is valid if executed in accordance with this part
or the laws of the state or country where it was executed and where the
person making the anatomical gift was domiciled, has a place of residence,
or was a citizen at the time the document of gift was executed.

(3) The agency shall establish rules and guidelines concerning the
education of individuals who may be designated to perform the request and
the procedures to be used in making the request. The agency is authorized
to adopt rules concerning the documentation of the request, where such
request is made.

(4) If a document of gift is valid under this section, the laws of this state
govern the interpretation of the document of gift.

(5) A document of gift or amendment of an anatomical gift is presumed



to be valid unless it was not validly executed or was revoked.
(6) There shall be no civil or criminal liability against any procurement

organization certified under s. 765.542 or against any hospital or hospital
administrator or designee who complies with the provisions of this part and
agency rules or if, in the exercise of reasonable care, a request for organ
donation is inappropriate and the gift is not made according to this part and
agency rules.

(7) The hospital administrator or a designee shall, at or near the time of
death of a potential donor, directly notify the affiliated organ procurement
organization of the potential organ donor. The organ procurement
organization must offer any organ from such a donor first to patients on a
Florida-based local or state organ sharing transplant list. For the purpose of
this subsection, the term transplant list includes certain categories of
national or regional organ sharing for patients of exceptional need or
exceptional match, as approved or mandated by the Organ Procurement
and Transplantation Network, or its agent. This notification may not be
made to a tissue bank or eye bank in lieu of the organ procurement
organization unless the tissue bank or eye bank is also designated as an
organ procurement organization.

HISTORY:
S. 1, ch. 86-212; s. 2, ch. 87-372; s. 13, ch. 95-423; s. 980, ch. 97-102; s.

12, ch. 98-68; s. 15, ch. 99-331; s. 75, ch. 2001-226; s. 104, ch. 2003-1; s. 9,
ch. 2008-223, eff. July 1, 2008; s. 11, ch. 2009-218, eff. July 1, 2009.

Editors notes.
Former s. 732.922.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.523. 
Fla. Stat.  765.523

 765.523. Discrimination in access to anatomical gifts and organ
transplants prohibited.
(1) As used in this section, the term:

(a) Auxiliary aids and services means:
1. Qualified interpreters or other effective methods of making aurally

delivered materials available to individuals with hearing impairments.
2. Qualified readers, recorded texts, texts in an accessible electronic

format, or other effective methods of making visually delivered materials
available to individuals with visual impairments.

3. Supported decisionmaking services, including any of the following:
a. The use of a support person to assist an individual in making medical

decisions, communicating information to the individual, or ascertaining his or
her wishes.

b. The provision of information to a person designated by the individual,
consistent with federal and state laws governing the disclosure of health
information.

c. Measures used to ensure that the individuals guardian or legal
representative, if any, is included in decisions involving the individuals
health care and that medical decisions are in accordance with the individuals
own expressed interests.

d. Any other aid or service that is used to provide information in a format
that is readily understandable and accessible to individuals with cognitive,
neurological, developmental, or intellectual disabilities.

(b) Covered entity means any of the following:
1. A licensed health care practitioner as defined in s. 456.001.
2. A health care facility as defined in s. 408.07.
3. Any other entity responsible for potential recipients of anatomical gifts

or organ transplants.



(c) Disability has the same meaning as developmental disability and
intellectual disability as those terms are defined in s. 393.063.

(d) Organ transplant means the transplantation or transfusion of a part of
a human body into the body of another individual for the purpose of treating
or curing a medical condition.

(e) Qualified individual means an individual who has a disability and
meets the clinical eligibility requirements for the receipt of an anatomical gift
or an organ transplant, regardless of:

1. The support networks available to the individual;
2. The provision of auxiliary aids and services; or
3. Reasonable modifications to the policies, practices, or procedures of a

covered entity pursuant to subsection (4).
(2) A covered entity may not do any of the following solely on the basis

of an individuals disability:
(a) Consider a qualified individual ineligible to receive an anatomical gift

or organ transplant.
(b) Deny medical or other services related to an organ transplant, including

evaluation, surgery, counseling, and posttransplant treatment and services.
(c) Refuse to refer the individual to an organ procurement organization or a

related specialist for the purpose of evaluation or receipt of an organ
transplant.

(d) Refuse to place a qualified individual on an organ transplant waiting
list.

(e) Place a qualified individual at a lower priority position on an organ
transplant waiting list than the position at which the qualified individual
would have been placed if not for the disability.

(3)(a) A covered entity may take an individuals disability into account if,
following an individualized evaluation of him or her, a physician finds the
individuals disability to be medically significant to the provision of the
anatomical gift or organ transplant, but only to the extent that the covered
entity is making treatment or coverage recommendations or decisions for
the individual.



(b) If an individual has the necessary support system to assist him or her in
complying with posttransplant medical requirements, a covered entity may
not consider the individuals inability to independently comply with the
posttransplant medical requirements to be medically significant for the
purposes of paragraph (a).

(4) A covered entity shall make reasonable modifications to policies,
practices, or procedures when the modifications are necessary to allow an
individual with a disability access to services, including transplant-related
counseling, information, coverage, or treatment, unless the covered entity
can demonstrate that making the modifications would fundamentally alter
the nature of the services. Such modifications shall include, but need not
be limited to, communication with the persons responsible for supporting
the individual with his or her postsurgical and posttransplant care,
including medication. Such modifications shall also consider the support
networks available to the individual, including, but not limited to, family,
friends, and home and community-based services coverage when
determining whether the individual is able to comply with posttransplant
medical requirements.

(5) A covered entity shall take such steps as may be necessary to ensure
that an individual with a disability is not denied services, including
transplant-related counseling, information, coverage, or treatment, due to
the absence of auxiliary aids and services, unless the covered entity can
demonstrate that taking the steps would fundamentally alter the nature of
the services being offered or would result in an undue burden on the
covered entity.

(6) If a covered entity violates this section, the qualified individual who
is affected by the violation may bring an action in the appropriate circuit
court for injunctive or other equitable relief.

(7) This section may not be construed to require a covered entity to
make a referral or recommendation for or perform a medically
inappropriate organ transplant.

History.
S. 1, ch. 2020-139, effective July 1, 2020.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.53. 
Fla. Stat.  765.53

 765.53. Organ Transplant Advisory Council; membership;
responsibilities. [Repealed]

HISTORY:
SS. 1, 2, ch. 86-208; ss. 88, 89, ch. 86-220; s. 3, ch. 87-50; s. 8, ch. 91-49;

s. 52, ch. 91-297; s. 5, ch. 91-429; s. 3, ch. 94-305; s. 50, ch. 97-101; s. 1, ch.
99-299; s. 6, ch. 2000-305; s. 33, ch. 2003-1; s. 12, ch. 2009-218, eff. July 1,
2009; repealed by s. 7, ch. 2021-151, effective July 1, 2021.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.541. 
Fla. Stat.  765.541

 765.541. Certification of procurement organizations; agency
responsibilities.

The agency shall:
(1) Establish a program for the certification of organizations,

corporations, or other entities engaged in the procurement of organs,
tissues, and eyes for transplantation.

(2) Adopt rules that set forth appropriate standards and guidelines for the
program in accordance with ss. 765.541-765.546 and part II of chapter
408. These standards and guidelines must be substantially based on the
existing laws of the Federal Government and this state and the existing
standards and guidelines of the United Network for Organ Sharing
(UNOS), the American Association of Tissue Banks (AATB), the South-
Eastern Organ Procurement Foundation (SEOPF), the North American
Transplant Coordinators Organization (NATCO), and the Eye Bank
Association of America (EBAA). In addition, the agency shall, before
adopting these standards and guidelines, seek input from all procurement
organizations based in this state.

(3) Collect, keep, and make available to the Governor and the
Legislature information regarding the numbers and disposition of organs,
tissues, and eyes procured by each certified procurement organization.

(4) Monitor procurement organizations for program compliance.
(5) Provide for the administration of the Organ and Tissue Procurement

and Transplantation Advisory Board.

HISTORY:
SS. 2, 9, ch. 91-271; s. 5, ch. 91-429; s. 5, ch. 94-305; s. 33, ch. 2003-1; s.

201, ch. 2007-230, eff. July 1, 2007; s. 13, ch. 2009-218, eff. July 1, 2009.

Editors notes.
Formerly s. 381.6021: transferred by s. 33, ch. 2003-1, effective July 1,

2003.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.542. 
Fla. Stat.  765.542

 765.542. Requirements to engage in organ, tissue, or eye procurement.
(1) The requirements of part II of chapter 408 apply to the provision of

services that require licensure pursuant to ss. 765.541-765.546 and part II
of chapter 408 and to entities licensed or certified by or applying for such
licensure or certification from the agency pursuant to ss. 765.541-765.546.
A person may not engage in the practice of organ procurement in this state
without being designated as an organ procurement organization by the
Secretary of the United States Department of Health and Human Services
and being appropriately certified by the agency. A physician or organ
procurement organization based outside this state is exempt from these
certification requirements if:
(a) The organs are procured for an out-of-state patient who is listed on, or

referred through, the United Network for Organ Sharing System; and
(b) The organs are procured through an agreement of an organ

procurement organization certified by the state.
(2) A person may not engage in tissue procurement in this state unless it

is appropriately certified as a tissue bank by the agency.
(3) A person may not engage in the practice of eye procurement in this

state without being appropriately certified as an eye bank by the agency.
Funeral directors or direct disposers who retrieve eye tissue for an eye
bank certified under this subsection are exempt from the certification
requirements under this subsection.

(4) A limited certificate may be issued to a tissue bank or eye bank,
certifying only those components of procurement which the bank has
chosen to perform. The agency may issue a limited certificate if it
determines that the tissue bank or eye bank is adequately staffed and
equipped to operate in conformity with the rules adopted under this
section.

HISTORY:
S. 3, ch. 91-271; s. 6, ch. 94-305; s. 33, ch. 2003-1; s. 202, ch. 2007-230,



eff. July 1, 2007; s. 14, ch. 2009-218, eff. July 1, 2009.

Editors notes.
Formerly s. 381.6022: transferred by s. 33, ch. 2003-1, effective July 1,

2003.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.543. 
Fla. Stat.  765.543

 765.543. Organ and Tissue Procurement and Transplantation Advisory
Board; creation; duties.
(1) There is hereby created the Organ and Tissue Procurement and

Transplantation Advisory Board, which shall consist of 14 members who
are appointed by and report directly to the Secretary of Health Care
Administration. The membership must be regionally distributed and must
include:
(a) Two representatives who have expertise in vascular organ transplant

surgery;
(b) Two representatives who have expertise in vascular organ procurement,

preservation, and distribution;
(c) Two representatives who have expertise in musculoskeletal tissue

transplant surgery;
(d) Two representatives who have expertise in musculoskeletal tissue

procurement, processing, and distribution;
(e) A representative who has expertise in eye and cornea transplant

surgery;
(f) A representative who has expertise in eye and cornea procurement,

processing, and distribution;
(g) A representative who has expertise in bone marrow procurement,

processing, and transplantation;
(h) A representative from the Florida Pediatric Society;

(i) A representative from the Florida Society of Pathologists; and
(j) A representative from the Florida Medical Examiners Commission.

(2) The advisory board members may not be compensated for their
services except that they may be reimbursed for their travel expenses as
provided by law. Members of the board shall be appointed for 3-year terms
of office.

(3) The board shall:



(a) Assist the agency in the development of necessary professional
qualifications, including, but not limited to, the education, training, and
performance of persons engaged in the various facets of organ and tissue
procurement, processing, preservation, and distribution for transplantation;

(b) Assist the agency in monitoring the appropriate and legitimate
expenses associated with organ and tissue procurement, processing, and
distribution for transplantation and developing methodologies to assure the
uniform statewide reporting of data to facilitate the accurate and timely
evaluation of the organ and tissue procurement and transplantation system;

(c) Provide assistance to the Florida Medical Examiners Commission in
the development of appropriate procedures and protocols to ensure the
continued improvement in the approval and release of potential donors by the
district medical examiners and associate medical examiners;

(d) Develop with and recommend to the agency the necessary procedures
and protocols required to assure that all residents of this state have reasonable
access to available organ and tissue transplantation therapy and that residents
of this state can be reasonably assured that the statewide procurement
transplantation system is able to fulfill their organ and tissue requirements
within the limits of the available supply and according to the severity of their
medical condition and need; and

(e) Develop with and recommend to the agency any changes to the laws of
this state or administrative rules or procedures to ensure that the statewide
organ and tissue procurement and transplantation system is able to function
smoothly, effectively, and efficiently, in accordance with the Federal
Anatomical Gift Act and in a manner that assures the residents of this state
that no person or entity profits from the altruistic voluntary donation of
organs or tissues.

HISTORY:
SS. 4, 9, ch. 91-271; s. 5, ch. 91-429; s. 7, ch. 94-305; s. 7, ch. 2000-305; s.

33, ch. 2003-1; s. 15, ch. 2009-218, eff. July 1, 2009.

Editors notes.
Formerly s. 381.6023: transferred by s. 33, ch. 2003-1, effective July 1,

2003.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.544. 
Fla. Stat.  765.544

 765.544. Fees; organ and tissue donor education and procurement.
(1) In accordance with s. 408.805, an applicant or a certificateholder

shall pay a fee for each application submitted under this part, part II of
chapter 408, and applicable rules. The amount of the fee shall be as
follows:
(a) An initial application fee of $1,000 from organ procurement

organizations and tissue banks and $500 from eye banks.
(b) Annual fees to be used, in the following order of priority, for the

certification program, the advisory board, maintenance of the donor registry,
and the organ and tissue donor education program, which may not exceed
$35,000 per organization:

1. Each organ procurement organization shall pay the greater of $1,000 or
0.25 percent of its total revenues produced from procurement activity in this
state by the certificateholder during its most recently completed fiscal or
operational year.

2. Each tissue procurement organization shall pay the greater of $1,000 or
0.25 percent of its total revenues from procurement and processing activity in
this state by the certificateholder during its most recently completed fiscal or
operational year.

3. Each eye bank shall pay the greater of $500 or 0.25 percent of its total
revenues produced from procurement activity in this state by the
certificateholder during its most recently completed fiscal or operational year.

(2) The agency shall specify by rule the administrative penalties for the
purpose of ensuring adherence to the standards of quality and practice
required by this chapter, part II of chapter 408, and applicable rules of the
agency for continued certification.
(3)(a) Proceeds from fees, administrative penalties, and surcharges
collected pursuant to this section must be deposited into the Health Care
Trust Fund.
(b) Moneys deposited in the trust fund pursuant to this section must be



used exclusively for the implementation, administration, and operation of the
certification program and the advisory board, for maintaining the donor
registry, and for organ and tissue donor education.

(4) As used in this section, the term procurement activity in this state
includes the bringing into this state for processing, storage, distribution, or
transplantation of organs or tissues that are initially procured in another
state or country.

HISTORY:
S. 5, ch. 91-271; s. 8, ch. 94-305; s. 32, ch. 96-418; ss. 3, 4, ch. 98-68; s.

54, ch. 2002-1; s. 33, ch. 2003-1; s. 203, ch. 2007-230, eff. July 1, 2007; s.
19, ch. 2008-9, eff. July 1, 2008; s. 16, ch. 2009-218, eff. July 1, 2009.

Editors notes.
Formerly s. 381.6024: transferred by s. 33, ch. 2003-1, effective July 1,

2003.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.545. 
Fla. Stat.  765.545

 765.545. Physician supervision of cadaveric organ and tissue
procurement coordinators.

Procurement organizations may employ coordinators who are registered
nurses, physician assistants, or other medically trained personnel who meet
the relevant standards for procurement organizations adopted by the agency
under s. 765.541, to assist in the medical management of organ donors or in
the surgical procurement of cadaveric organs, tissues, or eyes for
transplantation or research. A coordinator who assists in the medical
management of organ donors or in the surgical procurement of cadaveric
organs, tissues, or eyes for transplantation or research must do so under the
direction and supervision of a physician medical director pursuant to rules
and guidelines adopted by the agency. With the exception of organ
procurement surgery, this supervision may be indirect supervision. For
purposes of this section, the term indirect supervision means that the
medical director is responsible for the medical actions of the coordinator, that
the coordinator is operating under protocols expressly approved by the
medical director, and that the medical director or his or her physician
designee is always available, in person or by telephone, to provide medical
direction, consultation, and advice in cases of organ, tissue, and eye donation
and procurement. Although indirect supervision is authorized under this
section, direct physician supervision is to be encouraged when appropriate.

HISTORY:
S. 6, ch. 91-271; s. 9, ch. 94-305; s. 1035, ch. 95-148; s. 34, ch. 2003-1; s.

17, ch. 2009-218, eff. July 1, 2009.

Editors notes.
Formerly s. 381.6025: transferred by s. 34, ch. 2003-1, effective July 1,

2003.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.546. 
Fla. Stat.  765.546

 765.546. Procurement of cadaveric organs for transplant by out-of-
state physicians.

Any physician currently licensed to practice medicine and surgery in the
United States may surgically procure in this state cadaveric organs for
transplant if:

(1) The organs are being procured for an out-of-state patient who is
listed on, or referred through, the United Network for Organ Sharing
System; and

(2) The organs are being procured through the auspices of an organ
procurement organization certified in this state.

HISTORY:
S. 7, ch. 91-271; s. 33, ch. 2003-1.

Editors notes.
Formerly s. 381.6026: transferred by s. 33, ch. 2003-1, effective July 1,

2003.



 Title XLIV. ,  Ch. 765. ,  Pt. V. ,   765.547. 
Fla. Stat.  765.547

 765.547. Cooperation between medical examiner and procurement
organization.
(1) A medical examiner and procurement organization shall cooperate

with each other in order to maximize opportunities to recover anatomical
gifts for the purpose of transplantation, therapy, research, or education.

(2) The Florida Medical Examiners Commission shall adopt rules
establishing cooperative responsibilities between medical examiners and
procurement organizations to facilitate and expedite completion of the
medical examiners responsibilities under chapter 406 in a manner that will
maximize opportunities to recover anatomical gifts.

(3) This part does not supersede any part of chapter 406 relating to
medical examiners and the disposition of dead bodies.

HISTORY:
S. 18, ch. 2009-218, eff. July 1, 2009.



 Title XLVI. 
Fla. Stat. Title XLVI

TITLE XLVI.
CRIMES.

________
 Title XLVI. ,  Ch. 825. 

Fla. Stat. Title XLVI, Ch. 825



CHAPTER 825.
ABUSE, NEGLECT, AND EXPLOITATION OF ELDERLY

PERSONS AND DISABLED ADULTS.
 Title XLVI. ,  Ch. 825. ,   825.1035. 

Fla. Stat.  825.1035

 825.1035. Injunction for protection against exploitation of a vulnerable
adult.
(1) Injunction created.  There is created a cause of action for an

injunction for protection against exploitation of a vulnerable adult.
(2) Who may file; venue; recording. 

(a) The cause of action may be sought in an adversary proceeding by:
1. A vulnerable adult in imminent danger of being exploited;
2. The guardian of a vulnerable adult in imminent danger of being

exploited;
3. A person or organization acting on behalf of the vulnerable adult with

the consent of the vulnerable adult or his or her guardian;
4. An agent under a valid durable power of attorney with the authority

specifically granted in the power of attorney; or
5. A person who simultaneously files a petition for determination of

incapacity and appointment of an emergency temporary guardian with respect
to the vulnerable adult.

(b) A sworn petition for an injunction for protection against exploitation of
a vulnerable adult may be filed regardless of whether any other cause of
action is currently pending between either the petitioner and the respondent
or the vulnerable adult and the respondent. However, the pendency of any
such cause of action must be noted in the petition.

(c) A person temporarily or permanently vacating a residence or household
in an attempt to avoid exploitation does not affect his or her right to petition
for an injunction.



(d) Parties to an injunction for protection against exploitation of a
vulnerable adult may not be required to be represented by an attorney.

(e) There is no minimum requirement of residency to petition for an
injunction for protection against exploitation of a vulnerable adult. It is not
required as a prerequisite of filing a petition for or issuance of an injunction
under this section for exploitation to have already occurred.

(f) If a proceeding concerning the vulnerable adult under chapter 744 is
pending at the time of the filing, the petition must be filed in that proceeding.
Otherwise, a petition for an injunction for protection against exploitation of a
vulnerable adult may only be filed in the circuit where the vulnerable adult
resides.

(g) All proceedings conducted pursuant to this subsection must be
recorded. Recording may be by electronic means as provided by court rule.

(3) Form of petition.
(a) A sworn petition filed under this section must allege the existence of

exploitation, or the imminent exploitation, of the vulnerable adult and must
include the specific facts and circumstances for which relief is sought. The
sworn petition must be in substantially the following form:

PETITION FOR INJUNCTION FOR PROTECTION
AGAINST EXPLOITATION OF A VULNERABLE ADULT
Before me, the undersigned authority, personally appeared

Petitioner ........................(Name), who has been sworn and says
that the following statements are true:

1. __________________The petitioners name is:
2. ___________The petitioners address is:
3.___________The petitioners relationship to the vulnerable

adult is:
4. ___________How long has the petitioner known the

vulnerable adult:



5. __________________The vulnerable adults name is:
6.___________Aliases of the vulnerable adult are:
7. ___________The vulnerable adults date of birth is:
8. The vulnerable adults address is
9.Does the vulnerable adult have one or more impairments

that impact his or her ability to perform normal activities of daily
living or to provide for his or her own care or protection?

If so, what are this persons impairments? (check all that
apply)

............Long-term physical disability

............Sensory disability (e.g., hearing or vision impaired)

............Cognitive disability

............Mental or emotional disability

............Developmental disability

............Infirmity of aging

............Other (explain)
10. The respondents last known address is
11.The respondents last known place of employment is:

............(name of business and address)
12. ............Physical description of the respondent:
............Race
............Sex
............Date of birth



............Height

............Weight

............Eye color

............Hair color

............Distinguishing marks or scars
13. ............Aliases of the respondent:
14. The respondent is associated with the vulnerable adult as

follows:
15.The following describes any other cause of action currently

pending between the petitioner and the respondent, any
proceeding under chapter 744 concerning the vulnerable adult,
and any previous or pending attempts by the petitioner to obtain
an injunction for protection against exploitation of the vulnerable
adult in this or any other circuit; related case numbers, if
available; ............and the results of any such attempts:

16.The following describes the petitioners knowledge of any
reports made to a government agency, including, but not limited
to, the Department of Elderly Affairs, the Department of
Children and Families, and the adult protective services program
relating to the abuse, neglect, or exploitation of the vulnerable
adult; any investigations performed by a government agency
relating to abuse, neglect, or exploitation of the vulnerable adult;
............and the results of any such reports or investigations:

17.The petitioner knows the vulnerable adult is either a victim
of exploitation or the petitioner has reasonable cause to believe
the vulnerable adult is, or is in imminent danger of becoming, a
victim of exploitation because the respondent has: ..................
(describe in the spaces below the incidents or threats of



exploitation)
18. ............The following describes the petitioners knowledge

of the vulnerable adults dependence on the respondent for care;
alternative provisions for the vulnerable adults care in the
absence of the respondent, if necessary; available resources the
vulnerable adult has to access such alternative provisions; and
the vulnerable adults willingness to use such alternative
provisions:

19.The petitioner knows the vulnerable adult maintains assets,
accounts, or lines of credit at the following financial
institution(s): ..................(list name, address, and account
number of each)

20.The petitioner believes that the vulnerable adults assets to
be frozen are: ............(mark one)

............ Worth less than $1500;

............ Worth between $1500 and $5000; or

............Worth more than $5000.
21.The petitioner genuinely fears imminent exploitation of the

vulnerable adult by the respondent.
22.The petitioner seeks an injunction for the protection of the

vulnerable adult, including: ............(mark appropriate section or
sections)

Prohibiting the respondent from having any direct or indirect contact
with the vulnerable adult.

............Immediately restraining the respondent from
committing any acts of exploitation against the vulnerable adult.

............Freezing the assets of the vulnerable adult held at



..................(name and address of depository or financial
institution) even if titled jointly with the respondent, or in the
respondents name only, in the courts discretion.

............Freezing the credit lines of the vulnerable adult at
..................(name and address of financial institution) even if
jointly with the respondent, in the courts discretion.

............Providing any terms the court deems necessary for the
protection of the vulnerable adult or his or her assets, including
any injunctions or directives to law enforcement agencies.

23.Should the court enter an injunction freezing assets and
credit lines, the petitioner believes that the critical expenses of
the vulnerable adult will be paid for or provided by the following
persons or entities, or the petitioner requests that the following
expenses be paid notwithstanding the freeze: ..................(for
each expense, list the name of the payee, address, account
number if known, amount, and a brief explanation of why
payment is critical)

PETITION FOR INJUNCTION FOR PROTECTION
AGAINST EXPLOITATION OF A VULNERABLE ADULT
Before me, the undersigned authority, personally appeared Petitioner (Name)
who has been sworn and says that the following statements are true:
1. The vulnerable adult resides at: (address).
2. The respondent resides at: (last known address).
3. The respondents last known place of employment is: (name of business
and address).
4. Physical description of the respondent: _______
Race _______
Sex _______



Date of birth _______
Height _______
Weight _______
Eye color _______
Hair color _______
Distinguishing marks or scars _______
5. Aliases of the respondent: _______
6. The respondent is associated with the vulnerable adult as follows: _______
7. The following describes any other cause of action currently pending
between the petitioner and the respondent, any proceeding under chapter 744
concerning the vulnerable adult, and any previous or pending attempts by the
petitioner to obtain an injunction for protection against exploitation of the
vulnerable adult in this or any other circuit; related case numbers, if
available; and the results of any such attempts:
____________________________________________________________________________________________________________________
8. The following describes the petitioners knowledge of any reports made to
a government agency, including, but not limited to, the Department of
Elderly Affairs, the Department of Children and Families, and the adult
protective services program relating to the abuse, neglect, or exploitation of
the vulnerable adult; any investigations performed by a government agency
relating to abuse, neglect, or exploitation of the vulnerable adult; and the
results of any such reports or investigations: _______
9. The petitioner knows the vulnerable adult is either a victim of exploitation
or the petitioner has reasonable cause to believe the vulnerable adult is, or is
in imminent danger of becoming, a victim of exploitation because the
respondent has: (describe in the spaces below the incidents or threats of
exploitation).
10. The following describes the petitioners knowledge of the vulnerable
adults dependence on the respondent for care; alternative provisions for the
vulnerable adults care in the absence of the respondent, if necessary;
available resources the vulnerable adult has to access such alternative
provisions; and the vulnerable adults willingness to use such alternative



provisions:
11. The petitioner knows the vulnerable adult maintains assets, accounts, or
lines of credit at the following financial institution(s): (list name, address, and
account number of each).
12. The petitioner believes that the vulnerable adults assets to be frozen are:
(mark one).
_______ Worth less than $1500;
_______ Worth between $1500 and $5000; or
_______ Worth more than $5000.
13. The petitioner genuinely fears imminent exploitation of the vulnerable
adult by the respondent.
14. The petitioner seeks an injunction for the protection of the vulnerable
adult, including: (mark appropriate section or sections).
_______ Prohibiting the respondent from having any direct or indirect
contact with the vulnerable adult.
_______ Immediately restraining the respondent from committing any acts of
exploitation against the vulnerable adult.
_______ Freezing the assets of the vulnerable adult held at (name and
address of depository or financial institution) even if titled jointly with the
respondent, or in the respondents name only, in the courts discretion.
_______ Freezing the credit lines of the vulnerable adult at (name and
address of financial institution) even if jointly with the respondent, in the
courts discretion.
_______ Providing any terms the court deems necessary for the protection of
the vulnerable adult or his or her assets, including any injunctions or
directives to law enforcement agencies.
15. Should the court enter an injunction freezing assets and credit lines, the
petitioner believes that the critical expenses of the vulnerable adult will be
paid for or provided by the following persons or entities, or the petitioner
requests that the following expenses be paid notwithstanding the freeze: (for
each expense, list the name of the payee, address, account number if known,



amount, and a brief explanation of why payment is critical).
(b) Each petition for an injunction for protection against exploitation of a

vulnerable adult must contain, directly above the signature line, a statement
in all capital letters and bold type not smaller than the surrounding text, as
follows:

I ACKNOWLEDGE THAT PURSUANT TO SECTION 415.1034,
FLORIDA STATUTES, ANY PERSON WHO KNOWS, OR HAS
REASONABLE CAUSE TO SUSPECT, THAT A VULNERABLE ADULT
HAS BEEN OR IS BEING ABUSED, NEGLECTED, OR EXPLOITED
HAS A DUTY TO IMMEDIATELY REPORT SUCH KNOWLEDGE OR
SUSPICION TO THE CENTRAL ABUSE HOTLINE. I HAVE REPORTED
THE ALLEGATIONS IN THIS PETITION TO THE CENTRAL ABUSE
HOTLINE.

I HAVE READ EACH STATEMENT MADE IN THIS PETITION AND
EACH SUCH STATEMENT IS TRUE AND CORRECT. I UNDERSTAND
THAT THE STATEMENTS MADE IN THIS PETITION ARE BEING
MADE UNDER PENALTY OF PERJURY PUNISHABLE AS PROVIDED
IN SECTION 837.02, FLORIDA STATUTES.

(c) Upon the filing of the petition, the court shall schedule a hearing on the
petition on the earliest possible date.

(4) Clerks duties, responsibilities, and charges.
(a) The clerk of the circuit court shall assist the petitioner in filing an

injunction for protection against exploitation of a vulnerable adult and any
petition alleging a violation thereof.

(b) The clerk of the circuit court shall provide simplified petition forms for
the injunction for protection against exploitation of a vulnerable adult, and
any modifications thereto, and for the enforcement thereof, and instructions
for completion of such forms.

(c) The clerk of the circuit court shall, to the extent practicable, ensure the
petitioners privacy while completing such forms.

(d) The clerk of the circuit court shall provide the petitioner with two
certified copies of the petition for an injunction without charge, and shall



inform the petitioner of the steps necessary for service of process and
enforcement.

(e) If an injunction is entered, the clerk of the circuit court shall provide,
without charge, the petitioner with certified copies of an order of injunction
that may be served upon any person holding property, upon any financial
institution holding property or accounts, or upon any financial institution with
an open line of credit that is subject to the freeze, and shall inform the
petitioner of the service of process and enforcement.

(f) The clerk of the circuit court and appropriate staff in each county shall
receive training in the effective assistance of petitioners as provided or
approved by the Florida Association of Court Clerks.

(g) The clerk of the circuit court in each county shall produce an
informational brochure and provide it to the petitioner at the time of filing for
an injunction for protection against exploitation of a vulnerable adult. The
brochure must include information about the exploitation of vulnerable adults
and the effect of providing false information to the court. The clerk of the
circuit court in each county shall also make available informational brochures
on the exploitation of vulnerable adults to local senior centers, local aging
and disability resource centers, or appropriate state or federal agencies.

(h) The clerk of the circuit court shall provide a copy of all petitions filed
pursuant to this section and all orders entered on such petitions to the adult
protective services program. Within 72 hours after receipt of such orders or
petitions, the adult protective services program shall submit to the court
overseeing proceedings on the petition the results of any relevant
investigations relating to the vulnerable adult.

(i) Notwithstanding any other provision of law, the clerk of the
circuit court may not assess an initial filing fee or service charge for
petitions filed under this section. However, subject to legislative
appropriation, the clerk of the circuit court may, on a quarterly basis,
submit a certified request for reimbursement to the Office of the State
Courts Administrator for the processing of such petitions, at the rate
of $40 per petition. The request for reimbursement must be submitted
in the form and manner prescribed by the office. From each
reimbursement received, the clerk of the circuit court shall pay any
law enforcement agency serving the injunction for protection against



exploitation of a vulnerable adult the fee requested by the law
enforcement agency, to not exceed $20.

(5) Temporary injunction; service; hearing.
(a)1. The court may grant a temporary injunction ex parte, pending a full
hearing, and may grant such relief as the court deems proper if the court
finds that:
a. An immediate and present danger of exploitation of the vulnerable adult

exists.
b. There is a likelihood of irreparable harm and nonavailability of an

adequate remedy at law.
c. There is a substantial likelihood of success on the merits.
d. The threatened injury to the vulnerable adult outweighs possible harm to

the respondent.
e. Granting a temporary injunction will not disserve the public interest.
f. Such injunction provides for the vulnerable adults physical or financial

safety.
2. Such relief the court deems proper may include, but is not limited to,

injunctions doing any of the following:
a. Restraining the respondent from committing any acts of exploitation

against the vulnerable adult.
b. Awarding to the vulnerable adult the temporary exclusive use and

possession of the dwelling that the vulnerable adult and the respondent share,
or barring the respondent from the residence of the vulnerable adult. The
court shall confirm the availability of any required services or alternative
caregivers that may be necessary to ensure the vulnerable adults safety.

c. Freezing any assets of the vulnerable adult in any depository or financial
institution whether titled solely in the vulnerable adults name, solely in the
respondents name, jointly with the respondent, in guardianship, in trust, or in
a Totten trust, provided that:

(I) Assets held by a guardian for the vulnerable adult may be frozen
only by an order entered by the court overseeing the guardianship



proceeding.
(II) Assets held by a trust may be frozen only by an order of the court if all

the trustees of the trust are served with process and are given reasonable
notice before any hearing on the petition.

(III) Assets held solely in the name of the respondent may only be frozen
on an ex parte basis if the petition and affidavit demonstrate to the court
probable cause that such assets are traceable to the unlawful exploitation of
the vulnerable adult, that such assets are likely to be returned to the
vulnerable adult after a final evidentiary hearing, and that no other adequate
remedy at law is reasonably available.

d. Freezing any line of credit of the vulnerable adult at any depository or
financial institution whether listed solely in the vulnerable adults name or
jointly with the respondent.

(I) Lines of credit held by a guardian for the vulnerable adult may be
frozen only by an order entered by the court overseeing the guardianship
proceeding.

(II) Lines of credit held by a trust may be frozen only by an order of the
court if all the trustees of the trust are served with process and are given
reasonable notice before any hearing on the petition.

e. Prohibiting the respondent from having direct or indirect contact with
the vulnerable adult.

f. Providing directives to law enforcement agencies.
g. If the court has ordered an asset and credit freeze, ordering that specified

living expenses of the vulnerable adult continue to be paid.
h. Ordering any financial institution holding assets of the vulnerable adult

to pay the clerk of the circuit court from unencumbered assets of the
vulnerable adult, if any, a fee of $75 if the assets of the petitioner are between
$1,500 and $5,000 or a fee of $200 if the assets are in excess of $5,000. The
court may rely on the estimate of the value of the assets in the petition when
assessing the fee. The fee shall be taxed as costs against the respondent if the
court enters an injunction.

(b) Except as provided in s. 90.204, in a hearing ex parte for the purpose of
obtaining an ex parte temporary injunction, only verified pleadings or



affidavits may be used as evidence unless the respondent appears at the
hearing or has received reasonable notice of the hearing. A petition under this
section shall be considered a family case for purposes of s. 90.204(4)(4).

(c) A denial of a petition for an ex parte injunction must be by written
order and must note the legal grounds for denial. When the only ground for
denial is failure to demonstrate appearance of an immediate and present
danger of exploitation of a vulnerable adult, the court must set a full hearing
on the petition for injunction at the earliest possible date. Nothing in this
paragraph affects a petitioners right to promptly amend any petition
consistent with court rules.

(d) An ex parte temporary injunction may be effective for a fixed period
not to exceed 15 days unless good cause is shown to extend the injunction.
The ex parte temporary injunction may be extended one time for up to an
additional 30 days. A full hearing, as provided by this section, must be set for
a date no later than the date when the ex parte temporary injunction ceases to
be effective.

(6) Reasonable cause. In determining whether a petitioner has
reasonable cause to believe that the vulnerable adult is, or is in imminent
danger of becoming, a victim of exploitation, the court shall consider and
evaluate all relevant factors, including, but not limited to, any of the
following:
(a) The existence of a verifiable order of protection issued previously or

from another jurisdiction.
(b) Any history of exploitation by the respondent upon the vulnerable adult

in the petition or any other vulnerable adult.
(c) Any history of the vulnerable adult being previously exploited or

unduly influenced.
(d) The capacity of the vulnerable adult to make decisions related to his or

her finances and property.
(e) Susceptibility of the vulnerable adult to undue influence.
(f) Any criminal history of the respondent or previous probable cause

findings by the adult protective services program, if known.
(7) Notice of petition and injunction. 



(a) The respondent shall be personally served, pursuant to chapter 48, with
a copy of the petition, notice of hearing, and temporary injunction, if any,
before the final hearing.

(b) If the petitioner is acting in a representative capacity, the vulnerable
adult shall also be served with a copy of the petition, notice of hearing, and
temporary injunction, if any, before the final hearing.

(c) If any assets or lines of credit are ordered to be frozen, the depository
or financial institution must be served as provided in s. 655.0201.

(8) Final hearing on petition.
(a)1. The court may grant such relief as the court deems proper when, upon
notice and hearing, it appears to the court that:
a. The vulnerable adult is the victim of exploitation or that the vulnerable

adult is in imminent danger of becoming a victim of exploitation.
b. There is a likelihood of irreparable harm and nonavailability of an

adequate remedy at law.
c. The threatened injury to the vulnerable adult outweighs possible harm to

the respondent.
d. Where the injunction freezes assets of the respondent, the court finds

probable cause that exploitation has occurred, the freeze only affects the
proceeds of such exploitation, and there is a substantial likelihood that such
assets will be ordered to be returned to the vulnerable adult.

e. The relief provides for the vulnerable adults physical or financial safety.
2. Such relief may include, but need not be limited to, injunctions doing

any of the following:
a. Continuing the temporary injunction in part or in whole.
b. Restraining the respondent from committing any acts of exploitation.
c. Awarding to the vulnerable adult the exclusive use and possession of the

dwelling that the vulnerable adult and the respondent share or excluding the
respondent from the residence of the vulnerable adult. The court shall
confirm the availability of any required services or alternative caregivers that
may be necessary to ensure the vulnerable adults safety.



d. Ordering the respondent to participate in treatment, intervention, or
counseling services to be paid for by the respondent.

e. Directing that assets under temporary freeze by injunction be returned to
the vulnerable adult, or directing that those assets remain frozen until
ownership can be determined; and directing that the temporary freeze on any
line of credit be lifted.

f. Where the court has found that the respondent has engaged in
exploitation of the vulnerable adult, entering a final cost judgment against the
respondent and in favor of the petitioner for all taxable costs, and entering a
final cost judgment against the respondent and in favor of the clerk of the
circuit court for all the clerks filing fees and service charges that were
waived by operation of this section.

g. Ordering such other relief as the court deems necessary for the
protection of a victim of exploitation, including injunctions or directives to
law enforcement agencies, as provided in this section.

(b) The court must allow an advocate from a state attorneys office, a law
enforcement agency, or the adult protective services program to be present
with the petitioner or the respondent during any court proceedings or hearings
related to the injunction, provided the petitioner or the respondent has made
such a request and the advocate is able to be present.

(c) The terms of an injunction restraining the respondent as provided in
paragraph (a) remain in effect until the injunction is modified or dissolved.

(9) Provisions required in any temporary or permanent injunction.
A temporary or final judgment on an injunction must, on its face, indicate:
(a) That the injunction is valid and enforceable in all counties of this state.
(b) That law enforcement officers may use their arrest powers under s.

901.15(6) to enforce the terms of the injunction.
(c) That the court had jurisdiction over the parties and subject matter under

state law and that reasonable notice and opportunity to be heard were given to
the person against whom the order was sought, in a manner that was
sufficient to protect that persons right to due process.

(d) If any assets or lines of credit are ordered to be frozen, the date that the
depository or financial institution was served with the injunction as provided



in s. 655.0201.
(e) The date the respondent was served with the petition for injunction.

(10) Transmittal to sheriff; service.
(a)1.a. The clerk of the circuit court shall furnish a copy of the petition,

the financial affidavit, the notice of hearing, and any temporary
injunction to the sheriff or a law enforcement agency of the county in
which the respondent resides or can be found, who shall serve it upon
the respondent as soon thereafter as possible on any day of the week
and at any time of the day or night. At the request of the sheriff, the
clerk of the circuit court may transmit a facsimile copy of an injunction
that has been certified by the clerk of the circuit court pursuant to
subparagraph 4., and this facsimile copy may be served in the same
manner as a certified copy. The clerk of the circuit court shall also
furnish to the sheriff such information on the respondents physical
description and location as is required by the Department of Law
Enforcement to comply with the verification procedures set forth in
sub-subparagraph b.

b. Upon receiving a facsimile copy, the sheriff must verify receipt with the
clerk of the circuit court before attempting to serve it upon the respondent. If
the sheriff is in possession of an injunction that has been certified by the clerk
of the circuit court, the sheriff may transmit a facsimile copy of that
injunction to a law enforcement officer who shall serve it in the same manner
as a certified copy.

c. Notwithstanding any other provision of law, the chief judge of each
judicial circuit, in consultation with the appropriate sheriff, may authorize a
law enforcement agency within the jurisdiction to effect service. A law
enforcement agency performing service pursuant to this section shall use
service and verification procedures consistent with those of the sheriff.

2.a. Except where the vulnerable adult is the petitioner, the clerk of the
circuit court shall furnish a copy of the petition, the financial affidavit, the
notice of hearing, and any temporary injunction to the sheriff or a law
enforcement agency of the county in which the vulnerable adult resides or
can be found, who shall serve it upon the vulnerable adult as soon
thereafter as possible on any day of the week and at any time of the day or



night. At the request of the sheriff, the clerk of the circuit court may
transmit a facsimile copy of an injunction that has been certified by the
clerk of the circuit court pursuant to subparagraph 4., and this facsimile
copy may be served in the same manner as a certified copy. The clerk of
the circuit court shall also furnish to the sheriff such information on the
vulnerable adults physical description and location as is required by the
Department of Law Enforcement to comply with the verification
procedures set forth in sub-subparagraph b.
b. Upon receiving a facsimile copy, the sheriff must verify receipt with the

clerk of the circuit court before attempting to serve it upon the vulnerable
adult. If the sheriff is in possession of an injunction that has been certified by
the clerk of the circuit court, the sheriff may transmit a facsimile copy of that
injunction to a law enforcement officer, who shall serve it in the same manner
as a certified copy.

c. Notwithstanding any other provision of law, the chief judge of each
judicial circuit, in consultation with the appropriate sheriff, may authorize a
law enforcement agency within the jurisdiction of the circuit to effect service.
A law enforcement agency performing service pursuant to this section shall
use service and verification procedures consistent with those of the sheriff.

3. When an injunction for protection against exploitation of a vulnerable
adult is issued, if the petitioner requests that a law enforcement agency assist
the vulnerable adult, the court may order that an officer from the appropriate
law enforcement agency accompany the vulnerable adult and assist in the
service or execution of the injunction, including returning possession of a
dwelling or residence to the vulnerable adult. A law enforcement officer shall
accept a copy of an injunction, certified by the clerk of the circuit court
pursuant to subparagraph 4., from the petitioner and immediately serve it
upon a respondent who has been located but not yet served. The law
enforcement agency must also serve any injunction freezing assets on a
financial institution where assets subject to dissipation are held, or where a
credit line may be exploited. Service upon the depository or financial
institution must be served as provided in s. 655.0201.

4. The clerk of the circuit court shall certify a copy of all orders issued,
changed, continued, extended, or vacated subsequent to the original service
of the original petition, notice of hearing, or temporary injunction and deliver



the certified copy to the parties at the time of the entry of the order. The
parties may acknowledge receipt of a certified order in writing on the face of
the original order. If a party fails or refuses to acknowledge the receipt of a
certified copy of an order, the clerk of the circuit court must note on the
original petition that service was effected. If delivery at the hearing during
which an order is issued is not possible, the clerk of the circuit court shall
mail certified copies of the order to the parties at their respective last known
mailing addresses; except that service upon a depository or financial
institution must be served as provided in s. 655.0201. Service by mail is
complete upon mailing. When an order is served pursuant to this
subparagraph, the clerk of the circuit court shall notify the sheriff of the
service and prepare a written certification to be placed in the court file
specifying the time, date, and method of service.

5. If the respondent has been previously served with the temporary
injunction and has failed to appear at the initial hearing on the temporary
injunction, any subsequent petition for an injunction seeking an extension of
time may be served on the respondent by the clerk of the court by certified
mail in lieu of personal service by a law enforcement officer.

(b)1. Within 24 hours after the court issues an injunction for protection
against exploitation of a vulnerable adult or changes, continues, extends, or
vacates such an injunction, the clerk of the circuit court must forward a
certified copy of the order to the sheriff with jurisdiction over the residence
of the petitioner for service in accordance with this subsection.
2. Within 24 hours after service of an injunction for protection against

exploitation of a vulnerable adult upon a respondent, the law enforcement
officer who served the injunction must forward the written proof of service to
the sheriff with jurisdiction over the residence of the petitioner.

3. Within 24 hours after the sheriff receives a certified copy of the
injunction for protection against exploitation of a vulnerable adult, the sheriff
must make information related to the injunction available to this states law
enforcement agencies by electronically transmitting such information to the
Department of Law Enforcement.

4. Within 24 hours after the sheriff or other law enforcement officer has
made service upon the respondent and the sheriff has been so notified, the
sheriff must make information relating to the service available to other law



enforcement agencies by electronically transmitting such information to the
Department of Law Enforcement.

5. Within 24 hours after an injunction for protection against exploitation of
a vulnerable adult is terminated or otherwise rendered no longer effective by
ruling of the court, the clerk of the circuit court must notify the sheriff
receiving original notification of the injunction as provided in subparagraph
1. The sheriff shall, within 24 hours after receiving such notification from the
clerk of the circuit court, notify the Department of Law Enforcement of such
court action.

(11) Enforcement.
(a) As to the respondent, the court may enforce a violation of an injunction

for protection against exploitation of a vulnerable adult through a civil or
criminal contempt proceeding, and the state attorney may prosecute it as a
criminal violation under s. 825.1036. Any assessment or fine ordered by the
court enforcing such injunction shall be collected by the clerk of the circuit
court and transferred on a monthly basis to the Department of Revenue for
deposit in the Domestic Violence Trust Fund.

(b) If the respondent is arrested by a law enforcement officer under s.
901.15(6) or for a violation of s. 825.1036, the respondent must be held in
custody until he or she is brought before the court, which must occur as
expeditiously as possible, for the purpose of enforcing the injunction for
protection against exploitation of a vulnerable adult and for admittance to bail
in accordance with chapter 903 and the applicable rules of criminal
procedure, pending a hearing.

(12) Judgment for damages. Actual damages may be assessed against
the petitioner in a proceeding under this section if the court finds that the
petition lacks substantial fact or legal support.

(13) Modification or dissolution of injunction. The petitioner,
respondent, or vulnerable adult may move at any time to modify or
dissolve the injunction in part or in whole. No specific allegations are
required for modification or dissolution of the injunction, which may be
granted in addition to other civil or criminal penalties. The court shall
promptly hear a motion to modify or dissolve an injunction.

(14) Limitation. Nothing in this section may affect title to real property.



History.
S. 2, ch. 2018-100, effective July 1, 2018; s. 8, ch. 2021-221, effective July

1, 2021.



CONSTITUTION OF THE STATE OF FLORIDA 
AS REVISED IN 1968 AND SUBSEQUENTLY 

AMENDED.

________
 Title XLVI. ,  Art. X. 

Fla. Const. Art. X

ARTICLE X.
MISCELLANEOUS.

 Title XLVI. ,  Art. X. ,   4. 
Fla. Const. Art. X,  4

Section 4. Homestead; exemptions.
(a) There shall be exempt from forced sale under process of any court, and

no judgment, decree or execution shall be a lien thereon, except for the
payment of taxes and assessments thereon, obligations contracted for the
purchase, improvement or repair thereof, or obligations contracted for house,
field or other labor performed on the realty, the following property owned by
a natural person:

(1) a homestead, if located outside a municipality, to the extent of one
hundred sixty acres of contiguous land and improvements thereon, which
shall not be reduced without the owners consent by reason of subsequent
inclusion in a municipality; or if located within a municipality, to the
extent of one-half acre of contiguous land, upon which the exemption shall
be limited to the residence of the owner or the owners family;

(2) personal property to the value of one thousand dollars.
(b) These exemptions shall inure to the surviving spouse or heirs of the

owner.
(c) The homestead shall not be subject to devise if the owner is survived by

spouse or minor child, except the homestead may be devised to the owners
spouse if there be no minor child. The owner of homestead real estate, joined



by the spouse if married, may alienate the homestead by mortgage, sale or
gift and, if married, may by deed transfer the title to an estate by the entirety
with the spouse. If the owner or spouse is incompetent, the method of
alienation or encumbrance shall be as provided by law.

HISTORY:
Am. H.J.R. 4324, 1972; adopted 1972; Am. H.J.R. 40, 1983; adopted

1984; Am. proposed by Constitution Revision Commission, Revision No. 13,
1998, filed with the Secretary of State May 5, 1998; adopted 1998.



INDEX TO FLORIDA PROBATE RULES AND STATUTES
________

A

ABANDONED PROPERTY.
Escheat.

See ESCHEAT.
Unclaimed property.

See UNCLAIMED PROPERTY.
ABATEMENT, 733.805.
ACCESSIONS, 732.605.
ACCOUNTING.
Business, continuance of wards, 5.640(d).
Contents of, 5.346.
Curator, by, 5.122(e), 5.345.
Disclosure of amount of attorneys fees, 5.400(b)(4).
Execution.

By guardian, 5.610(d).
By personal representative, 5.330(b).

Failure to file, 5.150(a), 5.440(d).
Fees to attorneys, disclosure of amount of, 5.400(b)(4).
Fiduciary Accounting Principles, Uniform, 5.346Appendix B.
Final, 5.346.

Filing of, 5.345, 5.400(a), 5.400(c), 5.440(b), 5.670(c), 5.680(c), 744.521,
744.524.

Objections to, 5.345(b)(e), 5.400(b)(6)(b)(7), 5.400(d), 5.401, 5.670(f)
(h), 5.680(f)(g), 5.700.

Service, 5.345(b), 5.400(c), 5.680(e).



Time for, 5.400(c).
Verification of, 5.346(d).
Waiver of, 5.180, 731.302.

Forms, 5.346Appendix A, 5.346(c).
Guardian.

See GUARDIAN.
Interim.

Approval of, 5.345(e).
Contents of, 5.346.
Election by personal representative, 5.345(a).
Fiscal year, selection of, 5.345(a)(1).
Notice of filing of, 5.345(b).
Objections to, 5.345(b)(e).
Substantiating documents, 5.345(f).
Supplemental accounting, 5.345(g).

Order requiring, 5.150, 744.3685.
Personal representative, 5.345.

Form, 5.346Appendix A.
Removal, upon.

Guardian, 5.660(b), 5.660(d), 744.511.
Personal representative, 5.345, 5.440(b), 733.508(1).

Resignation, upon.
Guardian, 744.467.
Personal representative, 5.345, 5.430(g), 733.5036(1).

Restoration of rights of developmentally disabled person, filing of final
accounting, 5.681(f).

Service of order on personal representative or guardian and attorney,
5.150(c), 744.3685.

Standards for, 5.346(b).
Supplemental, 5.345(g).



Time for, 5.150(a), 5.345(a), 5.440(b), 5.695(a)(2), 744.367(1).
Trust.

See TRUST.
Trustee, by.

See TRUSTEE.
Uniform Fiduciary Accounting Principles, 5.346Appendix B.
Verification of, 5.345(h), 5.346(d).
ACKNOWLEDGMENT.
Deed, of.

See REAL PROPERTY.
Will, of, 732.502(1)(b), 732.503.
ADEMPTION, 732.605, 732.606, 732.609.
ADMINISTRATION.
Ancillary.

See ANCILLARY ADMINISTRATION.
Bond by personal representative, 5.235(a)(2), 5.235(c), 733.402, 733.403.
Curator, by.

See CURATOR.
Disposition of personal property without, 5.420, 735.301, 735.302.

Intestate property in small estates, 735.304.
Payment to successor without court proceedings, 735.303.

Evidence of death, filing of, 5.205(a), 731.103.
Expenses of.

See EXPENSES.
Information about, generally, 5.341.
Letters, issuance of, 5.235(b).
Notice of.

Contents, 5.240(b), 733.212(2).
Objections, 5.240(b)(3), 5.240(d), 733.212(2)(3), 733.2123.



Service, 733.212(1)(8).
By personal representative, 5.240(a).
On personal representative, date notices considered served, 5.2405.
Waiver of service, 5.240(e).

Waiver, 733.212(8).
Petition for.

Generally, 5.200, 733.202.
Notice, 5.201, 733.2123.

Probate of will without, 5.210.
Revocation of order of discharge, 5.460(c), 733.903.
Subsequent to final settlement and discharge, 5.460, 733.903.
Succession of, 733.307.
Summary.

See SUMMARY ADMINISTRATION.
ADMINISTRATOR AD LITEM.
Appointment of, 5.120(a), 5.120(g), 733.308.
Enforcement of judgments, 5.120(f).
Oath, 5.120(a).
Objector to claim against estate, 733.705(3).
Recovery of judgments or other relief, 5.120(f).
Service of petition and order, 5.120(e).
ADOPTED PERSONS.
Intestate succession by or from, 732.108.
Trust.

Subsequent adoption, effect on revocable trust, 736.1105.
ADULT ABUSE.
Disabilities, persons with.

Abuse, neglect, exploitation or aggravated manslaughter of elderly person
or disabled adult.



Forfeiture of beneficiary interest, 732.8031.
Elderly persons.

Abuse, neglect, exploitation or aggravated manslaughter of elderly person
or disabled adult.
Forfeiture of beneficiary interest, 732.8031.

Injunctions.
Elderly and disabled adult abuse.

Adversary proceedings, 5.025(a), 825.1035.
ADVANCE DIRECTIVES, HEALTH CARE.
See HEALTH CARE ADVANCE DIRECTIVES.
ADVANCEMENTS, 733.806.
ADVERSARY PROCEEDINGS.
Caption of pleadings, 5.025(d)(5).
Declared adversary proceedings.

Notice required, 5.025(b)(3).
Service.

Petitioner, by, 5.025(b)(1).
Respondent, by, 5.025(b)(2).

Defined, 5.025(a).
Delay, evidence of, 5.025(d)(3).
Notice required, 5.025(b)(3), 5.025(d)(1).
Order, 5.025(c)(d).
Rules of Civil Procedure to govern, 5.025(d)(2).
Specific proceedings designated as, 5.025(a).
AFFIRMATIONS.
See OATH.
AFTERBORN BENEFICIARIES, 732.106, 732.302, 732.507(1).
AGENCY FOR HEALTH CARE ADMINISTRATION.
Creditor status of, 5.241(a), 5.241(e), 409.910, 409.9101, 733.2121(3)(d).



Notice of names of decedents to agency by circuit judges, 198.30.
AGENT, RESIDENT.
See RESIDENT AGENT.
AGENTS.
Elective share, election by agent or guardian of property, 5.360(a)(b).
AGREEMENTS.
Private, 733.815.
Succession, concerning, 732.701.
ALIENS.
Estate tax on decedents, 198.04.
Rights of inheritance, 732.1101.
ANATOMICAL GIFTS.
Amendment of terms of, 765.516.
Certification of organizations engaged in procurement of organs and

tissues, 765.541, 765.542, 765.544.
Confidentiality of donor registry information, 765.51551.
Cooperation between medical examiners and procurement

organizations, 765.547.
Coordinators of procurement organizations, supervision of, 765.545.
Corneal removal, 765.5185735.519.
Definitions, 765.511.
Discrimination in access to anatomical gifts and organ transplants,

765.523.
Donees.

Duties of, 765.517.
Permissible, 765.513.
Rights of, 765.517.

Donor registry, 765.5155.
Driver license, notation of gift on, 765.514(1)(c), 765.521.



Education program relating to, 765.5155.
Eye banks, 765.518, 765.522, 765.541, 765.542, 765.544.
Fees from applicants and certificateholders, 765.544.
Hospital administrators, duty of, 765.522.
Identification card, notation of gift on, 765.514(1)(c), 765.521.
Legislative declaration, 765.510.
Organ and Tissue Donor Education and Procurement Trust Fund,

765.544.
Organ and Tissue Procurement and Transplantation Advisory Board,

765.543.
Out-of-state physicians, procurement of organs by, 765.546.
Procedure to make, 765.514.
Public records exemption, 765.51551.
Purposes for, permissible, 765.513.
Registry, donor, 765.5155.
Revocation of, 765.516.
Uniform donor card.

Delivery of, 765.515.
Form for, 765.514(1)(f).

Who may make, 765.512.
ANCILLARY ADMINISTRATION.
Admission of will to probate, 734.102(3).
Authenticated copy of will, 5.215, 5.470(a)(c), 5.475(a).
Bond by personal representative, 734.102(4).
Commencement of, 734.102(2).
Evidence of death, filing of, 5.205(a)(2).
Notice of, 5.065(b)(c), 5.470(b), 734.102(1).
Notice to creditors, 734.102(5).
Personal representative.

Appointment of, 734.102(1).



Bond by, 734.102(4).
Rights and duties of, 734.102(7).

Petition for, 5.020(b), 5.470(a).
Short form.

Claims.
Notification of, 5.475(e), 734.1025(2).
Objections to, 5.475(f).
Procedure, 5.475(c).

Filing requirements, 5.475(a), 734.1025(1).
Notice to creditors, 5.475(b), 734.1025(2).
Order, 5.475(d).

Transfer of property by court order, 734.102(6).
Will, filing of copy of, 5.470(a)(1), 5.475(a)(1), 734.1025(1).
ANIMAL, TRUST FOR CARE OF, 736.0408.
ANNUAL ACCOUNTING.
See ACCOUNTING.
ANNUAL GUARDIANSHIP PLAN.
See GUARDIAN.
ANNUAL GUARDIANSHIP REPORT.
See GUARDIAN.
ANNUITY CONTRACTS, UNCLAIMED PROCEEDS, 717.107.
ANTILAPSE.
Devise, 732.603.
Disposition by trust, 736.1106.
APPEAL.
Guardianship proceedings, 5.100, 744.109(2).
Probate proceedings, 5.100.
APPOINTMENT OF PROPERTY.



See POWER OF APPOINTMENT.
APPORTIONMENT.
Estate taxes, 733.817.
Income and principal.

See FLORIDA UNIFORM PRINCIPAL AND INCOME ACT.
APPRAISAL.
Guardianship proceedings, 744.381.
Probate, 5.340(g), 733.604(3).
APPRAISERS.
Compensation, review of, 733.6175, 736.0206.
County property, schedule of recorded conveyances furnished to, 695.22.
Department of Revenue, appointment by, 198.07, 198.11.
Employment by personal representative, 733.612(19).
ARBITRATION OF DISPUTES INVOLVING WILLS OR TRUSTS,

731.401.
ASSETS.
Defined, 732.703(1)(a).
Elective share payable from, 732.2035, 732.2045, 732.2075.
Exhaustion of wards, 5.680.
Inventory of.

See INVENTORY.
Nondomiciliaries, of, 731.106.
Order of appropriation of, 733.805.
Production of, 5.160, 744.373.
Surrender of.

Removed guardian, by, 5.660(c), 744.514.
Removed personal representative, by, 733.509.
Resigning personal representative, by, 733.5035.

ASSIGNMENT OF DOWER, 5.365.



ATTORNEYS.
Compensation of.

Discovery, cost of, 5.080(b).
Expert witnesses.

Guardian and attorney fees, expert testimony as to reasonableness,
744.108(9).

Guardianship proceedings, 744.107(4), 744.108, 744.331(7)(a),
744.1075(5).

Power of attorney petitions, 709.2116(3).
Probate proceedings, 5.355, 5.400(b), 732.2145(2)(b), 733.609,

733.612(19), 733.707, 733.3101, 733.6171, 733.6175.
Generally, 733.106.
Will reformation and modification, 733.1061.

Summary administration proceedings, 735.206(4).
Trust proceedings, 736.0206, 736.0802, 736.1004, 736.1005, 736.1007,

736.05053(4), 738.104(8)(c).
Veterans guardianship, 744.369.

Counsel for alleged incapacitated person, 744.102(1), 744.331(2),
744.362(2).

Counsel for developmentally disabled person, 5.649(c), 5.681(b),
393.12(5), 393.12(12)(a).

Counsel for guardian or personal representative, 5.030(a).
Counsel for minor, 744.3021(3).
Counsel for self, 5.030(a).
Elective share proceedings.

Award of attorneys fees and costs, 732.2151.
Gifts to lawyers and other disqualified persons, 732.806.
Limited appearance without court order, 5.030(b).

Withdrawal, 5.030(c).
Personal representative, service as.

Compensation, restrictions, 733.617.



Trustee, service as.
Compensation, restrictions, 736.0708.

Withdrawal of.
Court approval required, 5.030(c).
Motion for, 5.030(c).

AUDIT.
Defined, 744.102(2).
Guardians reports, fee for, 744.365(6), 744.3678(4).
Public guardian, report by, 5.710(e).
Verified inventory, 744.365(6), 744.368(3).
AUTHENTICATION.
Copy of will, 5.200(j), 5.210(a)(8), 5.215, 5.470(a)(c), 5.475(a), 733.206(2).
Defined, 731.201(1).



B

BANK ACCOUNTS.
Adverse claim to, 655.83, 717.1241, 717.12403.
Business days, 655.89(1)(a), 655.89(5)(8).
Checks.

Postdated, issuance of, 655.86.
Settlement of, 655.85.

Convenience accounts, 655.80.
Credit balances, unclaimed, 655.851.
Definitions, 655.89(1), 655.90(1), 655.91(1), 655.93, 655.769.
Emergency closings of banks, 655.90.
Holidays, banking, 655.89(1)(b), 655.89(2)(5), 655.89(7)(8).
Minors, withdrawal of deposits by, 655.77.
Out-of-state institutions, transactions by, 655.921.
Pay-on-death accounts, 655.82.
Records, retention and destruction of, 655.91.
Safe-deposit box.

See SAFE-DEPOSIT BOX.
Statements of account, validity of, 655.84.
Trust, deposits in, 655.825.
Two or more names, deposits in.

Vesting on death of one account holder, 655.79.
Withdrawals, 655.78.

Unauthorized banking business, 655.922.
Unclaimed property.

Credit balances, 655.851.
Generally, 717.106, 717.12403.

BANKRUPTCY EXEMPTIONS.



See EXEMPT PROPERTY.
BENEFICIARY.
Contracts, private, 733.815.
Defined, 731.201(2), 732.703(1)(b), 736.0103(4), 738.102(2).
Determination of, 5.025(a), 5.385, 733.105.
Exclusion from status as interested person, 731.201(23).
Income beneficiary defined, 738.102(5).
Interests of the beneficiaries.

Defined, 736.1003.
BIRTH.
Trust.

Subsequent birth, effect on revocable trust, 736.1105.
BOND.
Amount of for estate fiduciaries, 733.403.
Ancillary administration, 734.102(4).
Conservator, 747.034.
Curator, 733.402, 733.403, 733.501(2).
Department of Revenue, bond for agents of, 198.07(2).
Emergency temporary guardian, 744.3031(7).
Foreign guardian, 5.645(e), 744.307(3).
Generally, 733.402.
Guardian, 744.351, 744.354, 744.357.
Magistrate, 5.095(e).
Partial distribution, bond required before entry of order of, 5.380(c),

733.802(3).
Personal representative, 5.235(a)(2), 5.235(c), 733.402, 733.403.
Premium allowable as expense of administration, 733.406, 744.641.
Preneed guardian, 744.3045(7).
Professional guardian, 744.2002(3)(b), 744.2003(2).



Public guardian, 744.351(5), 744.2102.
Release of surety.

Discharge of guardian, upon, 744.531.
Final distribution of assets and discharge, upon, 5.400(e), 733.901(2).
Petition, upon, 733.405.
Removal of personal representative, upon, 733.506, 733.508(2).
Resignation of personal representative, upon, 733.502, 733.5036(2).

Removal of personal representative, 733.506, 733.508(2).
Resignation of personal representative.

Exoneration of surety, 733.502, 733.5036(2).
Notice to surety, 5.430(c).

Surety.
See SURETY.

Trustee, 736.0702, 736.0705(3).
Veterans guardian, 744.619, 744.641.
Waiver of, 733.402(4).
Will.

Electronic will or codicil.
Qualified custodians, 732.525.

BURDEN OF PROOF.
Compensation of agent, reasonableness of, 5.355, 733.6175, 736.0206.
Propriety of employment of agent, 5.355, 733.6175, 736.0206.
Will contests, 5.275, 733.107.
BUSINESS, CONTINUANCE OF.
Guardian, by.

Accounting, 5.640(d).
Conduct of, 5.640(c)(d).
Discontinuance by court order, 5.640(e).
Generally, 5.640(a), 744.441(m).



Order authorizing, 5.640(a)(c).
Petition for, 5.640(b).
Reports, 5.640(d).

Personal representative, by.
Conduct of, 5.350(a), 5.350(d).
Discontinuance by court order, 5.350(d).
Generally, 733.612(22).
Order authorizing, 5.350(c).
Petition, 5.330, 5.350(b), 5.350(d).
Records to court, 5.350(a).



C

CAVEAT.
Contents, 5.260(b), 731.110(2).
Designation of resident agent for nonresident caveator, 5.260(c),

731.110(2).
Filed after will admitted to probate, 5.260(d).
Filing of, 5.260(a), 731.110(1).
Other interested persons, 5.260(f).
Petition for administration, formal notice not required, 5.260(f), 731.110.
Service of notice on caveator or resident agent, 5.260(c), 5.260(f),

731.110(2)(3).
CERTIFICATE OF SERVICE, 5.496(b).
CERTIFICATION OF TRUST, 736.1017.
CHARITABLE TRUST.
See TRUST.
CHILDREN OR MINORS.
Attorney for, 744.3021(3).
Bank deposits, withdrawal of, 655.77.
Defined, 710.102(11), 731.201(3), 731.201(25), 744.102(13).
Disclaimer on behalf of.

See DISCLAIMER.
Family allowance for.

See FAMILY ALLOWANCE.
Guardian ad litem for, 5.636(d), 744.3025.
Guardian for.

Annual plan, 5.555(e)(2), 744.3675.
Form of annual guardianship plan for minor, 5.904(b).

Annual report, 5.555(e).



Appointment of, 5.555(c)(d), 744.342, 744.387(3)(b), 744.3021,
744.3371(2).

Initial guardianship report, 5.555(e).
Initial plan, 5.555(e)(2).

Form for initial guardianship plan for minor, 5.904(a).
Natural, 744.301.
Powers of, 744.361(1), 744.3021(1).
Preneed, 744.3046.
Settlement of claims, 5.636, 744.301(2)(3), 744.387, 744.3025.
Veterans, 744.613(2), 744.631(1), 744.643.

Health care surrogate.
Designation of surrogate for minor, 765.2035.

Form, 765.2038.
Illegitimate, inheritance rights of, 732.108(2), 732.608.
Intestate succession, rights of.

See INTESTATE SUCCESSION.
Pretermitted, 732.302, 732.507(1).
Safe-deposit box, leasing, 655.932.
Transfers to.

See FLORIDA UNIFORM TRANSFERS TO MINORS ACT.
CHILD SUPPORT.
Trust.

Community property trust act.
Right to support, 736.1509.

CITATION OF RULES, 5.010.
CIVIL ACTION.
Notice of, 5.065(a), 5.065(c).
Rules of evidence in, applicability of, 5.170, 731.103, 731.1035.
CIVIL PROCEDURE, RULES OF.



See RULES OF CIVIL PROCEDURE.
CLAIMS.
Amending, 5.490(d), 733.704.
Ancillary administration, 734.102(5)(7).
Ancillary administration, short form, 5.475(c), 5.475(e), 5.475(f),

734.1025(2).
Community property, 732.224.
Compromise of, 5.330(e), 733.708.
Defined, 731.201(4).
Exempt property.

See EXEMPT PROPERTY.
Extension of time for filing, 733.702.
Failure to deliver or receive, effect of, 5.490(c).
Fraudulent transfers, 222.29, 222.30.
Garnishment.

See GARNISHMENT.
Guardian, settlement by, 5.636, 744.301(2)(3), 744.387, 744.3025(1)(e).
Guardian ad litem, settlement by, 5.636, 744.3025.
Independent action on, 733.705(5).
Limitations on, 733.702, 733.710.
Minors, of, 5.636, 744.301(2)(3), 744.387, 744.3025.
Notice of trust, 736.05055.
Notice to creditors, 5.241, 5.260(e), 5.475(b), 733.701, 733.2121,

734.102(5), 734.1025(2), 735.206(2), 735.2063.
Objection to, 5.496, 5.499, 733.705.
Payment of.

Generally, 733.705.
Priority of, 733.707.
Trust, by, 736.05053.

Personal representatives proof of, 5.498, 733.703(2), 733.705(4).



Presentation of.
Form of, 5.490(a).
Service, 5.490(b).

Sale of real property to third party, exemption for, 733.613(3).
Settlement of.

Guardian, by or against, 744.301(2)(3), 744.387, 744.3025(1).
Confidentiality of reports, 744.3701.

Minor, on behalf of, 5.636, 744.301(2)(3), 744.387, 744.3025.
Confidentiality of reports, 744.3701.

Spendthrift provision, effect of, 736.0502, 736.0503.
Statement of, 5.490, 733.703(1).
Summary administration, statement in petition regarding creditors

claims, 5.530(a)(9).
Transfer-on-death provisions governing securities, effect of, 711.509(2).
Trust, settlor.

Creditor claims against settlor, 736.0505.
Trust property subject to, 733.707(3), 736.0501736.05053, 736.0506,

736.1014.
Unclaimed property.

See UNCLAIMED PROPERTY.
Validity, 5.490(c).
CLASS GIFTS, 732.603, 732.608.
CLERK.
Caveat, duties as to, 5.260(d).
Defined, 731.201(5), 744.102(3).
Review of annual guardianship reports, 744.368.
Seal of the clerk of court, 731.109.
CODICIL.
See WILL.



COLLATERAL HEIR.
Defined, 731.201(6).
COMMISSION TO PROVE WILL.
See PROBATE.
COMMUNITY PROPERTY.
Alteration of interest in, 732.225.
Application of Act, 732.217, 732.228.
Construction of Act, 732.228.
Creditors rights, 732.224.
Disposition on death, 732.219.
Homestead property, 732.225, 732.227.
Lender, interest of, 732.222.
Perfection of title.

Action by personal representative or beneficiary, 732.221.
Surviving spouse, of, 732.223.

Presumptions applicable to Act, 732.218.
Property subject to Act, 732.217.
Purchaser for value, interest of, 732.222.
Reinvestment of property that is or becomes homestead, 732.225.
Severance of interest in, 732.225.
Testamentary disposition, limitations on, 732.226.
Title of Act, 732.216.
COMMUNITY PROPERTY TRUST ACT, 736.1501 to 736.1512.
See TRUST.
COMPENSATION.
Attorney.

See ATTORNEYS.
Corporate personal representative, 5.355, 733.617(4), 733.6175.
Court monitor, 744.107(4).



Curator, 733.501(3).
Disclosure of, 5.180(b)(4), 5.400(b)(4).
Examining committee, 744.331(7)(a).
Expert testimony regarding, 733.6175(4).
Guardian, 744.108, 744.641.
Guardian ad litem, 5.120(d), 744.3025(2).
Legal assistants, 5.355, 733.6175, 744.108(4).
Personal representative, 5.355, 5.400(b), 733.612(19), 733.617, 733.707(1),

733.6175.
Petition.

See PETITION.
Professionals other than attorneys, 5.355, 733.612(19), 733.707, 733.6175.
Review of propriety of, 5.355, 733.6175, 736.0206.
Trustee, 736.0206, 736.0708, 736.1004, 738.701(1), 738.702(1).
Veterans guardian, 744.641.
COMPROMISE OF CLAIM, 5.330, 733.708.
COMPULSORY PAYMENT OF DEVISES OR DISTRIBUTIVE

INTERESTS.
Bond, 5.380(c), 733.802(3).
Order, 5.380(b), 733.802(2).
Petition, 5.380(a).
CONFLICT BETWEEN GUARDIAN AND WARD, 744.391, 744.446,

744.474.
CONSERVATORSHIP.
Absentee.

Defined, 747.01.
Incompetency of, 747.011.
Petition to terminate conservatorship, 747.04(1).

Conservator.
Appointment of, 747.032.



Bond, 747.034.
Discharge of, 747.04(3)(4).
Duties of, 747.035.
Minor, of, 710.102(4).
Oath of, 747.033.
Powers of, 747.035.
Removal of, 747.036.
Resignation of, 747.036.
Rights of, 747.035.

Hearing.
Notice of.

Plenary proceedings, 747.031(1).
Summary proceedings, 747.051(2), 747.052(3).

Plenary proceedings, 747.031(2).
Summary proceedings, 747.051(2), 747.052(4).

Jurisdiction of circuit court, 747.02, 747.03(1).
Order.

Plenary proceedings, 747.032.
Summary proceedings, 747.051(2)(3), 747.052(6).

Petition.
Plenary proceedings.

Contents, 747.03(2).
Filing, 747.03(1).
Notice of hearing on, 747.031(1).

Summary proceedings, 747.051(1), 747.052(1)(2).
Summary proceedings.

Property valued at $5,000 or more, 747.052.
Property valued at less than $5,000, 747.051.

Termination of, 747.04.



CONSTRUCTION OF PROBATE CODE.
Applicability, 731.155.
Effective date, 731.011.
Fiduciary access to digital assets act.

Application, 740.08.
Relation to electronic signatures in global and national commerce act,

740.07.
Severability, 740.09.

Implied repeal.
Construction against, 731.102.

Seal of the court, 731.109.
Short title, 731.005.
Substantive rights.

Procedure for determining, 731.011.
CONTEST.
Trust, of, 736.0207, 736.0604, 736.1108, 736.08165.
Will, of.

See WILL.
CONTRACTS AMONG INTERESTED PERSONS, 733.815.
CONTRIBUTION.
From beneficiary, 733.805(2)(4).
From trustee, 733.607(2), 736.05053.
Taxes, estate.

Florida.
Apportionment of estate tax, 733.817(10).

COPIES.
Authenticated, 5.200(j), 5.210(a)(8), 5.215, 5.470(a), 5.470(c), 5.475(a),

733.206(2), 734.104.
Certified, defined, 5.015(b)(1).



Evidence of death, 5.205, 731.103.
Inventory.

Order extending time for filing, 5.340(b).
Petition requesting extension of time for filing, 5.340(b).
Service of, 5.340(d).

Notarial will, 5.200(j), 5.210(a)(8), 733.205(2).
Notice of administration, 5.240(a), 733.212(1).
Pleadings and motions, request for, 5.060(a)(b).
Service of copy of will, 5.240(c).
Will, authenticated copy of, 5.200(j), 5.210(a)(8), 5.215, 5.470(a), 5.470(c),

5.475(a), 733.206(2), 734.104.
CORPORATE GUARDIAN, 5.590(c), 744.102(4), 744.309(4)(5),

744.351(5).
For-profit corporate guardian, 744.309(7).
COSTS.
Awarding of.

Breach of fiduciary duty, actions for, 733.609.
Elective share proceedings, 732.2151.
Guardianship proceedings, 744.105, 744.369(7), 744.3025(2),

744.3715(2).
Incapacity proceedings, 744.331(7)(c).
Power of attorney petitions, 709.2116(3).
Probate proceedings.

Generally, 733.106.
Will reformation and modification, 733.1061.

Trust proceedings, 736.1004, 736.1006.
Bond premium allowable as, 733.406, 744.641.
Discovery, of, 5.080(b).
Priority of payment of, 733.707.
Trustee, payment by, 736.05053.



COUNSEL.
See ATTORNEYS.
COURT.
Defined, 710.102(5), 731.201(7), 744.102(5).
Jurisdiction.

See JURISDICTION.
Reporting, 744.109.
COURT MONITOR.
Appointment of, 5.720(a)(b), 744.107(1), 744.1076(1).
Defined, 744.102(6).
Duties of, 5.720(b)(c), 744.107.
Emergency, 5.725, 744.1075, 744.1076(1).
Fee allowed to, 744.107(4).
Indigent wards.

Appointment of office of criminal conflict and civil regional counsel as
monitor, 744.107(5).

CREDIT INVESTIGATION OF PROSPECTIVE GUARDIAN,
744.3135.

CREDITOR.
Agency for Health Care Administration as, 409.910, 409.9101,

733.2121(3)(d).
Assets of ward, right to inspect, 744.373.
Caveat filed by, 5.260(a), 731.110.
Claims.

See CLAIMS.
Community property, rights as to, 732.224.
Notice to, 5.241, 5.260(e), 5.475(b), 733.701, 733.2121, 734.102(5),

734.1025(2), 735.206(2), 735.2063.
Statement regarding, 5.241(d).
CREMATION, 732.804, 744.397(1).



CRIMINAL INVESTIGATION OF PROSPECTIVE GUARDIAN,
744.3135.

CURATOR.
Accounting by, 5.122(e).
Appointment of, 5.122(b), 5.122(f), 733.501(1), 733.503, 733.5061.
Bond, 733.402, 733.403, 733.501(2).
Compensation of, 733.501(3).
Defined, 731.201(8).
Inventory by, 5.122(e).
Laws governing, 5.122(g).
Notice, 5.122(c), 733.501(1).
Oath of, 5.122(b).
Petition for appointment of, 5.122(a).
Powers of, 5.122(d), 733.501(1).
Reconsideration of appointment of, 5.122(f).
Removal of, 5.122(e), 733.501(4).
Resident agent, designation of, 5.122(b).
Rules governing, 5.122(g).
Surcharge of, 733.501(4).
CURTESY ABOLISHED, 732.111.



D

DEATH.
Benefits, 733.808.
Certificate.

See DEATH CERTIFICATE, FILING OF.
Defined, 765.511(4).
Disclosure in connection with sale of real estate, 689.25.
Donation of body.

See ANATOMICAL GIFTS.
Evidence of, filing, 5.205, 731.103.
Generally, 5.171, 731.103, 732.101(2).
Personal representative, of, 733.307.
Resident agent, of, 5.110(g).
Simultaneous, 732.601.
Trust.

Community property trust act.
Death of spouse.

Effect on property held in trust, 736.1507.
Ward, of, 5.680, 744.521.
DEATH CERTIFICATE, FILING OF.
Court order requiring, 5.205(c).
Definition, 732.703(1)(c).
Times, 5.205(a).
Unclaimed property proceedings, 717.1261.
Waiver of, 5.205(b).
Ward, death of, 5.680(a), 744.521.
DEBTS.
Claims.



See CLAIMS.
To decedent, intestate estate, 732.109.
DECLARATORY JUDGMENTS, 86.041.
DEFECTS IN PLEADINGS, 5.020(a).
DEFENSES, WRITTEN, 5.040(a)(2).
DEFINITIONS.
Absentee, 747.01.
Anatomical gifts, generally, 765.511.
At par.

Settlement of checks, 655.85.
Attorney for the alleged incapacitated person.

Guardianship, 744.102.
Audit.

Guardianship, 744.102.
Banking provisions, for purposes of, 655.89(1), 655.90(1), 655.91(1),

655.93, 655.769.
Beneficiary.

Antilapse, 736.1106.
Charitable organization.

Charitable trusts, 736.1201.
Clerk.

Guardianship, 744.102.
Community property.

Community property trust act, 736.1502.
Community property trusts, 736.1502.
Corporate guardian.

Guardianship, 744.102.
Court.

Guardianship, 744.102.



Court monitor.
Guardianship, 744.102.

Death, 765.511(4).
Decedents estates, 732.703.
Decree.

Community property trust act, 736.1502.
Delivery of notice.

Charitable trusts, 736.1201.
Developmental disabilities law, for purposes of, 393.063.
Dissolution.

Community property trust act, 736.1502.
Distribution date.

Antilapse, 736.1106.
During marriage.

Community property trust act, 736.1502.
Elective share, for purposes of, 732.2025.
Electronic wills, 732.521.
Estate, 731.201(14), 744.102(7).
Estate tax, for purposes of, 198.01.
Estate tax apportionment, 733.817(1).
Fiduciary, 518.10, 738.102.
Fiduciary access to digital assets act, for purposes of, 740.002.
Florida Disposition of Unclaimed Property Act, for purposes of, 717.101.
Florida Land Trust Act, for purposes of, 689.071(2).
Florida Probate Code, general definitions for purposes of, 731.201.
Florida Probate Rules, for purposes of, 5.015.
Florida Trust Code, for purposes of, 736.0103.
Florida Uniform Disclaimer of Property Interests Act, for purposes of,

739.102.
Florida Uniform Principal and Income Act, for purposes of, 738.102,



738.401, 738.602, 738.801, 738.1041(1).
Florida Uniform Transfer-on-Death Security Registration Act, for

purposes of, 711.501.
Florida Uniform Transfers to Minors Act, for purposes of, 710.102.
Foreign guardian, 744.102.
Future interest.

Antilapse, 736.1106.
Future interest under the terms of a trust.

Antilapse, 736.1106.
Gift.

Gifts to lawyers and other disqualified persons, 732.806.
Guardian, 744.102, 744.108(2).
Guardian ad litem, 744.102.
Guardian advocate, 744.102.
Guardianship, generally, 731.201, 744.102, 744.1025.
Health care advance directives, generally, 765.101.
Incapacitated person.

Guardians, 744.102.
Internal revenue code.

Charitable trusts, 736.1201.
Invasion of principal of trust, 736.04117.
Limited guardian, 744.102.
Manage property.

Guardians, 744.102.
Meet essential requirements for health or safety.

Guardians, 744.102.
Minor.

Guardians, 744.102.
Next of kin.

Guardians, 744.102.



Nonprofit corporate guardian.
Guardians, 744.102.

Notice, 5.015(b)(2)(b)(3), 5.040(c), 731.201(22).
Plenary guardian, 744.102.
Power of attorney, for purposes of, 709.2102.
Preneed guardian, 744.102.
Private foundation trust.

Charitable trusts, 736.1201.
Probate, generally, 5.015, 731.201.
Professional guardian, 744.102.
Property.

Guardians, 744.102.
Property identifier, construction liens, 717.117.
Qualified trustee.

Community property trust act, 736.1502.
Related to.

Gifts to lawyers and other disqualified persons, 732.806.
Seller.

Subsurface rights, disclosure to prospective purchaser, 689.29.
Settlor spouses.

Community property trust act, 736.1502.
Split interest trust.

Charitable trusts, 736.1201.
Standby guardian, 744.102.
Subsurface rights.

Real property, disclosure to prospective purchaser, 689.29.
Surrogate guardian, 744.102.
Surviving beneficiary.

Antilapse, 736.1106.
Surviving descendant.



Antilapse, 736.1106.
Totally incapacitated.

Guardians, 744.102.
Transfer fee covenants, for purpose of prohibition against, 689.28(2).
Uniform Real Property Electronic Recording Act, for purposes of,

695.27(2).
Ward.

Guardians, 744.102.
Written instrument.

Gifts to lawyers and other disqualified persons, 732.806.
DEPARTMENT OF REVENUE.
Agents appointed by, 198.07.
Appraisers appointed by, 198.07, 198.11.
Enforcement actions by, 198.25.
Estate tax administered by, 198.05.
Estate taxes generally.

See TAXES, ESTATE.
Examination of records by, 198.06.
Extension to file return allowed by, 198.14.
Hearing on deficiency, 198.17.
Inventory, service of, 733.2121(3)(e).
Nonliability, issuance of certificate of, 198.13(2).
Notice of determination of deficiency in federal taxes, 198.16.
Notice to.

Claims, notice to creditors to file, 733.2121(3)(e).
Names of decedents by circuit judges, 198.30.

Receipt, issuance of, 198.19.
Refunds issued by, 198.29.
Returns filed with, 198.13.



Rules promulgated by, 198.08.
Warrant issued by, 198.29.
DEPOSITIONS.
Costs, assessment of by court, 5.080(b).
Experts, of, 5.080(a)(13).
Generally, 5.080.
Rules of Civil Procedure governing, 5.080(a).
Scope, court discretion to limit, 5.080(b).
DEPOSITORY.
Designated financial institution as.

Acceptance of designation, 69.031(4).
Accountings by, 69.031(2).
Delivery of property to, 69.031(3).
Generally, 69.031(1).
Rejection of designation by, 69.031(4).

Securities, deposit of, 518.115.
DESCENDANT.
Defined, 731.201(9).
DESTROYED WILL.
See WILL.
DEVELOPMENTALLY DISABLED PERSON.
Administrator ad litem for, 5.120.
Business, continuation of, 5.640.
Definitions, 393.063.
Guardian advocate for.

See GUARDIAN ADVOCATE.
Rights of.

Counsel, right to, 5.649(c), 5.681(b), 393.12(5), 393.12(12)(a).
Restoration of.



Amended plan, filing of, 5.681(f), 393.12(12)(g).
Counsel, right to, 5.681(b), 393.12(12)(a).
Final accounting, filing of, 5.681(f).
Generally, 393.12(12).
Notice of filing of suggestion, 5.681(c).
Objections to, 5.681(d), 393.12(12)(c), 393.12(12)(d).
Order, 5.681(e), 393.12(12).
Petition for, 393.12(12).
Suggestion of restoration, execution, 5.681(a).

Retention of, 393.12(9).
DEVISE.
Ademption, 732.605, 732.609.
Compulsory payment of, 5.380, 733.802.
Defined, 731.201(10).
Delivery of.

Expenses of, 733.801(2).
Time for, 733.801(1).

Disclaimer of.
See DISCLAIMER.

Homestead, 732.4015.
Lapse of, 732.603.
Modification to achieve testators tax objectives.

Fees and costs, 733.1061.
Generally, 732.616.

Per stirpital, 732.603, 732.611.
Reformation to correct mistakes.

Fees and costs, 733.106, 733.1061.
Generally, 732.615.

Residuary, defined, 731.201(35).



Separate writing identifying, 732.515.
Trustee, to, 732.513.
Vesting of, 732.514.
Writing identifying, 732.515.
DEVISEE.
Defined, 731.201(11).
Excluded from interested person status, 731.201(23).
DIGITAL ASSETS, FIDUCIARY ACCESS, 740.001740.11.
See FIDUCIARY ACCESS TO DIGITAL ASSETS ACT.
DIRECTED TRUST, 736.1401 to 736.1416.
See TRUST.
DISABILITIES, PERSONS WITH.
Abuse, neglect, exploitation or aggravated manslaughter of elderly

person or disabled adult.
Forfeiture of beneficiary interest, 732.8031.

Injunctions.
Elderly and disabled adult abuse.

Adversary proceedings, 5.025(a), 825.1035.
DISABILITY BENEFITS, EXEMPTION FROM PROCESS, 222.18.
DISCHARGE.
Distribution.

See DISTRIBUTION.
Guardian.

See GUARDIAN.
Personal representative.

See PERSONAL REPRESENTATIVE.
DISCLAIMER.
Custodian under Florida Uniform Gifts to Minors Act, nominated,

710.121(1).



Florida Uniform Disclaimer of Property Interests Act.
Application to existing relationships, 739.701.
Barred, when disclaimer is, 739.402.
Definitions for purposes of, 739.102.
Delivery of disclaimer, 739.301.
Effective date of disclaimer, generally, 739.201.
Entireties property, 739.203.
Execution requirements, 739.104(3).
Fiduciarys power to disclaim, 739.104(2).
Filing of disclaimer, 739.301.
Irrevocability of disclaimer, 739.104(5).
Jointly held property, 739.202.
Passing of disclaimed interest, 739.201(2)(4).
Power held in fiduciary capacity, disclaimer of, 739.207.
Power of appointment.

Appointee, disclaimer by, 739.206(1).
Disclaimer of, 739.104(1)(2), 739.205.
Fiduciary, disclaimer by, 739.207.
Object or taker in default, disclaimer by, 739.206(2).
Power to disclaim, general requirements, 739.104.

Recording of disclaimer related to real estate, 739.601.
Scope of Act, 739.103.
Survivorship rights, 739.202, 739.203.
Tax-qualified disclaimer, 739.501.
Time of disclaimer, 739.401.
Title of Act, 739.101.
Trustee, disclaimer by, 739.204.
When disclaimer permitted, 739.401.
Writing, necessity of, 739.104(3).



DISCOVERY.
Costs, assessment of by court, 5.080(b).
Generally, 5.080.
Rules of Civil Procedure governing, 5.080(a).
Scope, court discretion to limit, 5.080(b).
DISPOSITION OF PERSONAL PROPERTY WITHOUT

ADMINISTRATION, 5.205(a)(4), 5.420, 735.301, 735.302.
Payment to successor without court proceedings, 735.303.
Small estates.

Intestate personal property in small estates, 5.425, 735.304.
DISQUALIFICATION.
Guardian, 5.650(i), 5.650(j), 744.309(3), 744.474(18).
Personal representative, 5.310, 733.303, 733.304, 733.3101.
DISSOLUTION OF MARRIAGE, EFFECT OF.
Decedents estates, effect on, 732.703.
Health care advance directive, 765.104(2).
Trust, 736.1010, 736.1105.

Community property trust act.
Generally, 736.1501 to 736.1512.

See TRUST.
Termination of trust and distribution of trust assets, 736.1508.

Will, 732.507(2).
DISTRIBUTEE.
Defined, 731.201(12), 736.0103(6).
Liability for improper distribution.

From estate, 733.812.
From trust, 736.1018.

Permissible distributee, defined, 736.0103(13).
DISTRIBUTION.



Advancement, 733.806.
Compulsory payment of devises or distributive interests, 5.380, 733.802.
Death benefits and proceeds, 733.808.
Encumbered property, liability for payment, 733.803.
Final accounting prior to.

Guardian, by.
See GUARDIAN.

Personal representative, by.
Contents of, 5.346.
Filing of, 5.400(a), 5.400(c).
Objections to, 5.400(b)(6)(b)(7), 5.400(d), 5.401.
Service, 5.400(c).
Time for, 5.400(c).
Waiver of, 5.180, 731.302.

Final discharge.
Guardian, of.

See GUARDIAN.
Personal representative, of.

Order of, 5.400(e), 5.401(e), 733.901(2).
Petition for.

Contents, 5.020(b), 5.330(g), 5.400(a)(b).
Objections to, 5.400(b)(6)(b)(7), 5.401.
Service, 5.400(c).
Time for, 5.400(c), 733.901(1).
Waiver of, 5.180, 731.302.

Improper, 733.812, 736.1018.
In kind, 733.810.
Order of appropriation of assets, 733.805.
Partition for purpose of, 733.814.
Per stirpital, 732.104, 732.603, 732.611.



Plan of.
Contents of, 5.400(b)(5).
Objections to, 5.400(b)(6)(b)(7).

Private contract among interested persons, 733.815.
Purchasers from distributees, 733.813.
Retainer, right of, 733.809.
Right of distributee in property, 733.811.
Summary administration, 5.530(d), 735.206.
Time for, 733.801(1).
Title of distributee, 733.811.
Unclaimed property.

See UNCLAIMED PROPERTY.
DIVORCE, EFFECT OF.
See DISSOLUTION OF MARRIAGE, EFFECT OF.
DOMICILE.
Affidavit of, 222.17.
Defined.

Disposition of Unclaimed Property Act, for purposes of, 717.101(8).
Estate administration, for purposes of, 731.201(13).
Estate tax, for purposes of, 198.015.

Evidence of, 222.17.
Ward.

Change of, 5.670, 744.524.
Generally, 744.1096.

DONATION OF BODY OR ORGANS.
See ANATOMICAL GIFTS.
DOWER.
Abolished, 732.111.



Petition for assignment to widow, 5.365.
DURABLE POWER OF ATTORNEY.
See POWER OF ATTORNEY.



E

EDUCATION REQUIREMENTS FOR GUARDIAN, 5.625, 744.2002(3)
(b), 744.2002(7), 744.2002(10), 744.2003, 744.3145.

ELDERLY PERSONS.
Abuse, neglect, exploitation or aggravated manslaughter of elderly

person or disabled adult.
Forfeiture of beneficiary interest, 732.8031.

Injunctions.
Elderly and disabled adult abuse.

Adversary proceedings, 5.025(a), 825.1035.
ELECTIVE SHARE.
Adversary nature of proceeding to determine amount of share and

contribution, 5.025(a).
Amount of.

Determination of, 5.025(a), 5.360(d).
Generally, 732.2065.

Assets applied to payment of, 732.2075.
Award of attorneys fees and costs in proceedings relating to elective

share, 732.2151.
Beneficiaries, liability for contributions, 732.2085.
Contribution to satisfy.

Action to enforce, 5.025(a), 732.2145(4).
Beneficiaries, liability of, 732.2085.
Direct recipients, liability of, 732.2085.
Order of, 5.360(d)(5), 732.2145.
Personal representatives duty to collect, 732.2145(2)(3).
Relief from duty to enforce, 5.360(e).

Definitions, 732.2025.
Direct recipients of property included in elective estate, liability for



contributions, 732.2085.
Effective dates of laws regarding, 732.2155.
Elective estate.

Inventory of, 5.340(g).
Property entering into, 732.2035.
Property excluded from, 732.2045.
Valuation of, 732.2055.

Excluded property, 732.2045.
Extension of time to elect, 5.360(b)(1), 732.2135(2), 732.2135(4).
Interests other than, effect of election on, 732.2105.
Notice of administration, notice relating to filing of election to take

elective share, 5.240(b)(5), 733.212(2)(e).
Payors, protection of, 732.2115.
Procedure.

Amount of share.
Determination of, 5.025(a), 5.360(d).
Objection to, 5.360(d)(4).

Contribution.
Determination of, 5.025(a), 5.360(d).
Relief from duty to enforce, 5.360(e).

Entitlement, determination of, 5.360(c).
Extension of time to make election, 5.360(b)(1).
Filing of election, 5.360(a).
Notice.

Election, 5.360(b)(3).
Petition, 5.360(a)(2)(B).

Objections.
Amount of share, to, 5.360(d)(4).
Election, to, 5.360(b)(4).

Order.



Amount of, determining, 5.360(d)(5)(d)(6).
Contribution to, specifying, 732.2145.
Entitlement to, determining, 5.360(b)(3)(C), 5.360(c).
Filing by agent or guardian, authorizing, 5.360(a)(2)(C).

Petition.
Approval to make election, 5.360(a)(2)(A).
Determination of amount of, 5.360(d)(1), 5.360(d)(3).
Extension of time to make election, 5.360(b)(1).
Relief of duty to enforce contribution, 5.360(e).
Withdrawal of election, 5.360(b)(2), 732.2135(3).

Property available for.
Exclusions, 732.2045.
Generally, 732.2035, 733.608(1).
Pension and retirement accounts, 222.21(2)(d).
Valuation of, 732.2095.

Qualifying special needs trust, 732.2025(8), 732.2045(1)(g), 732.2075(1)
(e), 732.2095(1)(a)(2), 732.2095(2)(c).

Right to, 732.201, 732.2125.
Spousal rights.

Procurement by fraud, duress or undue influence, 732.805, 732.4017.
Time of election.

Generally, 732.2135.
Notice of, 733.212(2)(e).

Transition rules for elective share statutes, 732.2155.
Trust, 732.2025(2), 732.2025(10), 732.2095(2)(b), 732.2155(4).
Waiver of right to, 732.702, 732.2155(3).
Withdrawal of election, 5.360(b)(2), 732.2135(3).
ELECTRONIC WILLS, 732.521-732.526.
See WILL.



EMBEZZLEMENT.
Guardian.

Exploitation of ward, 744.359.
EMERGENCY COURT MONITOR, 5.725, 744.1075, 744.1076(1).
Indigent wards.

Appointment of office of criminal conflict and civil regional counsel as
monitor, 744.1075(6).

EMERGENCY TEMPORARY GUARDIAN, 5.600, 5.648, 744.2005(4),
744.3031.

EMPLOYEE BENEFIT PLAN.
Defined, 732.703(1)(d).
ENVIRONMENTAL LAWS, PROTECTION AGAINST VIOLATION

OF.
Personal representative, 733.6121.
ESCHEAT.
Administration, 5.386(a).
Assignment of right to receive payment, 732.107(5).
Claimant, recovery of escheated property by, 716.07.
Court report, 5.386(b).
Department of Financial Services.

Deposit of funds by, 716.05.
Proceedings instituted by, 716.03, 716.04.

Federal agencies, funds in possession of, 716.02.
Generally, 732.107(1), 733.816.
Policy of state, declaration of, 716.01.
Proceeding, 5.386(a), 716.03, 716.04.
Public records, 716.06.
Reopening administration, 732.107(3).
Savings bonds, 717.1382.



Claims for savings bond, 717.1383.
Transfer to state, 716.05, 732.107(2), 733.816(1).
Unclaimed property.

See UNCLAIMED PROPERTY.
ESTABLISHMENT OF LOST OR DESTROYED WILL.
See WILL.
ESTATE.
Defined.

Guardianship, 744.102(7).
Probate, 731.201(14).

Escheated.
See ESCHEAT.

Execution or levy against property of, 733.706.
Information about, generally, 5.341.
Intestate, 732.101732.111.
Missing person, probate of, 733.209.
Possession of by personal representative, 733.607.
Taxes.

See TAXES, ESTATE.
ESTATE TAX RETURN, NOTICE OF.
See TAXES, ESTATE.
EVIDENCE.
Civil action rules generally applicable, 5.170, 731.103, 731.1035.
Death, of.

Filing of, 5.205.
Generally, 5.171, 731.103.

Incapacity adjudication.
Reports, objection to entry into evidence, 5.550(e).

EXAMINING COMMITTEE FOR ALLEGED INCAPACITATED



PERSON, 5.550(e), 744.331(3)(5), 744.331(7)(a).
Adjudicatory hearing, 5.550(f).
Reports, 5.550(e).
EXECUTION OF DOCUMENTS.
Electronic signatures.

Real property.
Method of conveyance, 689.01.
Recording of conveyances, 695.28.

Guardian, when required, 5.610.
Personal representative, when required, 5.330.
Pleadings, generally, 5.020(a).
Waivers, 5.180(a).
Wills, 732.502.

Electronic will or codicil, 732.522.
EXECUTIONS AND LEVIES, 733.706.
EXECUTOR.
See PERSONAL REPRESENTATIVE.
EXECUTOR DE SON TORT, 733.309.
EXEMPT PROPERTY.
Bankruptcy exemptions, 222.20, 222.201.
Defined, 731.201(15).
Designation in petition for summary administration, 5.530(a)(8).
Disposition of without administration, 5.420(b).
Garnishment.

See GARNISHMENT.
Generally, 732.402.
Homestead.

See HOMESTEAD PROPERTY.
Levy against.



See PERSONAL PROPERTY.
Order determining, 5.406(c).
Petition to determine.

Contents, 5.406(b).
Filing, 5.406(a), 732.402(6).

Taxes, estate.
Florida.

Apportionment of estate tax, 733.817(3).
Waiver of, 732.702, 733.212(2)(d).
EXPEDITED JUDICIAL INTERVENTION CONCERNING

MEDICAL TREATMENT PROCEDURES, 5.900, 765.105.
EXPENSES.
Costs.

See COSTS.
Custodian of minor, 710.117.
Delivery of property, 733.801(2).
Order of payment of, 733.707.
Personal representative, payment by prior to distribution, 5.400(b)(5)(D).
Storage of property, 733.801(2).
Trustee, payment by, 736.0709, 736.05053.
EXPERT WITNESSES.
Depositions of, 5.080(a)(13).
Fee determination, testimony regarding, 733.6175(4).
Guardian and attorney fees, expert testimony as to reasonableness,

744.108(9).



F

FAMILY ALLOWANCE.
Generally, 5.407, 732.403, 733.608(1).
Order determining, 5.407(c).
Order of payment of, 733.707.
Petition to determine.

Contents, 5.407(b).
Filing, 5.407(a).

Taxes, estate.
Florida.

Apportionment of estate tax, 733.817(3).
Waiver of, 732.702.
FAMILY TRUST COMPANIES.
Accounting, 736.0813, 736.08135.
Loyalty.

Duty of loyalty of trustee, 736.0809.
Notice, 736.0109.
FEES.
See COMPENSATION.
FIDELITY BOND.
See BOND.
FIDUCIARY ACCESS TO DIGITAL ASSETS ACT, 740.001740.11.
Applicability of act, 740.08.

Relation to electronic signatures in global and national commerce act,
740.07.

Severability, 740.09.
Authority of fiduciary, 740.05.



Compliance requirements of custodian, 740.06.
Construction of act.

Relation to electronic signatures in global and national commerce act,
740.07.

Definitions, 740.002.
Direction to custodian using online tool or testamentary instrument,

740.003.
Disclosures by custodian.

Catalog of electronic communications and digital assets held in trust.
Trustee is not original user, 740.03.

Catalog of electronic communications and digital assets of deceased user,
740.007.

Catalog of electronic communications and digital assets of principal,
740.009.

Contents of electronic communications held in trust.
Trustee is not original user, 740.02.

Contents of electronic communications of deceased user, 740.006.
Contents of electronic communications of principal, 740.008.
Digital assets held in trust.

Trustee is original user, 740.01.
Guardian of ward, digital asset disclosure to, 740.04.
Procedures for disclosing digital assets.

Charges for cost of disclosure, 740.005.
Scope of disclosure, 740.005.
Segregation of assets causing undue burden, 740.005.

Duties of fiduciary, 740.05.
Limitation of liability of custodian, 740.06.
Order directing custodian to comply, 740.06.
Relation to electronic signatures in global and national commerce act,

740.07.
Scope of authority of fiduciary, 740.05.



Severability, 740.09.
Standards of care of fiduciary, 740.05.
Termination of users account, 740.05.
Terms of service agreements.

Directions overriding, 740.003.
Effect of provisions generally, 740.004.
Rights of user and fiduciary under, 740.004.

Title of act, 740.001.
Wills.

Deposit of will.
Effect of act on obligations to deposit will, 740.11.

FILING.
Defined, 731.201(16).
FINAL DISTRIBUTION.
See DISTRIBUTION.
FISCAL YEAR, ELECTION OF BY PERSONAL REPRESENTATIVE,

5.345(a)(1).
FLORIDA DISPOSITION OF UNCLAIMED PROPERTY ACT.
See UNCLAIMED PROPERTY.
FLORIDA LAND TRUST ACT, 689.071.
FLORIDA UNIFORM DIRECTED TRUST ACT.
Directed trust generally.

See TRUST.
FLORIDA UNIFORM DISCLAIMER OF PROPERTY INTERESTS

ACT.
See DISCLAIMER.
FLORIDA UNIFORM PRINCIPAL AND INCOME ACT.
Allocations under.



Annuities, 738.602.
Asset-backed securities, 738.608.
Deferred compensation plans, 738.602.
Derivatives, 738.607(1)(2).
Entity, from, 738.401.
Estate, from, 738.402.
Insubstantial allocations, 738.601.
Insurance policies, 738.504.
Liquidating assets, 738.603.
Natural resources, interests in, 738.604, 738.605.
Obligation to pay money, 738.503.
Options, 738.607(3).
Principal receipts, generally, 738.501.
Rental property, 738.502.
Retirement plans, 738.602.
Timber, 738.605.
Trust, from, 738.402.
Unproductive income property, 738.606.
When decedent dies, 738.302.
When income interest begins, 738.302.

Application of, 738.804.
Apportionment under, 738.302, 738.303.
Definitions for purposes of, 738.102, 738.1041(1).
Depreciation, transfers from income to principal for, 738.703.
Disbursements.

Income, from, 738.701.
Principal, from, 738.702.

Distributions, 738.202, 738.402.
Income taxes.

Adjustments between income and principal due to, 738.706.



Source of payment of, 738.705.
Judicial control of discretionary powers, 738.105.
Net income.

Defined, 738.102(8).
Determination of, 738.201.
Distribution of, 738.201.
When right to begins and ends, 738.301.

Receipts, character of, 738.401.
Reimbursement to principal from income, 738.704.
Severability of provisions of, 738.803.
Taxes, income.

Adjustments between income and principal due to, 738.706.
Source of payment of, 738.705.

Tenants and remaindermen, apportionment of expenses between,
738.801.

Title of Act, 738.101.
Trustee.

Allocations by. See within this heading, Allocations under.
Business and other activities conducted by trustee, 738.403.
Defined, 738.102(13).
Duties, generally, 738.103.
Powers.

Adjustments, 738.104.
Generally, 738.103.
Judicial control of, 738.105.
Total return unitrusts, 738.104.

Uniformity of application of law, 738.802.
FLORIDA UNIFORM TRANSFER-ON-DEATH SECURITY

REGISTRATION ACT.
Application of, 711.512.



Beneficiary form, registration in.
Acceptance by registering entity, 711.508(2).
Applicable law, 711.503.
Cancellation of, 711.506.
Change in, 711.507.
Effect of, 711.506.
Form of, 711.51, 711.505.
Multiple owners, ability to obtain, 711.502.
Origination of, 711.504.

Creditors rights, 711.509(2).
Death of owner of security, ownership on, 711.507.
Definitions for purposes of, 711.501.
Nontestamentary nature of transfer, 711.509(1).
Registering entity.

Acceptance of request, effect of, 711.508(2).
Protection of, 711.508(1), 711.508(3)(4).
Terms and conditions set by, 711.51.

Rules of construction, 711.511.
Title of Act, 711.50.
FLORIDA UNIFORM TRANSFERS TO MINORS ACT.
Applicability of, 710.124, 710.126.
Construction of, 710.126.
Custodial property.

Accounting, 710.122.
Care of, 710.114.
Creating, manner of, 710.105, 710.111.
Receipt for, 710.109.
Transfer to minor, 710.123.
Use of, 710.116.



Custodian under.
Accounting by, 710.122.
Bond, 710.117(3).
Death of, 710.121(4)(5).
Duties of, 710.114.
Expenses of, reimbursement for, 710.117(1).
Incapacity of, 710.121(4)(5).
Liability.

Breach of care, 710.114.
Third persons, to, 710.119.

Nomination of.
Disclaimer of, 710.121(1).
Generally, 710.104.

Powers of, 710.115.
Removal of, 710.121(6).
Resignation of, 710.121(3), 710.121(5).
Standard of care, 710.114(2).
Substitute, nomination of, 710.121(1).
Successor, designation of, 710.121(2), 710.121(4), 710.121(6).

Definitions for purposes of, 710.102.
Existing custodianships, effect on, 710.125.
Jurisdiction, 710.103(2)(3).
Scope of Act, 710.103(1).
Single custodianship rule, 710.112.
Termination of custodianship, 710.123.
Third persons.

Exemption from liability of, 710.118.
Liability to, 710.119.

Title of Act, 710.101.
Transfers under.



Effect of, 710.113.
Gift, by, 710.105.
Irrevocability of, 710.113(2).
Obligor, by, 710.108.
Power of appointment, by, 710.105.
Single custodianship rule, 710.112.
Trust, by, 710.106, 710.107.
Validity of, 710.113.
Will, by, 710.106, 710.107.

FOREIGN GUARDIAN.
Change of domicile of ward, procedure, 5.670.
Defined, 744.102(8).
Generally, 744.306.
Management of property of nonresident ward by, 5.645, 744.307.
FOREIGN LANGUAGE, PROBATE OF WILL WRITTEN IN, 5.216,

733.204.
FOREIGN PERSONAL REPRESENTATIVE.
See PERSONAL REPRESENTATIVE.
FOREIGN TAXES.
Taxes, estate.

Florida.
Apportionment of estate tax, 733.817(11).

FOREIGN TRUSTEE, QUALIFICATION OF, 736.0112.
FOREIGN WILL, 5.216, 732.502(2), 733.204, 734.102734.104.
FORFEITURE OF BENEFICIARY INTEREST.
Abuse, neglect, exploitation or aggravated manslaughter of elderly

person or disabled adult, 732.8031.
Killer not entitled to receive property or benefits, 732.802.
Trust beneficiaries.



Killer not entitled to receive property or benefits, 736.1104.
FORMAL NOTICE.
See NOTICE.
FRAUD.
Guardian.

Exploitation of ward, 744.359.
Trust.

Community property trust act.
Unenforceable trusts.

Factors leading to unenforceability, 736.1512.
FUNERAL ARRANGEMENTS, 732.804.



G

GARNISHMENT.
Exemptions from.

ABLE accounts, 222.22(5).
College funds, 222.22(1), 222.22(3).
Disability benefits, 222.18.
Disaster savings accounts, 222.22(4).
Earned income credit, 222.25(3).
Fraudulent transfers, 222.29.
Health aids, 222.25(2).
Health or medical savings account, 222.22(2).
I.R.S. approved plans, 222.21(2).
Motor vehicle, interest in, 222.25(1).
Pensions, 222.21.
Personal property to value of $4,000, 222.25(4).
Retirement benefits, 222.21.
Tax-exempt funds, 222.21.
U.S. pensions, 222.21(1).
Wages, 222.11.

Unclaimed property, of, 717.1245.
GENERAL MAGISTRATES.
See MAGISTRATES.
GIFTS TO DISQUALIFIED PERSONS, 732.806.
GRANTOR.
Defined, 731.201(19).
GUARDIAN.
Abuse of ward, 744.359.



Accounting.
Appearance of guardian before court, 744.3735.
Applicability of rule, 5.696(a).
Audit of, 744.368(3), 744.3678(4).
Contents of, 5.696(b), 744.3678(2).
Execution of, 5.610(d).
Failure to file, 744.367(5), 744.3685.
Fee, audit, 744.3678(4).
Filing of, 5.695(a)(2), 744.3678(1).
Interim inspection of records, 5.696(g).
Magistrate, review by, 5.095(i), 5.697, 744.369(2).
Minor, for, 5.555(e).
Model format, 5.696Appendix A, 5.696(d).
Objections to, 5.700, 744.369(7).
Production of assets, 5.160, 744.373.
Review of.

By clerk, 744.368.
By court, 744.369.
By magistrate, 5.697.

Simplified procedures, 744.3679.
Social security benefits, receipt of, no requirement to account for,

744.3678(5).
Standards for, 5.696(c).

Accounting principles, 5.696Appendix B.
Substantiating documents, 5.696(f), 744.3678(3).
Time for, 5.695(a)(2), 744.367(2).
Verification, 5.696(e).
Veterans guardian, 744.634, 744.653.

Actions by or against, 744.391.
Acts, approval of.



Order authorizing, 5.630(c), 744.451.
Petition.

Contents, 5.020(b), 5.630(a), 744.447(1).
Notice, 5.630(b), 744.447(2).

Address designation, 5.110(a).
Ad litem.

See GUARDIAN AD LITEM.
Adversary proceedings, 5.025.
Advocate.

See GUARDIAN ADVOCATE.
Alternatives to appointment of, 5.550(a), 5.550(d), 5.560(a)(9), 5.685,

744.331, 744.331(6)(b), 744.462.
Annual plan.

Adult.
Form for annual guardianship plan for adult, 5.904(d).

Appearance of guardian before court, 744.3735.
Clerk, review by, 744.368.
Contents of, 744.3675.
Duty to file, 5.695(a)(1), 744.3675.
Execution of, 5.610(c).
Implementation, 744.361(8).
Magistrate, review by, 5.095(i), 5.697, 744.369(2).
Minor, for, 5.555(e)(2), 744.3675.

Form of annual guardianship plan for minor, 5.904(b).
Objections to, 5.700, 744.367(4), 744.369(7).
Physicians evaluation, 5.552(d), 744.341(4), 744.3675(1)(b), 744.3675(2)

(b).
Reexamination of ward, 744.3675(4).
Review of.

By clerk, 744.368.



By court, 5.705, 744.369.
By magistrate, 5.697.

Waiver, 5.555(e)(2).
Annual report.

Amendment by court, 744.371.
Appearance by guardian, 744.3735.
Clerk, review by, 744.368.
Confidentiality, 744.3701.
Contents of, 5.695(a), 744.367(3).
Duty to file, 5.695(a), 744.361(7), 744.367(1)(2), 744.367(6).
Execution of, 5.610(d).
Failure to file, 744.367(5), 744.3685.
Filing of, 5.695(a), 744.367(1)(2), 744.367(6).
Guardians appointed before October 1, 1989, duties of, 5.800(b).
Magistrate, review by, 5.095(i), 5.697, 744.369(2).
Minor, for, 5.555(e).
Objections to, 5.700, 744.367(4), 744.369(7).
Order to file, 744.369(3), 744.3685.
Review of.

By clerk, 744.368.
By court, 744.369, 744.372, 744.3715.

Service of, 5.695(a), 744.367(3).
Time for, 5.695(a), 744.367(1)(2), 744.367(6).
Veterans guardians, exemption from filing granted to, 744.653.
Ward.

Duty to review with, 744.367(4).
Service on, 5.555(e)(3), 5.695(b).

Appearance before court, 744.3735.
Application of income of property of ward, 744.397.
Appointment of.



Alternatives to, 5.550(a), 5.550(d), 5.560(a)(9), 5.685, 744.331(6)(b),
744.331(6)(f), 744.462.

Application for.
Corporations and associations with trust powers, 5.590(c), 744.3125(3).
Individual applicants, 5.590(a), 744.3125(1)(2).
Nonprofit corporate guardians, 5.590(b), 744.3125(3)(4).
Public guardians, 5.590(d).

Considerations in, 744.312.
Generally, 744.2005(1)(3).
Hearing, 5.540, 5.541(a), 744.2005(1), 744.3371.
Letters, 744.345.
Minor, for, 5.555(c), 744.342, 744.387(3)(b), 744.3021.
Notice of petition for, 5.555(d), 5.560(b), 744.3371.
Order, 744.2005(1)(3).

Form for petition and order of guardian, 5.902.
Petition for.

Contents, 5.020(b), 5.560(a), 744.334.
Form for petition and order of guardian, 5.902.
Minor, guardian for, 5.555(c).
Notice, 5.555(d), 5.560(b)(c), 744.3371.
Oath of guardian incorporated in, 5.600.

Successor, 5.650(c), 744.471.
Voluntary, 5.552(a)(c), 744.341(1).
Who may be appointed, 744.309, 744.312.

Appraisals required, 744.381.
Approval of acts, 5.630, 744.447, 744.451.
Attorney for.

See ATTORNEYS.
Best interest of ward.

Acting not contrary to best interests, 744.361(4).



Bond of.
Costs, premiums allowable as, 744.641.
Emergency temporary guardian, 744.3031(7).
Foreign guardian, 5.645(e), 744.307(3).
Generally, 744.351, 744.354.
Preneed guardian, 744.3045(7).
Professional guardian, 744.2002(3)(b), 744.2003(2).
Public guardian, 744.351(5), 744.2102.
Veterans guardian, 744.619, 744.641.

Borrowing or purchasing from ward by, 744.454.
Claims, settlement of, 744.387.
Compensation of, 744.108.

Conflicts of interest, prohibited activities, 744.446.
Expert witnesses.

Guardian and attorney fees, expert testimony as to reasonableness,
744.108(9).

Compliance with post-September 30 1989 laws, 5.800.
Conflict with ward, 744.391, 744.446, 744.474.
Contempt proceedings against, 744.367, 744.517, 744.3685.
Continuance of wards unincorporated business.

Accounting, 5.640(d).
Conduct of, 5.640(c)(d).
Discontinuance by court order, 5.640(e).
Generally, 5.640(a), 744.441(m).
Order authorizing, 5.640(a)(c).
Petition, 5.640(b).
Reports, 5.640(d).

Conveyance of property by, 744.457.
Corporate, 5.590(c), 744.102(4), 744.309(4)(5), 744.351(5).

For-profit corporate guardian, 744.309(7).



Credit investigation of, 744.3135.
Criminal investigation of, 744.3135.
Defaulting, 5.660(d), 744.367, 744.517, 744.3685.
Defined, 736.0103(9)(10), 744.102(9), 765.511(12).
Delegation of authority to surrogate, 5.647, 744.442.
Discharge of.

Change of domicile of ward, 5.670, 744.524.
Death of ward, 5.680, 744.521.
Exhaustion of property of ward, 5.680.
Final report by guardian, 5.610(g), 5.680(c), 744.521, 744.524, 744.527

744.528.
Hearing, 5.670(g), 5.680(f)(g), 744.524, 744.527(1), 744.528(3).
Notice of petition for, 5.670(d)(e), 5.680(d)(e), 744.524.
Order, 5.650(h), 5.670(h), 5.680(g), 744.524, 744.531.
Personal representative, guardian named as, 744.528.
Petition for, 5.610(f), 5.650(a)(b), 5.670(a)(b), 5.680(a)(b), 744.528.
Restoration to capacity of ward, 5.680, 744.521.
Retention of funds to pay costs and fees, 5.650(c), 5.670(c), 5.680(c),

744.527(2), 744.534(2)(e).
Unclaimed funds held by guardian, disposition of, 744.534.
Voluntary guardian, 5.552(e).

Disclaimer by.
See DISCLAIMER.

Disqualification of, 5.650(i)(j), 744.309(3).
Duties and powers, 744.361, 744.369(8), 744.441, 744.444.
Education requirements.

Generally, 744.3145.
Notice of completion of, 5.625.
Professional guardians, 744.2002(3)(b), 744.2002(7), 744.2002(10),

744.2003, 744.3145(7).



Emergency temporary, 5.600, 5.648, 744.2005(4), 744.3031.
Execution of documents by, 5.610.
Exploitation of ward, 744.359.
Extraordinary authority, 5.635, 744.3215(4), 744.3725.
Fee payable to, 744.108.
Fiduciary access to digital assets act, 740.001740.11.

See FIDUCIARY ACCESS TO DIGITAL ASSETS ACT.
Fiduciary duty, breach of, 744.446.
Final report of, 5.650(c), 5.650(e), 5.660(b), 5.670(c), 5.680(c), 744.511,

744.521, 744.524, 744.527, 744.528, 744.3031(9).
Confidentiality, 744.3701.

Foreign.
See FOREIGN GUARDIAN.

Good faith.
Acting in good faith, 744.361(3).

Hearing.
Acts of guardian, approval, 5.630(d).
Closing of, 5.540.
Recording of, 5.541.
Rights of ward, 5.540, 744.1095.

Income of ward, application of, 744.397.
Initial plan.

Adult.
Form for initial guardianship plan for adult, 5.904(c).

Clerk, review by, 744.368.
Contents of, 744.363(1)(4).
Duty to file, 5.555(e)(2), 5.690(a), 744.362(1).
Execution of, 5.610(a).
Magistrate, review by, 5.095(i), 5.697, 744.369(2).
Minors, 5.555(e)(2).



Form for initial guardianship plan for minor, 5.904(a).
Modification of, 744.363(5).
Objections to, 744.369(7).
Period of effectiveness, 744.363(5).
Review of.

By clerk, 744.368.
By court, 744.369.
By magistrate, 5.697.

Service of, 5.690(b), 744.362(1).
Initial report.

Clerk, review by, 744.368.
Confidentiality, 744.3701.
Contents of, 5.690(a), 744.362(1).
Court-appointed attorney, duties of, 744.362(2).
Duty to file, 5.620(a), 5.690(a), 744.361(6), 744.362(1).
Execution of, 5.610(a).
Filing of, 5.620(a), 5.690(a), 744.362(1).
Hearing, request for, 744.362(1).
Inspection of, 5.555(f).
Magistrate, review by, 5.095(i), 5.697, 744.369(2).
Minors, 5.555(e).
Order to file, 744.369(3), 744.3685.
Review of.

By clerk, 744.368.
By court, 744.369.
By magistrate, 5.697.

Service of, 5.690(b), 744.362(1).
Signature on, 5.610(b).
Time for, 5.620(a), 5.690(a), 744.362(1).
Verified inventory.



Appraisals, 744.381.
Audit of, 744.365(6), 744.368(3).
Contents of, 744.365(2).
Filing of, 5.620(a), 5.690(a), 744.365(1).
Safe-deposit box inventory, 5.620(d), 744.365(4).
Service of, 5.690(b).
Substantiating documents, 5.620(c), 744.365(3), 744.365(5).

Interim judicial review of guardians actions, 5.705, 744.372(2), 744.3715.
Letters of guardianship, 744.345.

Form, 5.903.
Liability of, 744.358.
Limited, 744.102(9), 744.345, 744.361, 744.384(2), 744.2005(1),

744.2005(6).
Magistrates.

See MAGISTRATES.
Minor, of.

See CHILDREN OR MINORS.
Monitor, court.

See COURT MONITOR.
Multiple guardians, 744.361(9), 744.374.
Natural, 744.301.
Neglect of ward, 744.359.
Nonprofit corporate, 5.590(b), 744.102(15), 744.309(5), 744.3125(3),

744.3125(4).
Nonresident, 5.650(j), 744.309(2).
Oath, 5.600, 744.347.
Payments to guardian, 744.374.
Person of ward.

Duties of guardian given authority over person of ward, 744.361(13).
Petitions.



See PETITION.
Physician report.

Form, 5.904(e).
Plenary, 744.102(9), 744.345, 744.384(1), 744.2005(1), 744.2005(5).
Powers and duties, generally, 744.361, 744.369(8), 744.441, 744.444.
Preneed.

See PRENEED GUARDIAN.
Production of assets by, 5.160, 744.373.
Professional.

See PROFESSIONAL GUARDIAN.
Property of guardianship.

Powers and duties of guardian, 744.361(11).
Property of ward.

Powers and duties of guardian given authority over property, 744.361(10),
744.361(12).

Public.
See PUBLIC GUARDIAN.

Readjudication hearings, 5.800(a).
Removal of.

Accounting upon.
Contents, 744.511.
Failure to file, 5.660(d), 744.517.
Filing of, 5.660(b), 744.511.
Service of, 5.660(b), 744.511.
Time for, 5.660(b), 744.511.

Adversarial nature of proceeding, 5.025(a).
Contempt proceedings, 744.367, 744.517, 744.3685.
Notice of proceedings, 5.660(a), 744.477.
Proceedings for, 5.660, 744.477.
Reasons for, 5.660(a), 744.391, 744.446, 744.474.



Surrender of assets upon, 5.660(c), 744.514.
Transfer of property to successor guardian.

Failure of removed guardian to comply, 5.660(d), 744.517.
Generally, 5.660(c).

Representative payee of ward, no requirement to account for social
security benefits, 744.3678(5).

Resident, of property of nonresident, 744.308.
Resident agent for, 5.110.
Resignation of, 5.610(h), 5.650, 744.467.
Review of actions, judicial, 5.705, 744.369, 744.372, 744.3715.
Scope of authority granted by court and provided by law.

Acting within scope, 744.361(2).
Settlement of claims, 744.387.

Confidentiality of reports, 744.3701.
Signature, when required, 5.610.
Special skills or expertise.

Use when acting on behalf of ward, 744.361(5).
Standby.

See STANDBY GUARDIAN.
Statute of limitations, suspension of, 744.394.
Successor guardian, appointment of, 5.650(h), 744.471.
Surcharge of, 5.025(a).
Surrogate, 5.647, 744.102(20), 744.442.
Temporary, 5.600, 744.2005(4), 744.3031.
Termination of guardianship.

Surrogate guardianship, 5.647(d), 744.442(3).
Upon change of resident wards domicile.

Costs, final, 744.527(2).
Generally, 5.670(a), 744.524.
Notice, publication of, 5.670(d), 744.524.



Objections to termination, 5.670(f)(h), 744.524.
Order of discharge, 5.670(h), 744.524.

Petition for discharge of Florida guardian, 5.670(a)(b).
Procedure, 5.670.
Report, final, 5.670(c), 744.524, 744.527(1).
Service of petition and notice, 5.670(e).

Upon removal of wards incapacity or death, or inability to locate ward.
Costs, final, 744.527(2).
Disposition of unclaimed funds, 744.534.
Final report, 5.680(c), 744.521, 744.527(1).
Generally, 744.521.
Hearing, 5.680(f)(g), 744.527(1).
Notice of hearing, 5.680(f).
Objections, 5.680(f), 744.527(1).
Order of discharge, 5.680(g), 744.531.
Petition for discharge, 5.680(a)(b).
Procedure, 5.680.
Report, final, 5.680(c), 744.521, 744.527(1).
Restoration to capacity, procedure for, 744.464.

Voluntary guardianship, 5.552(e), 744.341(5).
Title of act, 744.101.
Unclaimed property held by, 717.112, 717.1125, 744.534.
Veterans.

See VETERANS GUARDIAN.
Voluntary, 5.552, 744.341.
Ward.

See WARD.
Who may be appointed, 744.309, 744.312.
GUARDIAN AD LITEM.



Appointment.
Conservatorship proceeding, 747.031(3).
Guardianship proceeding, 5.120(a), 744.391.
Minors settlement, 5.636(d), 744.3025.
Probate proceeding, 5.120(a), 731.303(4).

Defined, 744.102(10).
Fee, 5.120(d), 744.3025(2).
Oath, 5.120(a).
Petition for appointment of, 5.120(b).
Petition for compensation and discharge, 5.120(d).
Recovery of judgments or other relief, 5.120(f).
Report of investigation by, 5.120(d).
Veterans guardianship, final settlement of, 744.646.
GUARDIAN ADVOCATE.
Appointment of.

Advance directives, consideration of, 393.12(7).
Generally, 393.12(2), 744.3085.
Hearing, 5.540, 393.12(6).
Order, 5.649(d), 393.12(8).

Form, 5.905(c).
Petition for, 5.649(a)(b), 393.12(3)(4).

Form, 5.905(a).
Notice of filing.

Form, 5.905(b).
Attorney, representation by.

Developmentally disabled individual, 393.12(5).
Guardian advocate, 5.030(a).

Cost, court, 393.12(11).
Defined, 5.015(b)(5), 744.102(11).



Duties of, 393.12(10).
Guardian generally.

See GUARDIAN.
Incapacity, determination of, 393.12(1).
Issuance of letters, 5.649(e).
Letters of guardian advocacy.

Form, 5.906.
Powers of, 393.12(10).
Property of person, authority over, 5.649(a)(6), 5.649(d)(3).



H

HEALTH CARE ADVANCE DIRECTIVES.
Absence of, 765.401, 765.404.
Amendment of, 765.104(1), 765.104(3)(4).
Application of law to incapacitated person, 765.107(2), 765.404.
Condition of patient, determination of, 765.306.
Definitions, 765.101, 765.102(6).
Destruction of, 765.1115.
Dissolution of marriage, effect of, 765.104(2).
Euthanasia not authorized, 765.309(1).
Existing directive, effect of, 765.103.
Falsification of, 765.1115.
Foreign state, directive executed in, 765.112.
Forgery of, 765.1115.
Guardianship proceedings, 744.345, 744.3115.
Health care providers.

Defined, 765.101(7).
Disciplinary actions against, 765.110(3).
Form provided by, prohibition against, 765.110(2).
Immunity from liability, 765.104(3), 765.109.
Provision of information to patients, 765.110(1).
Review, right to seek, 765.105.
Rules applicable to, adoption of, 765.110(4).
Transfer of patient by, 765.1105.

Health care surrogate.
See HEALTH CARE SURROGATE.

Health information.
Defined, 765.101(9).



Informed consent.
Defined, 765.101(9).

Judicial intervention, expedited, 5.900, 765.105.
Legislative findings and intent, 765.102.
Life insurance, effect with respect to, 765.108.
Living will.

Absence of, procedure, 765.305, 765.401.
Amendment of, 765.104(1), 765.104(3).
Cancellation of, 765.1115.
Condition of patient, 765.107(2), 765.306.
Definition, 765.101(13).
Destruction of, 765.1115.
Falsification of, 765.1115.
Forgery of, 765.1115.
Form, 765.303.
Procedure for making, 765.302.
Proceedings under, 765.304.
Revocation of, 765.104.
Short title, 765.301.
Transfer of patient, 765.1105.

Medical consent law, effect of, 765.107(1).
Mercy killing not authorized, 765.309(1).
Minors principal.

Defined, 765.101(14).
Pain management, 765.1103.
Palliative care, 765.102(6), 765.1103.
Persistent vegetative state, procedure governing person in, 765.404.
Preservation of existing rights, 765.106.
Primary physician.

Defined, 765.101(17).



Proxies.
Amendment of, 765.104(4).
Definition, 765.101(19).
Generally, 765.401.
Responsibilities of, 765.401(2)(3).
Revocation of, 765.104(4).

Reasonably available, 765.101(20).
Revocation of, 765.104.
Suicide distinguished, 765.309(2).
Surrogates.

Defined, 765.101(21).
Generally.

See HEALTH CARE SURROGATE.
Transfer of patient, 765.1105.
Vegetative state, persistent, procedure governing person in, 765.404.
HEALTH CARE SURROGATE.
Absence of health care advance directive, 765.305.
Amendment of designation, 765.104(1), 765.104(3).
Capacity of principal, 765.107(2), 765.204.
Defined, 765.101(21).
Designation of.

Amendment of, 765.104(3).
Form, 765.203.

Minor, designation, 765.2038.
Generally, 765.202.
Minors, designation for, 765.2035.

Form, 765.2038.
Revocation of, 765.104.

Immunity from liability, 765.104(3), 765.109.



Legislative findings and intent, 765.102.
Living will.

See HEALTH CARE ADVANCE DIRECTIVES.
Minors.

Designation of surrogate for minor, 765.2035.
Form, 765.2038.

Responsibilities of, 765.205, 765.305.
Restrictions on consent, 765.113.
Review of decisions of, 765.105.
Revocation of designation, 765.104.
Title of act, 765.201.
HEIRS.
Defined, 731.201(20).
Intestate succession.

See INTESTATE SUCCESSION.
HOLOGRAPHIC WILL, 732.502(2).
HOMESTEAD PROPERTY.
Community property reinvested as, 732.225, 732.227.
Conveyance between spouses, 689.11.
Deeds.

Waiver of homestead rights through deed, 732.7025.
Descent of, 732.401.
Determination of, proceedings for, 5.405.
Devise of, 732.4015.
Disclaimer.

See DISCLAIMER.
Elective estate.

Property entering into, 732.2035.
Property excluded from, 732.2045.



Valuation of, 732.2055, 732.2095.
Evidence of death, filing of, 5.205(a)(6).
Exemption from forced sale, FL Const Art X 4.

Designation of.
Generally, 222.01(1).
Judgment, after filing of, 222.01(2)(5).
Levy, after, 222.02.
Notice of homestead, form, 222.01(2).

Leaseholds, 222.05.
Survey of property by creditor.

Generally, 222.03.
Sale after, 222.04.

Guardian, sale or lease by, 744.441(j).
Inter vivos transfer, 732.4017.
Inventory, designation in, 5.340(a).
Jurisdiction of court, 222.08222.10.
Lien by personal representative against.

Amount of.
Generally, 733.608(3)(4).
Proceedings to determine, 5.403.

Attachment of, 733.608(4).
Costs, award of, 733.608(8).
Entitlement to, 733.608(3).
Foreclosure of, 733.608(3)(b)(1), 733.608(7).
Notice of, 5.402, 733.608(3)(a), 733.608(4).
Priority of, 733.608(4).
Right to, 733.608(3).
Satisfaction of, 733.608(6).
Termination of, 733.608(5).
Transfer of, 733.608(12).



Order determining protected, 5.405(c).
Petition to determine protected, 5.405(a)(b).
Possession by personal representative, 5.404, 733.608(2).
Power of attorney, conveyance under, 689.111.
Power of personal representative over, 733.608.
Protected homestead defined, 731.201(33).
Summary administration, designation in petition for, 5.530(a)(8).
Taxes, estate.

Florida.
Apportionment of estate tax, 733.817(3).

Trust.
Community property trust act, 736.151.
Devise in trust of homestead.

Proceedings to determine protected homestead status, 5.405.
Proceedings to determine homestead status of real property.

Applicable provisions and procedures, 736.0201.
Testamentary and revocable trusts.

Homestead protections, 736.1109.
Waiver of homestead through deed, 732.7025.



I

ILLEGITIMATE PERSON.
Intestate succession rights of, 732.108(2), 732.608.
Medicare benefits for, 409.910(8).
Natural guardian of, 744.301(1).
INCAPACITATED PERSON.
Defined, 731.201(21), 744.102(12), 744.102(21), 765.101(10).
Rights of, 744.3215.
INCAPACITY, PROCEDURE TO DETERMINE, 5.550, 744.331(1),

744.3201.
Petition to determine incapacity, 744.331, 744.3201.

Form, 5.901.
Power of attorney.

Suspension prior to determination of capacity, 744.3203.
Reports, 5.550(e), 744.331.
INCOME.
Principal and income act.

See FLORIDA UNIFORM PRINCIPAL AND INCOME ACT.
Trust income.

See TRUST.
INCOME BENEFICIARY.
Defined, 738.102(5).
INCOMPETENT.
Defined, 765.101(10).
INCORPORATION OF WRITING BY REFERENCE, 732.512, 732.515.
INFORMAL NOTICE.
See NOTICE.



INITIAL GUARDIANSHIP PLAN.
See GUARDIAN.
INITIAL GUARDIANSHIP REPORT.
See GUARDIAN.
INJUNCTIONS.
Elderly and disabled adult abuse.

Adversary proceedings, 5.025(a), 825.1035.
Vulnerable adults, protection against exploitation.

Denial of injunction.
Order denying injunction and notice of hearing.

Form, 5.920(c).
Final protective injunction.

Form, 5.920(d).
Petition for injunction, 5.920(a).
Temporary protective injunction against exploitation.

Form, 5.920(b).
IN REM PROCEEDINGS, 731.105, 731.1055, 736.0202.
INSURANCE, LIABILITY.
Will.

Electronic will or codicil.
Qualified custodians, 732.525.

INSURANCE, LIFE.
Advance directive, effect of, 765.108.
Cash surrender value, exemption of, 222.14.
Disposition of proceeds, 222.13, 732.2075(1)(d).
Elective share payable from proceeds of, 732.2075(1)(d).
Unclaimed proceeds, 717.107, 717.117(1)(b).
INTERESTED PERSON.



Defined, 731.201(23), 736.0111.
INTEREST IN PROPERTY.
Disclaimer of.

See DISCLAIMER.
Power of appointment over.

See POWER OF APPOINTMENT.
INTERIM ACCOUNTING.
See ACCOUNTING.
INTERROGATORIES.
See DISCOVERY.
IN TERROREM CLAUSE.
Trust, 736.1108.
Will, 732.517.
INTESTATE SUCCESSION.
Adopted persons, 732.108, 732.608.
Afterborn heirs, 732.106.
Aliens, rights of, 732.1101.
Child born out of wedlock, 732.108(2), 732.608.
Descendants of decedent, rights of, 732.103.
Disclaimers.

See DISCLAIMER.
Escheat.

See ESCHEAT.
Generally, 732.101.
Generic terms, construction of, 732.608.
Halfblood relatives, 732.105.
Heirs other than spouse, share of, 732.103.
Homestead, 732.401.
Illegitimate persons, 732.108, 732.608.



Small estates.
Disposition without administration of intestate property in small estates,

735.304.
Surviving spouse.

Share of, 732.102.
Waiver of rights by, 732.301, 732.702.

Termination of parental rights, effect of, 732.1081.
Waiver of spousal rights, 732.301, 732.702.
INVENTORY.
Amendments to, 5.340(c), 5.620(b), 733.604(2), 744.384.
Appraisal.

Guardian, 744.381.
Personal representative, 5.340(g), 733.604(3).

Audit fee, 744.365(6).
Contents, 5.340(a), 733.604(1), 744.365(2).
Copy to interested persons who request, 5.340(d).
Curator, by, 5.122(e).
Elective estate, 5.340(g), 5.360(d)(2).
Execution.

By guardian, 5.610(b).
By personal representative, 5.330(a).

Exempt property, 222.061.
Extension of time to file, 5.340(b).
Filing of, 5.340(a), 733.604(1).
Form, 5.910.
Guardian.

See GUARDIAN.
Inspection of, 5.555, 5.620(c), 733.604(1).
Notice to nonresiduary beneficiaries, 5.340(f).
Personal representative.



Filing by, 5.340(a), 733.604(1).
Signature on, 5.330.

Safe-deposit box.
Decedent, 5.342(a), 733.6065(1).
Ward, 5.620(d), 744.365(4).

Service of, 5.340(d), 5.342(c), 733.2121(3)(e).
Substantiating documents, 5.620(c), 744.365(3), 744.365(5).
Supplemental, 5.340(c)(d), 5.620(b), 733.604(1)(2), 744.384.
Time for.

Extension of, 5.340(b).
Guardianship, 5.620(a), 5.690(a), 744.362(1).
Personal representative, 5.340(a).

Verification of, 5.340(h), 5.342(b).
Veterans guardian, by, 744.621.
INVENTORY VALUE.
Explanation of determination of, 5.340(g), 733.604(3).
Fee determination, as basis for, 733.617(1), 733.6171(3).
INVESTMENT OF FIDUCIARY FUNDS.
Chapter cumulative, 518.16.
Delegation of investment functions, 518.112.
Federal Reserve bank, deposits in, 518.116.
Generally, 518.11518.14, 518.117, 710.114.
Higher education bonds, investment in, 518.151.
Motor vehicle tax anticipation certificates, investment in, 518.15.
Power of sale not conferred by statutes, 518.12.
Prudent Investor Rule, 518.11.

Inapplicability to trust investments, 736.0902.
Puerto Rican bonds, investment in, 518.152.
School bonds, investment in, 518.15.



Securities, power to deposit in central depository, 518.115.
Trustee, by, 736.0901.
Veterans guardian, by.

See VETERANS GUARDIAN.
ISSUANCE OF LETTERS.
Adjudication before, 733.2123.
Bond, requirement for, 5.235(a)(2), 5.235(c), 733.402.
Guardianship, 744.345.
Procedure, 5.235(a)(b).



J

JUDGE.
Defined, 5.015(b)(4).
Eligibility as guardian, 744.309(1)(b).
JUDGMENT.
Appeal of.

See APPEAL.
Motion for rehearing of, 5.020(d).
JURISDICTION.
Acquisition by notice, 731.301(2).
Allegation in petition, 5.020(b).
Children or minors.

Guardian for.
Appointment of, 744.3021(4).

Conservatorships, 747.02, 747.03(1).
Defect in statement of jurisdictional facts in pleadings, 5.020(a).
Estates, settlement of, 717.1242(1).
Foreign personal representative, over, 734.201, 734.202.
Homestead, proceedings affecting, 222.08222.10.
In rem proceedings, 731.105, 731.1055.
Objection to, 5.240(b)(3), 5.240(d), 733.212(2)(3), 733.2123.
Removal of personal representative, 733.505.
Retention over guardianships, 744.372.
Standby guardianships, 744.304(5).
Surrogate guardianships, 744.442(4).
Trust proceedings, 736.0201(2), 736.0202, 736.0203.

Trust director, jurisdiction over, 736.1415.



K

KILLER NOT ENTITLED TO RECEIVE PROPERTY OR BENEFITS,
732.802.

Abuse, neglect, exploitation or aggravated manslaughter of elderly
person or disabled adult.
Forfeiture of benefits, 732.8031.

Trust beneficiaries, 736.1104.



L

LAND TRUST ACT, FLORIDA, 689.071.
LAPSE.
Devise, 732.603.
Disposition by trust, 736.1106.
LAWYERS.
See ATTORNEYS.
LEGISLATIVE INTENT OF GUARDIANSHIP ACT, 744.1012.
LENDER OF PROPERTY TO GUARDIAN, PROTECTION

EXTENDED TO, 744.461.
LETTERS.
Ancillary, 5.470.
Curatorship, 5.122(b).
Guardian advocacy.

Form, 5.906.
Guardianship, 744.345.

Form, 5.903.
Probate.

Defined, 731.201(24).
Issuance of, 5.235(b).

LIABILITY.
Claimant, of, 733.812.
Damage to estate property, 733.309, 733.6121.
Distributee, of, 733.812.
Encumbered property, 733.803.
Fiduciary access to digital assets act, custodian, 740.06.
Guardian, of, 744.358, 744.467.



Payee, of, 733.812.
Personal representative, of.

Breach of fiduciary duty, 733.609.
Discharge, after, 733.508(2), 733.901(2), 733.5036(2).
Environmental laws, violation of, 733.6121.
Executor de son tort, 733.309.
Individual, 733.619.

Purchaser of property.
From distributee, 733.813.
From guardian, 744.461.

Surety, of, 733.404, 733.405, 733.901(2), 744.357.
Trustee, of.

See TRUSTEE.
Will.

Electronic will or codicil.
Qualified custodians, 732.524.

LIEN BY PERSONAL REPRESENTATIVE ON PROTECTED
HOMESTEAD.

See HOMESTEAD PROPERTY.
LIENS ON REAL PROPERTY, RECORDING, 695.01.
LIFE INSURANCE.
See INSURANCE, LIFE.
LIMITATIONS PERIOD.
See STATUTES OF LIMITATIONS.
LIMITED GUARDIAN.
Appointment of, 744.2005(1).
Defined, 744.102(9)(a).
Duties of, 744.345, 744.361, 744.384(2), 744.2005(6).



LIVING WILL.
See HEALTH CARE ADVANCE DIRECTIVES.
LOST WILL.
See WILL.



M

MAGISTRATES.
Appointment of, 5.095(a)(b), 5.697(a)(b), 744.369(2).
Bond, 5.095(e).
General, 5.095(a), 5.697(a), 744.369(2).
Hearings before, 5.095(f), 5.697(d).
Oath of, 5.095(a)(b), 5.697(a)(b).
Powers of, 5.095(d), 5.697(c).
Referral to, 5.095(c).
Report of.

Contents, 5.095(g), 5.697(e).
Exceptions to, 5.095(h), 5.697(f).
Filing of, 5.095(h), 5.697(f).
Service of, 5.095(h), 5.697(f).

Special, 5.095(b), 5.697(b), 744.369(2).
MAIL.
Service of process and papers.

Additional time after service by mail, 5.042.
MARRIAGE.
Dissolution.

See DISSOLUTION OF MARRIAGE, EFFECT OF.
Trust.

Subsequent marriage, effect on revocable trust, 736.1105.
MEDICAID ESTATE RECOVERY ACT, 409.9101.
MEDICAID PROGRAM.
Notice to, 733.2121(3)(d).
Priority of payment to, 733.707(1)(c).



Reimbursement to, 409.910.
MEDICAL TREATMENT PROCEDURES, EXPEDITED JUDICIAL

INTERVENTION CONCERNING.
Health care advance directives.

See HEALTH CARE ADVANCE DIRECTIVES.
Hearing, 5.900(d).
Petition.

Contents, 5.900(a).
Notice of, 5.900(c).
Supporting documentation, 5.900(b).

Right to seek, 5.900(a), 765.105.
MENTAL INCOMPETENT.
Defined, 86.041.
MILITARY POWER OF ATTORNEY, 709.2106(4).
MILITARY TESTAMENTARY INSTRUMENT, VALIDITY OF,

732.502(3).
MINOR.
See CHILDREN OR MINORS.
MISSING PERSONS, 5.385, 5.680(a), 731.103, 733.209, 744.521.
MONITOR, COURT.
See COURT MONITOR.
MOTIONS.
Generally, 5.020(c).
Rehearing, for, 5.020(d).
Service of, 5.041.
Withdrawal of attorney, 5.030(c).
MURDERER NOT ENTITLED TO RECEIVE PROPERTY OR

BENEFITS, 732.802.
Abuse, neglect, exploitation or aggravated manslaughter of elderly



person or disabled adult.
Forfeiture of benefits, 732.8031.

Trust beneficiaries, 736.1104.



N

NATURAL GUARDIAN, 744.301.
NEXT OF KIN.
Defined, 744.102(14).
NONDOMICILIARIES, ASSETS OF, 731.106.
Ancillary administration.

See ANCILLARY ADMINISTRATION.
NONPROFIT CORPORATE GUARDIAN, 5.590(b), 744.102(15),

744.309(5), 744.3125(3)(4).
NOTARIAL WILL, 5.200(j), 5.210(a)(8), 733.205.
NOTICE.
Accounting.

Final, 5.345(b), 5.400(c), 5.430(h).
Interim, 5.345(b).

Adjudication of incapacity.
Petition for, 5.550(b), 744.331(1).
Petition for appointment of guardian based on, 5.560(b).

Administration.
See ADMINISTRATION.

Adversary proceedings, 5.025(d)(1), 5.025(d)(4).
Amendment of guardianship plan, 744.371(5).
Ancillary administration, 5.065(b)(c), 5.470(b), 734.102(1).
Ancillary administration, short form, 5.475(b), 5.475(e).
Appointment, of.

Ancillary personal representative, 5.470(b), 734.102(1).
Curator, 5.122(c), 733.501(1).
Guardian, 5.560(b), 744.331(1).
Guardian ad litem, 5.120(c).



Personal representative, 5.201, 733.212.
Resident guardian of nonresident incapacitated person, 744.308(5).
Voluntary guardian, 5.552(c), 744.341(1).

Approval of act of guardian, 5.630(b), 744.447(2).
Approval of settlement of minors claims, 5.636(c).
Capacity, suggestion of, 744.464(2)(c), 744.464(2)(f).
Civil action by or against personal representative or guardian, 5.065(a),

5.065(c).
Conservatorship proceedings.

Plenary proceedings, 747.031(1).
Summary proceedings, 747.051(2), 747.052(3).

Creditors, to, 5.241, 5.260(e), 5.475(b), 733.701, 733.2121, 734.102(5),
734.1025(2), 735.206(2), 735.2063.

Defined, 5.015(b)(2), 5.015(b)(3), 5.040(c), 731.201(22).
Determination of beneficiaries and shares, 5.385.
Developmentally disabled person, suggestion of restoration of rights of,

5.681(c).
Developmentally disabled person, to, 5.649(b), 393.12(4), 393.12(12).
Discharge of guardian, 5.650(d), 5.670(d), 5.680(d), 744.524, 744.528.
Discharge of personal representative, 5.400(c).
Disqualification of personal representative, 733.3101.
Effect of, 731.301(3).
Elective share, 5.360(a)(b).
Emergency temporary guardian.

Petition for appointment, 744.3031(2).
Establishment of lost or destroyed will, 5.510(d).
Estate tax return, federal, 5.395.
Expedited judicial intervention concerning medical treatment

procedures, 5.900(c).
Fee petitions, 5.120(d), 744.108(6), 744.641.



Final accounting by personal representative, 5.400(c).
Formal.

Adversary proceeding, 5.025(b)(3), 5.025(d)(1).
Ancillary proceedings, 5.470(b).
Curatorship proceedings, 5.122(c).
Defined, 5.015(b)(2), 5.040(a), 731.201(18).
Destroyed will proceeding, 5.510(d).
Elective share, 5.360(a)(2)(B), 5.360(b)(3).
Employment and compensation of agent by trustee, 736.0206.
Extraordinary authority of guardian, 5.635(b).
Extraordinary petition for dower, 5.365.
Generally, 5.040(a), 731.301(2), 744.106.
Incapacity proceedings, 5.550(b), 744.331(1), 744.3371(2).
Lost will proceeding, 5.510(d).
Notice of administration, 5.240(a), 733.212.
Optional, 5.040(d).
Personal representative, service of notice of administration, 5.2405.
Receipt and proof of service, 5.040(e).
Removal of guardian, 5.660(a), 744.477.
Service.

See SERVICE.
Taking possession of protected homestead, 5.404(c).
Waiver of, 5.180, 731.302, 744.106.

Guardianship proceedings, generally, 744.106.
Incapacity proceedings, 5.550(b), 744.331(1), 744.3371(2).
Informal.

Defined, 5.015(b)(3), 731.201(22).
Formal notice in lieu of, 5.040(d).
Generally, 5.040(a)(2), 5.040(b).
Service, 5.040(b).



Waiver of, 5.180.
Inventory.

Notice to nonresiduary beneficiaries, 5.340(f).
Lien on protected homestead.

See HOMESTEAD PROPERTY.
Order authorizing sale of real property where no power conferred,

5.370(b).
Possession of protected homestead by personal representative, notice of

taking.
Contents, 5.404(b).
Filing, 5.404(a).
Service, 5.404(c).

Power of attorney, 709.2121.
Removal of guardian, proceedings for, 5.660(a), 744.477.
Representative parties, 731.303(3).
Request for, 5.060(a).
Resignation of personal representative, 5.430(c), 733.502.
Sale of personal property of ward, 5.630(b), 744.447(2).
Sale of real property, 5.370(b).
Service.

See SERVICE.
Suggestion of capacity, 744.464(2)(c), 744.464(2)(f).
Summary administration, notice to creditors, 735.2063.
Termination of guardianship, 5.670(d), 5.680(d), 744.524, 744.527(1).
Time, enlargement of, 5.042.
Time for written defenses, 5.040(a)(1)(a)(2).
Trust Code.

Notice under, 736.0109.
Waiver.

See WAIVER.



NOTICE OF ADMINISTRATION.
See ADMINISTRATION.
NOTICE OF LIEN ON PROTECTED HOMESTEAD.
See HOMESTEAD PROPERTY.
NOTICE OF TRUST, 736.05055.
NOTICE TO CREDITORS.
See CREDITOR.
NUNCUPATIVE WILL, 732.502(2).



O

OATH.
Administrator ad litem, 5.120(a).
Conservator, 747.033.
Curator, 5.122(b).
Department of Revenue agents empowered to administer, 198.07(3).
Disinterested person, 733.201(3).
Emergency temporary guardian, 5.600, 744.3031(6).
Foreign guardian, 5.645(c).
General magistrate, 5.095(a), 5.697(a).
Guardian, 5.600, 744.347.
Guardian ad litem, 5.120(a).
Personal representative, 5.320, 733.201(3).
Preneed guardian, 744.3045(7).
Resident agent, 5.235(a)(3).
Special magistrate, 5.095(b), 5.697(b).
Surrogate guardian, 5.647(c).
Verification, 5.020(e), 731.104, 744.104.
Witness attesting to will, 5.230, 733.201(2).
OBJECTION.
Administration, notice of, 5.240(d), 733.212(2)(3).
Ancillary administration, short form, 5.475(f).
Annual report, 5.700, 744.367(4), 744.369(7), 744.372(1).
Claim against estate, 5.496, 5.499, 733.705.
Elective share.

See ELECTIVE SHARE.
Final accounting of personal representative, 5.345(b)(e), 5.400(b),

5.400(d), 5.401.



Final report of guardian, 5.650(f)(h), 5.670(f)(h), 5.680(f)(g), 5.700.
Incapacity adjudication.

Reports, objection to entry into evidence, 5.550(e).
Interim accounting of personal representative, 5.345(b)(e).
Jurisdiction of court, 5.210(c), 5.240(b)(3), 5.240(d), 733.212(2)(3),

733.2123.
Notice of administration, 5.240(b)(3), 5.240(d), 733.212(2)(3).
Petition for discharge, 5.400(b)(6), 5.401, 5.650(d), 5.650(f), 5.680(d),

744.528(2)(4).
Qualifications of personal representative, 5.240(b)(3), 5.240(d),

733.212(2)(3), 733.2123.
Reports, guardianship, 5.650(f)(h), 5.670(f)(h), 5.680(f)(g), 5.700.
Suggestion of capacity, 744.464(2)(d)(2)(f).
Suggestion of restoration of rights of developmentally disabled person,

5.681(c)(d), 393.12(12)(c), 393.12(12)(d).
Termination of guardianship, 5.670(b)(c), 5.680(d), 744.524, 744.527(1),

744.528(2)(4).
Validity of wills, 5.210(c), 5.240(b)(3), 5.240(d), 733.212(2)(3), 733.2123.
Venue, 5.210(c), 5.240(b)(3), 5.240(d), 733.212(2)(3), 733.2123.
OFFICE OF PUBLIC AND PROFESSIONAL GUARDIANS.
Access to records by, 744.2104.
Budget, preparation of, 744.2009.
Direct-support organization, relationship to, 744.2105.
Generally, 744.2001, 744.2006.
Professional guardians, registration of, 5.560(a)(10), 744.2002.
Professional guardians generally.

See PROFESSIONAL GUARDIAN.
Public guardians generally.

See PUBLIC GUARDIAN.
OFFICIAL RECORD OF DEATH, 5.171, 5.205, 731.103.



ORDER.
Accounting by personal representative, 5.150.
Acts of guardian, approving, 5.630(c).
Admitting lost or destroyed will to probate, 5.510(e).
Adversary proceedings, 5.025(c)(d).
Alternatives to guardianship, specifying, 5.685.
Ancillary administration, short form, 5.475(d).
Annual report, 744.369(3), 744.369(5), 744.3685.
Appeal of, 5.100.
Application to court for, 5.020(c).
Appointment, of.

Conservator, 747.032.
Court monitor, 5.720(b), 5.725(b), 744.107(1), 744.1075(1), 744.1076(1).
Curator, 5.122(b).
Emergency temporary guardian, 5.648(d).
Guardian, 744.2005.
Guardian ad litem, 5.120(c), 5.120(e).
Personal representative, 5.235(a)(1).

Approving act of guardian, 5.630(c), 744.451.
Compulsory payments, 5.380(b), 733.802(2).
Conservator.

Appointment of, 747.032.
Summary procedure, 747.051, 747.052.

Continuance of unincorporated business, 5.350(c), 5.640(a)(c).
Death, filing copy of official record of, 5.205(c).
Delivery of personal property, 733.802(2).
Destroyed will, admitting to probate, 5.510(e).
Determination of beneficiaries, 5.385(c).
Directing payment from one guardian to another, 744.374.
Discharge of guardian, 5.650(h), 5.670(h), 5.680(g), 744.524, 744.531.



Discharge of personal representative, 5.400(e), 5.430(k).
Discontinuing unincorporated business of decedent, 5.350(d), 5.640(e).
Elective share.

See ELECTIVE SHARE.
Establishing lost or destroyed will, 5.510(e).
Exempt property, determining, 5.406(c).
Extending time period, 5.042(b).
Family allowance, determining, 5.407(c).
Fiduciary access to digital assets act, order directing custodian to

comply, 740.06.
Final distribution, 5.400(e).
Guardian advocate generally.

See GUARDIAN ADVOCATE.
Guardians, appointment, 744.2005(1)(3).

Form for petition and order of guardian, 5.902.
Guardianship report, filing of, 744.369, 744.3685.
Homestead property, determining, 5.405(c).
Incapacity, adjudicating, 744.331(6), 744.2005.
Lost will, admitting to probate, 5.510(e).
Nonresident ward, managing property of, 5.645(e).
Objection to petition for discharge, 5.401(e).
Partial distribution, 5.380(b), 733.802(2).
Payment of devise, 5.380(b), 733.802(2).
Production of assets, requiring, 5.160, 744.373.
Protecting ward, 744.107(3), 744.371, 744.1075(3)(4).
Refund of excessive compensation, 5.355.
Rehearing of, motion for, 5.020(d).
Resignation of guardian, 5.650(a), 744.467.
Resignation of personal representative, 5.430(k).
Restoration of capacity, 744.464(3).



Restoration of rights of developmentally disabled person, 5.681(e),
393.12(12).

Sale of property, 5.370(b), 5.630(c), 733.613, 744.441(j), 744.441(n),
744.451, 744.457(1), 744.631.

Settling claim by or against guardian, 744.387.
Subsequent administration, 5.460(c), 733.903.
Summary administration, 5.530(d), 735.206.
Surrender of real property, 733.802(2).
Termination of guardianship.

Change of wards domicile, 5.670(h), 744.524.
Removal of wards incapacity, death of ward, inability to locate ward, or

exhaustion of wards assets, 5.680(g), 744.531.
Undue delay in adversary proceedings, preventing, 5.025(d)(3).
Unincorporated business.

Accounting for, 5.350(d).
Continuance of, 5.350(c), 5.640(a)(c).
Termination of, 5.350(d), 5.640(e).

Ward, protection of, 744.107(3), 744.371, 744.1075(3)(4).
Wills.

Probate of will without administration, 5.210(d).
ORGAN AND TISSUE DONATION.
See ANATOMICAL GIFTS.



P

PARENT.
Defined, 731.201(27).
PARTITION FOR PURPOSE OF DISTRIBUTION, 5.025(a), 733.814.
PERMISSIBLE DISTRIBUTEE.
Defined, 736.0103(13).
PERSONAL PROPERTY.
Disposition of without administration, 5.420, 735.301.

Payment to successor without court proceedings, 735.303.
Small estates.

Intestate personal property in small estates, 5.425, 735.304.
Entailed estates, 689.14.
Estates by survivorship, doctrine of, 689.15.
Exemption from levy.

Defendants right of selection, 222.07.
Generally, 222.061.
Injunction against sale, 222.09.
Jurisdiction of courts, 222.08.
Wages.

See WAGES.
Rule against perpetuities.

Cemeteries, effect on disposition of property for, 689.13.
Generally, 689.225.

Separate writing disposing of, 732.512, 732.515.
Small estates.

Disposition of without administration.
Intestate personal property in small estates, 735.304.

Trust, inter vivos, validity of, 689.075.



Wards, sale of, 5.630(b), 744.447(2).
PERSONAL REPRESENTATIVE.
Accounting by.

See ACCOUNTING.
Address designation, 5.110(a).
Ancillary administration, 734.102, 734.1025.
Appointment of.

Claim filed in ancillary proceeding, after, 734.1025(2).
Debtor as, 733.306.
Nonresidents, 733.304.
Persons not qualified, 733.303.
Petition for, 5.200.
Preference in, 733.301.
Trust companies and associations, 733.305.
Who may be appointed, 733.302.

Attorney, 5.030(a).
Bond of, 5.235(a)(2), 733.402, 733.403.
Claim, proof of, 5.498, 733.703(2), 733.705(4).

Service of claim by personal representative, 5.490(e).
Compensation of, 5.355, 5.400(b), 733.612(19), 733.617, 733.707(1),

733.6175.
Compulsory payment of devise by, 5.380, 733.802.
Continuance of decedents business by, 5.350.
Death of, 733.307.
Debtor as, 733.306.
Defined, 731.201(28).
Discharge.

Effect of, 733.901(2).
Florida estate tax, liability for, 198.19.
Order of, 5.400(e), 5.401(f), 5.430(k).



Petition for.
Contents of, 5.400(a)(b), 5.430(g).
Execution of, 5.330(g).
Objections to, 5.401, 5.430(i).
Service of, 5.400(c), 5.430(i).
Waiver of, 731.302.

Disclaimer by.
See DISCLAIMER.

Disqualification of, 5.310, 733.303, 733.304, 733.3101.
Distribution by.

See DISTRIBUTION.
Duties and powers of.

Accrual, time of, 733.601.
Breach of fiduciary duty, 733.609.
Creditors, duties to, 733.2121.
Generally, 733.602, 733.608.
Improper exercise of, 733.609.
Possession of estate, 733.607.
Sale of real property by, 5.370, 733.613.
Successor personal representative, 733.614.
Transactions authorized, 733.612.
Unclaimed property, as to, 717.112, 717.1125, 717.1242, 717.12405,

733.816.
Without court order, 733.603, 733.612.

Elective share.
See ELECTIVE SHARE.

Environmental laws, protection against violation of, 733.6121.
Escheat proceedings initiated by, 5.386.
Estate tax.

Discharge from liability for state, 198.19.



Filing notice of federal, 5.395.
Exculpation of by will, 733.620.
Execution of documents by, 5.330.
Fiduciary access to digital assets act, 740.001740.11.

See FIDUCIARY ACCESS TO DIGITAL ASSETS ACT.
Fiscal year, election of, 5.345(a)(1).
Foreign.

Defined, 731.201(17).
Filing of authenticated transcript of foreign proceedings by, 5.470, 5.475,

734.104, 734.1025(1).
Generally, 734.101.
Jurisdiction over, 734.201, 734.202.
Service and publication of notice to creditors by, 734.1025(2).

Guardian subsequently appointed as, 744.528.
Interim accounting, filing, 5.345, 5.346, 5.346Appendix A.
Inventory, filing, 5.340, 733.604.
Joint, 733.615.
Liability of.

Breach of fiduciary duty, 733.609.
Discharge, after, 733.901(2).
Environmental laws, violation of, 733.6121.
Exculpatory clause in will, 733.620.
Executor de son tort, 733.309.
Individual, 733.619, 733.2121(3)(b).

Lien on protected homestead by.
See HOMESTEAD PROPERTY.

Nonresidents as, 733.304.
Oath of, 5.320, 733.201(3).
Payment of compensation to, review of, 5.355, 733.6175.
Petition for administration.



Statement of qualification to serve, 5.200(k).
Preference in appointment of, 732.702(1), 733.301.
Production of assets by, 5.160.
Proof of claim by, 5.498, 733.703(2), 733.705(4).
Protection for persons dealing with, 733.611.
Removal of.

Accounting required, 5.345, 5.440(b), 733.508(1).
Adversary nature of proceeding, 5.025(a).
Appointment of successor, 733.5061.
Causes for, 733.504.
Jurisdiction, 733.505.
Proceedings for, 5.440, 733.506.
Surrender of assets, 5.440(c), 733.508(2), 733.509.

Resident agent for.
See RESIDENT AGENT.

Resignation of.
Acceptance of, 5.430(e).
Accounting required, 5.430(g), 733.5036(1).
Appointment of successor, 5.430(d), 733.503.
Delivery of records and property by, 5.430(f), 5.430(j).
Discharge following, 5.430(k), 733.5036(2).
Execution of, 5.330(h).
Generally, 5.430(a), 733.502.
Knowledge that he or she is not qualified, 733.3101.
Petition for.

Contents of, 5.430(b).
Filing of, 5.430(b).
Service of, 5.430(c).
Verification of, 5.430(b).

Surrender of assets, 5.430(a), 733.5035, 733.5036(2).



Review of employment of agents by, 733.6175.
Safe-deposit box, access to.

See SAFE-DEPOSIT BOX.
Sale of real property, by, 5.370, 733.613.
Sale or encumbrance to representative or spouse, agent or attorney of

representative, 733.610.
Service of notice of administration on personal representative, 5.2405.
Signature, when required, 5.330.
Succession of, 733.307.
Successor.

Appointment of, 5.430(d), 733.307, 733.503, 733.5061.
Powers and duties of, 733.614.

Surcharge of, 5.025(a).
Surviving, 733.616.
Transactions authorized for, 733.612.
Trust companies and associations as, 733.305.
Unclaimed property.

Claims to, 717.1242, 717.12405.
Held by, 717.112, 717.1125, 733.816.

Unqualified persons, 733.303.
Who may be appointed as, 733.302.
PER STIRPITAL DISTRIBUTION.
Devises, 732.603, 732.611.
Intestate succession, 732.104.
PET, TRUST FOR CARE OF, 736.0408.
PETITION.
Adjudication of incapacity, 5.550, 744.331.
Administration.

Ancillary, 5.470(a).



Generally, 5.200, 733.202.
Notice, 5.201, 733.2123.

Administrator ad litem, appointment of, 5.120(b).
Admission of will to probate without administration, 5.210(a)(b).
Alternatives to guardianship, 5.685(b)(d).
Ancillary administration, 5.470(a).
Appointment.

Administrator ad litem, 5.120(e).
Conservator, 747.03.
Curator, 5.122(a).
Emergency temporary guardian, 5.648(a), 744.3031(1), 744.3201(3).
Guardian, 5.555(c), 5.560, 744.331(1), 744.334, 744.3201(3).
Guardian ad litem, 5.120(b)(c), 5.120(e).
Guardian advocate, 5.649(a)(b), 393.12(3)(4).
Personal representative, 5.200.
Preneed guardian, 744.3045(7).
Resident guardian of nonresident ward, 744.308(1)(3).
Standby guardian, 5.646, 744.304(1)(2).
Veterans guardian, 744.616.
Voluntary guardian, 5.552(a)(c), 744.341.

Approval of acts of guardian, 5.610(e), 5.630(a), 744.447(1).
Assignment of dower for widow, 5.365.
Changing residence of ward, 744.1098.
Commissioner to prove will, appointment of, 5.230(a).
Compensation.

Attorney, 744.108(5)(7).
Guardian, 744.108(5)(7), 744.641.
Guardian ad litem, 5.120(d).
Personal representative and estate employees, review of propriety of fees,

5.355.



Compulsory payment of devises or distributive interests, 5.380(a).
Conservatorship.

Establishment of.
Plenary procedure, 747.03.
Summary procedure, 747.051, 747.052.

Termination of, 747.04(1).
Contents of, 5.020(b).
Continuance of unincorporated business.

By guardian, 5.640(b), 744.441(m).
By personal representative, 5.330(d), 5.350.

Defined, 731.201(29).
Determination of beneficiaries and shares, 5.385(a)(b), 733.105(1).
Determination of homestead, 5.405(a)(b).
Determination of incapacity, 5.550, 744.331(1), 744.331(4)(5), 744.3201.

Form, 5.901.
Discharge.

Guardian, 5.552(e), 5.610(f), 5.650(a)(b), 5.670(a)(b), 5.680(a)(d),
744.528.

Personal representative, 5.330(g), 5.400, 5.430(g).
Veterans guardian for minor ward, 744.643.

Dower, assignment of, 5.365.
Elective share, determination of amount of.

See ELECTIVE SHARE.
Establishment and probate of lost or destroyed will, 5.510(b).
Execution, when required.

Guardian, 5.610.
Personal representative, 5.330.

Exempt property, determination of, 5.406(a)(b), 732.402(6).
Expedited judicial intervention concerning medical treatment

procedures, 5.900(a).



Extraordinary authority of guardian, 5.635(a).
Family allowance, determination of, 5.407(a)(b).
Grounds for relief, allegation of, 5.020(b).
Guardian advocate generally.

See GUARDIAN ADVOCATE.
Guardians, appointment.

Contents, 5.020(b), 5.560(a), 744.334.
Form for petition and order of guardian, 5.902.

Homestead property.
Determination of, 5.405(a)(b).
Determination of amount of lien on, 5.403, 733.608(3)(a).

Incapacity, determination of, 5.550, 744.331(1), 744.331(4)(5), 744.3201.
Adjudicatory hearing, 5.550(f).
Examining committee, 5.550(e).

Interim judicial review of guardians actions, 5.705, 744.3715.
Jurisdiction, allegation of, 5.020(b).
Later will, probate of, 733.208.
Lien on protected homestead, determination of, 5.403, 733.608(3)(a).
Lost or destroyed will, probate of, 5.510(b).
Managing Florida property of nonresident ward, 5.645(a), 744.307(1).
Missing person, administering estate of, 733.209.
Payment from one guardian to another, 744.374.
Pleadings generally.

See PLEADINGS.
Production of property, 5.160, 744.373.
Production of will, 732.901(2).
Relief sought, allegation of, 5.020(b).
Removal of guardian, 5.660(a), 744.391.
Removal of personal representative, 5.310, 5.440(a), 733.505.
Requiring filing of death certificate, 5.205(c).



Residence of ward, changing, 744.1098.
Resignation of personal representative, 5.330(h), 5.430(b), 5.430(g).
Restoration of rights of developmentally disabled person, 393.12(12).
Review of compensation of personal representative, 5.355.
Revocation of probate, 5.270(a), 733.208.
Sale of property, 5.330(c), 5.370(a), 5.630(a), 744.441(j), 744.441(n),

744.447, 744.451, 744.631.
Service of, generally, 5.041.
Settlement of claim, approval of, 5.636(b)(c).
Signature, when required, 5.330, 5.610.
Subsequent administration, 5.460(a)(b).
Summary administration, 5.530(a), 735.203, 735.2055.
Support of wards dependents, 744.421, 744.625.
Surrogate guardian, designation of, 5.647, 744.442(2)(a).
Termination of guardianship, 5.680(a), 5.680(d), 744.524.
Verification of, 5.020(e), 731.104, 744.104.
Waiver.

Audit fee, 744.365(6), 744.3678(4).
Bond, fiduciary, 733.402(4).

PLANS, INITIAL AND ANNUAL.
See GUARDIAN.
PLEADINGS.
Caption of, adversary proceedings, 5.025(d)(5).
Copies, request for, 5.060(a).
Defects in form, 5.020(a).
Form of, 5.020(a).
Motions, 5.020(c).
Petition, contents of, 5.020(b).
Petition, generally.



See PETITION.
Service of.

See SERVICE.
Signature required, 5.020(a), 5.330, 5.610.
Technical forms abolished, 5.020(a).
Verification, 5.020(e), 731.104, 744.104.
PLENARY GUARDIAN.
See GUARDIAN.
POWER OF APPOINTMENT.
Defined, 731.201(30), 732.2025(3), 736.0103(7).

General power of appointment defined for purposes of transfers to minors
provisions, 710.102.

Disclaimer of property passing under.
See DISCLAIMER.

Qualifying, defined, 732.2095(1)(b).
Release.

Effect of, 709.04.
Method of, 709.02.
Prior release, validation of, 709.05.
Tax laws, powers included, 709.06.
Title to property held by bona fide purchaser for value without knowledge

of release, validity of, 709.07.
Trust, property held in, 709.03.

Representation by holder of, 731.303, 736.0302.
Trust.

Directed trust.
Exclusions from provisions, 726.1403.

Release of power, 709.03.
Validity of, 689.225.



POWER OF ATTORNEY.
Acceptance, 709.2119(2).
Applicability of provisions, 709.2103.
Appointment acceptance, 709.2113.
Attorneys fees and costs, 709.2116(3).
Authority, 709.2201.
Banks, 709.2208, 709.2302.
Citation of provisions, 709.2101.
Co-agents, 709.2111(1), 709.2111(6).
Compensation, 709.2112(2)(3).
Conflicts of interest, 709.2116(4)(5).
Copies, 709.2106(5).
Court powers, 709.2116(1).
Definitions, 709.2102.
Disclosures, 709.2114(6).
Durable, 709.2104.
Duties, 709.2114(2).
Effective date, 709.2108.
Effectiveness, 709.2107.
Electronically transmitted copies, 709.2106(5).
Electronic signatures in federal law and, 709.2401.
English translations, 709.2119(4).
Executions, 709.2105.
Existing powers of, 709.2402.
Exoneration, 709.2115.
Expertise, 709.2114(4).
Fiduciary access to digital assets act, 740.001740.11.

See FIDUCIARY ACCESS TO DIGITAL ASSETS ACT.
Fiduciary duties, 709.2114(1).
Financial institutions, 709.2208, 709.2302.



Good faith, 709.2114(3).
Homestead, conveyance of, 689.111.
Law and equity principles, 709.2301.
Liability, 709.2117.
Meaning of, 709.2107.
Military power of attorney, 709.2106(4).
Notice, 709.2121.
Out-of-state executions, 709.2106(3).
Principal physically unable to sign or initial, 709.2202.
Property value declines, 709.2114(5).
Qualifications, 709.2105.
Recordation by clerk, 709.2106(6).
Reimbursement, 709.2112(1).
Rejection of power, 709.2120.
Reliance on, 709.2119(1), 709.2119(3).
Relief petitions, 709.2116(2).
Remedies, 709.2303.
Resignation, 709.2118.
Revocation, 709.2110.
Signed enumeration authority, 709.2202.
Successor agents, 709.2111(2)(5).
Suspension, 709.2109.

Incapacity determination, suspension of power before, 744.3203.
Termination, 709.2109.
Unclaimed property, 717.135.
Validity, 709.2106.
PRENEED GUARDIAN.
Alternate, 744.3045(6).
Defined, 744.102(16).



Generally, 744.312(4), 744.3045.
Minor, for, 744.3046.
PRESERVATION OF WILL, 732.901.
PRETERMITTED CHILDREN, 732.302, 732.507(1), 733.805(1).
PRETERMITTED SPOUSE, 732.301, 732.507(1), 732.702(1), 733.805(1).
PRIVATE CONTRACTS, 733.815.
PROBATE.
Administration.

Ancillary, 5.470, 734.102, 734.1025.
Notice of.

Generally, 5.240, 733.212.
Petition for administration, 5.201, 733.2123.

Petition for, 5.200, 733.202.
Probate without administration, 5.210.

Admission of foreign will to, 5.216, 734.102, 734.1025.
Authenticated copy of will, 5.200(j), 5.210(a)(8), 5.215, 5.470(a), 5.470(c),

5.475(a), 733.206(2).
Caveat.

See CAVEAT.
Claim, form and manner of presenting, 5.490, 733.703.
Commission to prove will.

Commissioner, appointment of, 5.230(a).
Filing of, 5.230(d).
Generally, 5.230(b), 733.201(2).
Mailing of, 5.230(c).
Petition, 5.230(a).

Construction of will, as prerequisite to, 733.213.
Continuance of decedents business, 5.350.
Definitions, 731.201.



Destroyed or lost will, 5.510, 733.207.
Disposition of personal property without administration, 5.420, 735.301.

Intestate property in small estates, 735.304.
Payment to successor without court proceedings, 735.303.

Effect of, 733.103.
Elective share.

See ELECTIVE SHARE.
Electronic will or codicil, 732.526.

Self-proved electronic will.
Probate of self-proved electronic will, 733.201.

Evidence, 5.170.
Execution by personal representative, 5.330.
Foreign language, will written in, 5.216, 733.204.
Foreign probate of will of Florida resident, procedure following, 733.206.
In rem proceeding, 731.105, 731.1055.
Inventory, 5.340, 733.604.
Later will, discovery of, 733.208.
Lost or destroyed will, 5.510, 733.207.
Notarial will, 5.200(j), 5.210(a)(8), 733.205.
Notice of administration, 5.240, 733.212.
Oath.

Personal representative, 5.320, 733.201(3).
Witness to will, 5.230, 733.201(2).

Objections, 5.240(b)(3), 5.240(d), 733.212, 733.2123.
Petition for administration, 5.200, 733.202.
Petition for admission of will, 5.210.
Pleadings.

Service of pleadings and documents, 5.041.
Precious metals.

Defined, 731.1065.



Proof of wills, 733.201.
Revocation of, 5.025(a), 5.270, 733.109.
Service of pleadings and documents, 5.041.

Creditors claims against estates.
Objections to claims, 5.496.
Personal representatives proof of claim, 5.498.

Objection to, 5.499.
Presentation of claims.

Service by personal representative, 5.490.
Wills.

See WILL.
Without administration, 5.210.
Witness, oath of, 5.230, 733.201(2).
PRODUCTION OF ASSETS, REQUIRING, 5.160, 744.373.
PRODUCTION OF WILL, 732.901.
PROFESSIONAL GUARDIAN.
Appointment of, petition for, 744.334(2).
Assessment of wards condition by, 744.361(14).
Banking corporation as, 744.2002(7).
Bond, 744.2002(3)(b), 744.2003(2).
Borrowing from ward prohibited, 744.454.
College or university as, 744.2002(10).
Complaints against, review and investigation, 744.2004(1).
Credit and criminal investigation, 744.2002(4)(5), 744.3135.
Defined, 744.102(17).
Department of Elderly Affairs, rules to implement disciplinary

provisions, 744.2004(6).
Disciplinary proceedings.

Available sanctions, 744.20041(2).



Determination as to sanction imposed, 744.20041(3).
Establishment of procedures, 744.2004(2).
Grounds for discipline, 744.20041(1).
Injunction or writ of mandamus, 744.20041(7).
Legislative intent of guidelines, 744.20041(5).
Mitigating and aggravating circumstances, 744.20041(6).
Review of disciplinary guidelines prior to imposition of sanction,

744.20041(4).
Revocation, permanent nature, 744.20041(8).
Rulemaking to administer provisions, 744.20041(11).
Uniform discipline as purpose of provisions, 744.20041(10).

Education and training, 744.2002(3)(b), 744.2003, 744.3145(7).
Examination of competency, 744.2003(6)(10).
Grounds for discipline, 744.20041(1).
Information and transparency.

Database of information, 744.2112.
Petition for appointment of, 744.334(2).
Registration, 5.560(a)(10), 744.2002.

Profiles of registered professional guardians.
Publication on office website, 744.2001.

Regulation of, 744.2003.
Savings association as, 744.2002(7).
Surrogate guardian, 5.647(a).
Suspension or revocation of registration, determination provided to

courts, 744.2004(4), 744.20041(9).
Trust company as, 744.2002(7).
Visits to ward, duty to make, 744.361(14).
Vulnerable adult, report of misconduct involving, 744.2004(5).
Written notices required prior to suspension or revocation of

registration, 744.2004(3).



PROOF OF SERVICE, 5.040(a)(6).
Formal, 5.040(e).

Persons served, 5.040(a)(4).
Persons served, 5.040(a)(4).
PROOF OF WILLS, 733.201.
PROPERTY.
Abandonment of, 733.612(9).
Abuse, neglect, exploitation or aggravated manslaughter of elderly

person or disabled adult.
Forfeiture of benefits, 732.8031.

Ademption, 732.605, 732.609.
Appraisal.

See APPRAISAL.
Assets.

See ASSETS.
Community.

See COMMUNITY PROPERTY.
Defined.

Guardianship, 744.102(18).
Probate, 731.201(32).
Trust, 736.0103(15).

Disposition without administration, 5.420, 735.301.
Intestate property in small estates, 735.304.
Payment to successor without court proceedings, 735.303.

Estates.
See ESTATE.

Exempt, 5.406, 732.402.
Homestead.

See HOMESTEAD PROPERTY.



Inventory.
See INVENTORY.

Killer not entitled to receive, 732.802.
Trust beneficiaries, 736.1104.

Partition, 733.814.
Personal property.

See PERSONAL PROPERTY.
Production of, 5.160, 744.373.
Real property.

See REAL PROPERTY.
Subsequently discovered, 5.340, 744.384.
Surrender of.

By removed guardian, 5.660(c), 744.514.
By removed personal representative, 5.440(d).

Unclaimed, disposition of.
See UNCLAIMED PROPERTY.

PROTECTED HOMESTEAD.
See HOMESTEAD PROPERTY.
PROXY.
See HEALTH CARE ADVANCE DIRECTIVES.
PRUDENT INVESTOR RULE.
See INVESTMENT OF FIDUCIARY FUNDS.
PUBLICATION.
Notice of termination of guardianship, 5.670(b), 744.524.
Notice to creditors, 5.241(a), 5.241(c), 5.475(b), 733.701, 733.2121(1),

733.2121(2), 734.102(5), 734.1025(2), 735.2063.
PUBLIC GUARDIAN.
Annual report of operations, 5.710(d), 744.2103(3).
Application for appointment of, 5.590(d).



Appointment of, 5.560, 744.2006(2), 744.2006(5)(6).
Bond by, 744.351(5), 744.2102.
Budget, preparation of, 744.2009.
Confidential information, 744.2111.
Costs of, 744.2008.
Emergency temporary guardian, as, 5.648.
Grant program to develop local offices.

Administration of, 744.2107.
Application requirements, 744.2109.
Distribution of funds, 744.2106, 744.2109(2), 744.2109(4).
Eligibility requirements, 744.2108.
Generally, 744.2106.
Purpose, 744.2106.

Office of Public and Professional Guardians, 744.2001, 744.2006(1).
Part-time, 744.2006(3).
Powers and duties of, 5.710, 744.2007.
Procedures and rules, 744.2101.
Public records.

Exemption from required disclosures, 744.21031.
Records, access to, 744.2104.
Removal of, 744.2006(5).
Reports by, 5.710, 744.2103.
Requirements for, 744.309(1), 744.2006(2)(4).
Service of petition and notice in appointment of guardian, 5.560(c).
Suspension of, 744.2006(5).
PURCHASER OF PROPERTY, PROTECTION EXTENDED TO.
Distributee, from, 733.813.
Guardian, from, 744.461.



R

REAL PROPERTY.
Acknowledgment or authentication of instrument.

Armed forces, members of, 695.031.
Certificate of officer taking, 695.04.
Defects cured, 695.05, 695.06.
Form of, 695.25.
General requirements, 695.03.
Identity of grantor, determination of, 695.09.
Scrawl or scroll, use of, 695.07, 695.08.
Short form of, 695.25.
Uniform Commercial Code, exceptions for transactions under, 695.032.
Venue, validation of irregularities as to, 695.06.
Warranty deed, 689.04.

Ad valorem taxes, disclosure of, 689.261.
Appraiser, county property, schedule of recorded conveyances furnished

to, 695.22.
Armed forces, members of.

Acknowledgment or authentication of instrument by, 695.032.
Termination of purchase agreement by, 689.27.

Cemeteries, disposition for care in, 689.13.
Common recovery, conveyance by, 689.08.
Community real property.

See COMMUNITY PROPERTY.
Custodian of individual retirement plan or qualified plan, transfer to or

by, 689.072.
Death on, failure to disclose, 689.25.
Deed, warranty.



Acknowledgment of, 689.04.
Effect of, 689.03.
Execution of, 689.04.
Form of, 689.02.

Disclosures.
Ad valorem taxes, 689.261.
Death on property, 689.25.
HIV infection in occupant of real property, 689.25.
Sewers.

Sanitary sewer laterals, defects.
Disclosure to prospective purchasers, 689.301.

Entailed estates, 689.14.
Estates by survivorship, doctrine of, 689.15.
Execution of petition for sale or confirmation of sale or encumbrance of,

5.330.
Fine, conveyance by, 689.08.
Florida Land Trust Act, 689.071.
Foreign will, admission to pass title and interest, 734.104.
Forfeiture provisions, 689.18.
Guardian, purchase or sale by, 744.441(j), 744.441(n), 744.447, 744.451,

744.457(1).
HIV infection in occupant of real property, failure to disclose, 689.25.
Homestead.

See HOMESTEAD PROPERTY.
Husband and wife.

Conveyance between, 689.11, 689.111(2).
Conveyance to, 689.115.

Land trusts, 689.071.
Limitation, absence of words of, 689.10.
Method of conveyance, 689.01.



Minerals, limitations on use of term, 689.20.
Order directing surrender, 5.380(b)(4), 733.802(2).
Partition, 733.814.
Partnership, conveyance to or by, 689.045.
Recording of conveyances.

Acknowledgment or authentication, requirement of, 695.03.
Blank form of mortgage or other instrument, 695.02.
Certificate of record.

Lack of, 695.13.
Unsigned, 695.14.

Certified copies of instruments, 695.19.
Contracts of record, unperformed, 695.20.
Electronic.

Applicability of provisions, 695.28(2).
Generally, 695.27.
Validity, 695.28(1).

Filing, instruments deemed recorded from time of, 695.11.
Fire, destruction of recorded instruments by, 695.15, 695.16.
Generally, 695.01, 695.25.
Governmental agencies.

Conveyances between, 695.015.
United States deeds and patents, 695.17, 695.18.

Imperfect record, 695.12.
Master form of mortgage or other instrument, 695.02.
Proof of handwriting of deceased grantor and witnesses, 695.10.
Requirements for, generally, 695.26.
Schedule of recorded conveyances furnished to county property appraiser,

695.22.
Uniform Real Property Electronic Recording Act.

Applicability of provisions, 695.28(2).



Generally, 695.27.
Validity, 695.28(1).

Recording of liens, 695.01.
Reverter provisions, 689.18.
Right of entry.

Subsurface rights, disclosure to prospective purchasers, 689.29.
Rule against perpetuities.

Cemeteries, effect on disposition of property for, 689.13.
Generally, 689.225.

Sale of to pay estate tax, 198.24.
Sale of when no power conferred.

Notice of public sale, 5.370(b).
Order, 5.370(b), 5.630(c), 733.613(1), 744.451, 744.457(1)(b).
Petition, 5.370(a), 744.441(j), 744.441(n), 744.447.

Sale of when power conferred, 733.612(2), 733.612(5), 733.613(2)(3).
Scriveners error.

Curative procedure for scriveners error in deeds, 689.041.
Shelleys Case, abolishment of rule in, 689.17.
State lands conveyed for educational purposes, 689.12.
Statute of uses, deed under, 689.09.
Subsurface rights.

Disclosure to prospective purchasers, 689.29.
Taxes, ad valorem, disclosure of, 689.261.
Termination of purchase agreement by servicemember, 689.27.
Transfer fee covenants, prohibition against, 689.28.
Trust estate.

Conveyance of, 689.06.
Declarations of, 689.05.
Individual retirement account trustee, transfers to or by, 689.072.
Inter vivos trust, validity of, 689.075.



Land trusts, 689.071.
Powers conferred on trustee in recorded instrument, 689.073.
Qualified plan trustee, transfers to or by, 689.072.
Trustee or as trustee added to name of grantee, effect of, 689.07.

Variances of names in recorded instruments, 689.19.
Windstorm mitigation rating, disclosure of, 689.261.
Worthier title, abolishment of doctrine of, 689.175.
RECORD.
Appeals, 744.109(2).
Death, of, 5.171, 5.205, 731.103.
Hearings, 5.541, 744.109(1).
Incapacity determination, reports, 5.550(e).
Public guardian.

Public records.
Exemption from required disclosures, 744.21031.

REEMPLOYMENT ASSISTANCE.
Deceased employees, 222.15(2), 222.16.
REHEARING, MOTION FOR, 5.020(d).
RELIEF, ALLEGATION OF.
Motion, in, 5.020(c).
Petition, in, 5.020(b).
REMAINDER BENEFICIARY.
Defined, 738.102(11).
REMOVAL.
Curator, 733.501(4).
Guardian.

See GUARDIAN.
Personal representative.



See PERSONAL REPRESENTATIVE.
Trustee, 736.0706.
REPORTING.
See RECORD.
REPRESENTATION.
Estates, 731.303.
Trusts.

See TRUST.
REPRESENTATIVE.
See PERSONAL REPRESENTATIVE.
REQUEST FOR NOTICES AND COPIES OF PLEADINGS, 5.060(a).
RESIDENCE.
Defined, 731.201(34).
Wards, change of, 744.1097(3), 744.1098.
RESIDENT AGENT.
Acceptance.

Effect of, 5.110(f).
Filing of, 5.110(b).
Writing, requirement of, 5.110(d).

Address designation, 5.110(a)(b).
Attorney as, 5.110(b)(c).
Caveator, of, 5.260(c).
Corporate fiduciaries exemption for, 5.110(b).
Curator, of, 5.122(b).
Death of, 5.110(g).
Designation of for service of process, 5.110(b), 5.110(f).
Guardian of nonresident ward, designation by, 5.645(b), 744.307(2).
Incorporation of designation in other pleadings, 5.110(e).



Residency requirement, 5.110(b)(c).
Resignation of, 5.110(g).
Successor, appointment of, 5.110(g).
RESIGNATION.
Custodian, 710.121(3), 710.121(5).
Guardian, 5.610(h), 5.650, 744.467.
Personal representative.

See PERSONAL REPRESENTATIVE.
Resident agent, 5.110(g).
Trustee, 736.0705.
RETAINED ASSET ACCOUNTS.
Unclaimed proceeds, 717.107.
REVOCATION.
Anatomical gift, 765.516.
Probate, 5.025(a), 5.270, 733.109.
Will.

See WILL.
RULE AGAINST PERPETUITIES.
Cemeteries, effect on disposition of property for, 689.13.
Generally, 689.225.
RULES OF APPELLATE PROCEDURE, APPLICABILITY OF, 5.100.
RULES OF CIVIL PROCEDURE.
Adversary proceedings, 5.025(d)(2).
Applicability of, generally, 5.010.
Depositions, 5.080(a).
Discovery, 5.080(a).
Objections to venue or jurisdiction of court, 5.240(d).
Process, service of, 5.040(a)(3)(B).
Subpoenas, 5.080(a)(14).



Transfer of proceedings, 5.050(a).
Trust.

Notice of judicial proceeding involving, 736.0109(6).
Proceedings involving, generally, 736.0201(1).



S

SAFE-DEPOSIT BOX.
Adverse claims to contents of, 655.938.
Authority to engage in business, 655.931.
Death of lessee.

Delivery of contents to fiduciary, 655.935, 655.936.
Lack of knowledge of, effect of, 655.934.
Search procedure after, 655.935.

Definitions, 655.93.
Fiduciaries.

Access to box by, 655.933, 655.936, 655.937, 733.6065.
Delivery of contents to, 655.936, 733.6065.

Inventory of.
Decedents, 5.342, 655.937(5), 733.6065(1).
Wards, 5.620(d), 744.365(4).

Joint lessees, access by, 655.937.
Minor, lease to, 655.932.
Nonpayment of rent, remedies for, 655.94.
Power of attorney, presumptive validity of, 655.934.
Security procedures, failure of lessor to abide by, 655.939.
Two or more lessees, access by, 655.937.
Unclaimed property in, 717.116, 717.117(1)(c), 717.119(5), 717.1201(7).
Verification of contents, 5.342(b).
SALE OF REAL PROPERTY.
See REAL PROPERTY.
SAVINGS BONDS.
Unclaimed property.

Florida Disposition of Unclaimed Property Act.



Claims for savings bond, 717.1383.
United States savings bonds, 717.1382.

SCOPE OF PROBATE RULES, 5.010.
SCRIVENERS ERROR.
Curative procedure for scriveners error in deeds, 689.041.
SEARCH OF, 5.3425.
SECURITY.
Defined, 731.201(36).
Security interest, defined, 731.201(37).
Transfer on death.

See FLORIDA UNIFORM TRANSFER-ON-DEATH SECURITY
REGISTRATION ACT.

Unclaimed property, 717.1101.
SEPARATE WRITING, 732.512, 732.515.
SERVICE.
Adversary proceedings, 5.025(b), 5.025(d)(1).
Annual plan and accounting of guardian, 5.695(b).
Appointment of administrator ad litem, petition for, 5.120(e).
Appointment of guardian, petition for, 5.560(b)(c), 744.331(1), 744.3371.
Appointment of guardian ad litem, petition for, 5.120(e).
Appointment of personal representative, petition for, 5.201.
Assignment of dower, petition for, 5.365.
Caveat, 5.260(c), 731.110(2)(3).
Certificate of, 5.496(b).
Claims.

Presentation of claims, 5.490(b).
Personal representative, service by, 5.490(e).

Completion of service, 5.040(a)(5).
Designation of resident agent for, 5.110.



Discharge of guardian, petition for, 5.680(d), 744.528.
Discharge of personal representative, petition for, 5.400(c).
Elective share.

Election to take, 5.360(a)(1), 5.360(a)(2)(B).
Inventory of elective estate, 5.360(d)(2).
Notice of election, 5.360(b)(3).
Objection to election, 5.360(b)(4).
Petition to determine amount of, 5.360(d)(1).

E-mail, additional time after service by email, 5.042(d).
Expedited judicial intervention concerning medical treatment

procedures, notice of petition and hearing on, 5.900(c).
Final accounting, 5.400(c), 5.660(b), 5.660(d).
Final report, 5.650(e), 5.680(e), 744.511, 744.528(1), 744.3031(9)(e).
Formal notice.

Generally, 5.040(a)(1), (3), 731.301.
In lieu of informal notice, 5.040(d).
Receipt and proof of service, 5.040(e).

Generally, 736.02025.
Guardian ad litem, on, 5.120(a).
Hearings, for, 5.042(c).
Incapacity adjudication.

Examining committee report, 744.331(3).
Order of, 744.331(6)(e).
Petition for, 5.550(b), 5.560(b), 744.331(1).

Reports, 5.550(e).
Informal notice, 5.040(b).
Inventory, 5.340(b), 5.340(d), 5.342(c), 5.360(d)(2).
Mail, additional time to act after service by, 5.042(d).
Mail, when permissible, 736.02025.
Method.



Formal notice, 5.040(a)(3).
Informal notice, 5.040(b).

Motion.
Rehearing, 5.020(d).
Withdrawal of attorney, 5.030(c).

Notice of administration, 733.212(1), 733.212(8).
On personal representative, date notices considered served, 5.2405.
Persons served by personal representative, 5.240(a).

Notice of taking possession of protected homestead, 5.404(c).
Notice to creditors, 5.241(a), 733.701, 733.2121(3), 734.102(5),

734.1025(2), 735.206(2), 735.2063.
Objection.

Accounting, to, 5.345(d), 5.401(c).
Claim, to, 5.499(e), 733.705(2).
Election of elective share, to, 5.360(b)(4).
Petition for discharge, to, 5.401(c).

Order requiring accounting, 5.150(c), 744.3685.
Pleadings and documents, 5.041.

Creditors claims against estates.
Objections to claims, 5.496.
Personal representatives proof of claim, 5.498.

Objection to, 5.499.
Presentation of claims.

Service by personal representative, 5.490.
Guardians.

Petition to determine incapacity, 5.550.
Reports, 5.690, 5.695.

Request for notices and copies, service of notice of further proceedings and
copies, 5.060(b).

Proof, 5.040(a)(6).



Proof of service by formal notice, 5.040(e).
Report of guardian.

Annual, 5.695(a), 744.367(3).
Final, 5.650(e), 5.680(e), 744.528(1).
Initial, 5.690(b), 744.362(1).

Suggestion of capacity, notice of filing of, 744.464(2)(c).
Time for, generally, 5.042.
Trust, in rem or quasi in rem relief sought, 736.02025.
Waiver, 5.180, 5.240(e).
SHELLEYS CASE, RULE IN, 689.17.
SIGNATURE.
See EXECUTION OF DOCUMENTS.
SIMULTANEOUS DEATHS, 732.601.
SMALL ESTATES.
Disposition without administration, 5.205(a)(4), 5.420, 735.301, 735.302.

Intestate personal property in small estates, 5.425, 735.304.
Payment to successor without court proceedings, 735.303.

Summary administration.
See SUMMARY ADMINISTRATION.

Unclaimed property, agreement among beneficiaries, 717.1243.
SPECIAL MAGISTRATES.
See MAGISTRATES.
SPOUSE.
Elective share.

See ELECTIVE SHARE.
Exempt property.

See EXEMPT PROPERTY.
Family allowance, 732.403.



Homestead.
See HOMESTEAD PROPERTY.

Intestate estate, share of, 732.102.
Pretermitted, 732.301, 732.507(1), 732.702(1).
Service of notice of administration on, 5.240(a)(1).
STANDBY GUARDIAN.
Appointment of, 5.646, 744.304(1)(4), 744.312(4).
Defined, 744.102(19).
Jurisdiction of court, 744.304(5).
STATUTES OF LIMITATIONS.
Escheated property, recovery of, 732.107(3), 733.816(3).
Suspension of.

In favor of guardian, 744.394.
In favor of personal representative, 733.104.

Trust.
Directed trust.

Limitation of action against trust director, 736.1413.
Trustee.

Actions against, limitations on, 736.1008.
Unadministered estates, 733.710.
STOCK.
See SECURITY.
SUBPOENAS, 5.080(a)(14).
SUBSEQUENT ADMINISTRATION, 5.460, 733.903.
SUGGESTION OF CAPACITY, 744.464(2).
SUMMARY ADMINISTRATION.
Distribution, 5.530(d), 735.206(3)(4).
Evidence of death, filing of, 5.205(a)(3).



Generally, 5.530, 735.201735.202.
Notice to creditors, 5.530(b), 735.206(2), 735.2063.
Order, 5.530(d), 735.206.
Petition, 5.020, 5.530(a), 735.203, 735.2055.
Testate estate, procedure governing, 5.530(c), 735.201(1).
SURETY.
Guardianship liability of, 744.357.
Probate liability of, 733.404.
Release of, 5.400(e), 733.405, 733.508(2), 733.901(2), 733.5036(2),

736.0705(3), 744.531.
Will.

Electronic will or codicil.
Qualified custodians, 732.525.

SURROGATE, HEALTH CARE.
See HEALTH CARE SURROGATE.
SURROGATE GUARDIAN.
Defined, 744.102(20).
Designation of, 5.647, 744.442.



T

TAXES, ESTATE.
Allocation.

Apportionment of estate tax, 733.817(2).
Apportionment of estate taxes, 733.817.
Estate Tax Law of Florida.

Short title of act, 198.42.
Federal.

Apportionment of estate taxes, 733.817.
Priority of, 733.707(1)(c).
Return.

Accounting and discharge tied to due date of, 5.400(c).
Filing by personal representative, 198.13.
Notice of due date of, 5.395.

Trusts.
Limited judicial construction of irrevocable trust, 736.04114.

Wills.
Limited judicial construction of will, 733.1051.

Florida.
Administration of, 198.05.
Agents appointed by Department of Revenue, 198.07, 198.11.
Alien decedents, on, 198.04.
Apportionment of estate taxes, 733.817.
Assessment of amount, 198.28.
Certificate of nonliability, 198.13(2), 198.26.
Collection.

Relief of personal representative from duty.
Apportionment of estate tax, 733.817(8).



Uncollected tax, reapportionment, 733.817(9).
Contribution.

Apportionment of estate tax, 733.817(10).
Corporate personal representative of nonresident decedent, duties of,

198.31.
Deficiency.

Apportionment of estate tax, 733.817(7).
Definitions, 198.01.
Department of Revenue, role of.

See DEPARTMENT OF REVENUE.
Direction against apportionment, 733.817(4).
Domicile of decedent, 198.015.
Due date for payment, 198.15.
Effectiveness of Chapter 198, 198.41.
Exemptions from, 198.44.
Exempt property.

Apportionment of estate tax, 733.817(3).
Family allowance.

Apportionment of estate tax, 733.817(3).
Foreign tax.

Apportionment of estate tax, 733.817(11).
Generally, 198.02, 198.13.
Generation-skipping transfers, 198.13(3)(4), 198.021, 198.031, 198.155.

Apportionment of estate tax, 733.817(3).
Homestead property.

Apportionment of estate tax, 733.817(3).
Imposition of, 198.02, 198.13(4).
Liability for.

Estate, 198.32(1).
Personal representative, 198.19, 198.23.



Lien for unpaid taxes, 198.19, 198.22, 198.33.
Nonresident decedents, on, 198.03, 198.031.
Order of apportionment, 733.817(6).
Payment of.

Discharge of personal representative, 198.19, 198.26.
Due date, 198.15.
Extension, 198.15.
Generation-skipping transfers, 198.155(2).
Interest, 198.15(1), 198.18, 198.155(5).
Liability for, 198.19, 198.23.

Penalties for failure to pay, 198.15(2), 198.18, 198.37, 198.40.
Payable from estate, 198.21.
Priority of, 733.707(1)(c).
Receipt for, 198.19.
Refunds of excess tax paid, 198.29.
Sale of real estate for, 198.24.
Treasury, state, as repository of payments, 198.34.
Warrant directing levy, 198.20.

Penalties.
Failure to file return, 198.14, 198.37.
Failure to pay tax, 198.15(2), 198.18, 198.37, 198.40.
Failure to produce records, 198.36.
False returns, 198.38.
False statement in return, 198.39.

Records.
Failure to produce, 198.36.

Records, examination of, 198.06.
Refunds, 198.29.
Return, tax.

Extension of time to file, 198.14.



Failure to file, 198.14, 198.37.
False return, 198.38.
False statement in, 198.39.
Filing of, 198.13(1), 198.13(4).

Rules of construction applicable to, 198.35.
Section 2044 interests.

Apportionment of estate tax, 733.817(3).
Short title of act, 198.42.
Transfer of property.

Apportionment of estate tax, 733.817(5).
Trusts.

Apportionment of estate tax, 733.817(3).
Wills.

Apportionment of estate tax, 733.817(3).
TEMPORARY GUARDIAN, EMERGENCY, 5.600, 5.648, 744.2005(4),

744.3031.
TERMINATION OF GUARDIANSHIP.
See GUARDIAN.
TERMINATION OF PARENTAL RIGHTS.
Intestate succession.

Effect of termination, 732.1081.
TIME.
Accounting, 5.150(a), 5.345(a), 5.440(b), 5.660(b), 5.695(a)(2), 744.367(2),

744.511.
Annual guardianship report, 5.695(a), 744.367.
Claims against discharged guardian, 744.531.
Claims against estate.

See CLAIMS.
Clerks review of guardianship reports, 744.368(2)(3).



Computation of, 5.042(a).
Defenses, for, 5.040(a)(1), 5.040(a)(2).
Delivery of devises and distributive shares, 733.801(1).
Elective share, exercise of right to, 5.360(a), 732.2135.
Enlargement of, 5.042(b).
Estate tax return, notice of due date, 5.395.
Formal notice in lieu of informal notice.

Modification of specified time period, 5.040(d).
Incapacity adjudication.

Date for hearing on petition, 5.550(f).
Initial guardianship report, 5.620(a), 5.690(a), 744.362(1).
Interim accounting, approval of, 5.345(e).
Inventory by personal representative.

Extension for filing, 5.340(b).
Filing, 5.340(a).

Judicial review of guardianship reports, 744.369(1).
Objections.

To annual report by guardian, 5.700(a), 744.367(4).
To claims against estate, 733.705(2).
To final accounting and petition for discharge, 5.400(b)(6), 5.401(a),

5.650(d), 5.650(f), 5.670(d), 5.670(f), 5.680(d), 5.680(f), 744.528(2).
To interim accounting, 5.345(e).
To suggestion of capacity, 744.464(2)(d).

Report of public guardian, 5.710.
Restoration of capacity.

Hearing, timeliness, 744.464.
Service.

Hearings, for, 5.042(c).
Mail, additional time after service by, 5.042(d).

Statutes of limitations.



See STATUTES OF LIMITATIONS.
TOTAL INCAPACITATION.
Defined, 744.102(21).
TRANSCRIPTS.
Appeals, 744.109(2).
Foreign probate proceedings, 734.104, 734.1025(1).
Hearings, 744.109(1).
TRANSFER OF PROCEEDINGS.
Domicile change of ward, 5.050(b), 744.1097(2).
Incorrect venue, 5.050(a), 733.101(3), 744.1097(2).
Objection to venue, 5.240(b)(3), 5.240(d), 733.212(2)(3).
TRANSFER OF PROPERTY.
Taxes, estate.

Florida.
Apportionment of estate tax, 733.817(5).

TRANSPLANTS.
See ANATOMICAL GIFTS.
TRUST.
Adoption.

Subsequent adoption, effect on revocable trust, 736.1105.
Animal, for care of, 736.0408.
Arbitration of dispute involving, 731.401.
Attorneys fees, 736.0206, 736.1004, 736.1005, 736.1007, 736.05053(4),

738.104(8).
Bank deposits in, 655.825.
Birth.

Subsequent birth, effect on revocable trust, 736.1105.
Breach of, remedies for, 736.1001736.1003.
Certification of, 736.1017.



Charitable.
Application of statutes, 736.1202.

Election to be governed by statutes, 736.1209.
Notice of nonapplicability, 736.1205.

Creation, 736.0402(1), 736.0405.
Cy pres doctrine, application of, 736.0413.
Definitions, 736.1201.
Disclosure protections afforded certain trusts and organizations, 736.1211.
Duties and powers of trustees, 736.1203736.1207.
Election to be governed by statutes, 736.1209.
Enforcement of, 736.0405(3).
Interpretation of governing law, 736.1210.
Release of power to select donees, 736.1208.

Claims.
See CLAIMS.

Community property trust act, 736.1501 to 736.1512.
Agreement establishing trust, 736.1504.
Amendment of trust, 736.1504.
Child support.

Right to support, 736.1509.
Classification of property as community property, 736.1505.

Other jurisdiction classifying.
Effect of transfer to trust, 736.1511.

Death of spouse.
Effect on property held in trust, 736.1507.

Definitions, 736.1502.
Dissolution of marriage.

Effect, 736.1508.
Distributions from trust.

Effect, 736.1505.



Homestead property, 736.151.
Management and control of property, 736.1505.
Requirements for trust, 736.1503.
Revocation of trust, 736.1504.
Satisfaction of individual obligations from settlor-spouses one-half share,

736.1506.
Short title of provisions, 736.1501.
Taxation.

Internal Revenue Code, application, 736.1511.
Unenforceable trusts.

Factors leading to unenforceability, 736.1512.
Consolidation of trusts, 736.0417(1).
Construction, rules of, 736.1101736.1109.
Contest of, 736.0207, 736.0604, 736.1108, 736.08165.
Creation of, 736.0401, 736.0402, 736.0601.
Creditor claims against settlor, 736.0505.
Death, evidence as to, 731.103.
Declaration of trust.

Scriveners error.
Curative procedure for scriveners error in deeds, 689.041.

Defined, 731.201(38), 739.102(12).
Directed trust, 726.1401 to 736.1416.

Administration.
Principal place of administration, 726.1403.

Applicability of provisions, 726.1403.
Cotrustees.

Conferring powers upon one to exclusion of others, 736.1412.
Defenses in actions against trust director, 736.1414.
Defined, 736.0103.
Duty and liability of directed trustee, 736.1409.



Duty and liability of trust director, 736.1408, 736.1416.
Exclusions from provisions, 726.1403.
Information provided by trustee to trust director.

Duty to provide, 736.141.
Jurisdiction over trust director, 736.1415.
Limitation of action against trust director, 736.1413.
Limitations on trust director, 736.1407.
Monitoring, informing or advising of trust director.

No trustee duty, 736.1411.
Power of trust director, 736.1406.
Role of trust director, 736.1416.
Short title, uniform directed trust act, 726.1401.

Directed trustee.
Defined, 736.0103.
Duty and liability of directed trustee, 736.1409.
Trust code provision prevailing over terms of trust, 736.0105(2).

Dissolution of marriage, effect of, 736.1010, 736.1105.
Community property trust act.

Generally, 736.1501 to 736.1512.
Termination of trust and distribution of trust assets, 736.1508.

Distributee, liability of, 736.1018.
Duress, effect of, 736.0406.
Elective share law not applicable to, 732.2155(6).
Elective share trust, 732.2025(2), 732.2025(10), 732.2095(2)(b),

732.2155(4).
Electronic notice.

Trust Code, notice under, 736.0109.
Electronic signatures, 736.1301.
Execution of, 736.0403, 736.1301.
Federal tax provisions.



Limited judicial construction of irrevocable trust, 736.04114.
Fiduciary access to digital assets act, 740.001740.11.

See FIDUCIARY ACCESS TO DIGITAL ASSETS ACT.
Final distribution of assets, 736.0817.
Foreign trusts, 736.0403.
Fraud, effect of, 736.0406.
Governing law, 736.0107.
Grantor trusts.

Reimbursement.
Trustee duties, 736.08145.

Homestead property.
Community property trust act, 736.151.
Devise in trust of homestead, 732.4015(2).

Proceedings to determine protected homestead status, 5.405.
Inter vivos transfer, 732.4017.
Proceedings to determine homestead status of real property.

Applicable provisions and procedures, 736.0201.
Testamentary and revocable trusts.

Homestead protections, 736.1109.
Income.

Accountings, treatment in, 5.346, 736.08135.
Receipt and disbursement of.

See FLORIDA UNIFORM PRINCIPAL AND INCOME ACT.
Instrument.

Defined, 736.0103(22).
Reliance on by trustee, 736.1009.
Terms of as prevailing over Trust Code, 736.0105(2).

Jurisdiction over proceedings, 736.0201(2), 736.0203.
Trust director, jurisdiction over, 736.1415.



Knowledge defined, 736.0104.
Limitations on actions against trust dependent on liability of settlor,

736.1014.
Marriage.

Subsequent marriage, effect on revocable trust, 736.1105.
Mistake, effect of, 736.0406.
Modification of.

Judicial, 736.0414, 736.0416, 736.04113, 736.04115.
Nonjudicial, 736.0410(2), 736.0412, 736.0414.

Oral, evidence of, 736.0407.
Penalty for contesting, 736.1108.
Pet, for care of, 736.0408.
Power of appointment.

Directed trust.
Exclusions from provisions, 726.1403.

Release, 709.03.
Power of direction.

Defined, 736.0103.
Principal.

Accountings, treatment in, 5.346.
Invasion of, 736.04117.
Receipt and disbursement of.

See FLORIDA UNIFORM PRINCIPAL AND INCOME ACT.
Principal place of administration, 736.0108.
Proceedings.

Jurisdiction over, 736.0201(2), 736.0203.
Prudent Investor Rule.

Inapplicability to trust investments, 736.0902.
Purposes of.

Charitable, 736.0405.



Generally, 736.0404.
Qualified beneficiary.

Charitable beneficiary treated as, 736.0110.
Defined, 736.0103(16).

Qualifying special needs trust, 732.2025(8), 732.2045(1)(g), 732.2075(1)
(e), 732.2095(1)(a)(2), 732.2095(2)(c).

Real property, interests in.
See REAL PROPERTY.

Reformation of terms, 736.0415.
Representation.

Appointment of representative, 736.0305.
Designated representative, 736.0306.
Fiduciaries, by, 736.0303.
Generally, 731.303(1), 736.0301.
Holder of power of appointment, by, 736.0302.
Identical interest, by person having, 736.0304.
Parent, by, 736.0303.

Revocable.
Amendment of, 736.0602.
Dissolution of marriage, effect of, 736.1105.
Duties of trustee owed to settlor, 736.0603.
Homestead protections, 736.1109.
Revocation of, 736.0602.
Validity of, 689.075, 736.0403(2)(4), 736.0406, 736.0604.

Rule against perpetuities.
Generally, 689.225.

Rules of construction, 736.1101736.1109.
Safe-deposit box, trust instruments in.

Unclaimed property.
Copy of will, trust, codicils, etc to person providing evidence of death of



testator or settlor, 717.119.
Settlement agreements, nonjudicial, 736.0111.
Severance of, 736.0417.
Taxation of costs or attorneys fees, 736.0201(6).
Termination of, 736.0410, 736.0413, 736.0414.
Terms of trust.

Defined, 736.0103.
Testamentary trust.

Homestead protections, 736.1109.
Trust Code.

Application to existing relationships, 736.1303.
Common law of trusts as supplement to, 736.0106.
Definitions under, 736.0103.
Evidence as to death in proceedings under, 731.103.
Notice under, 736.0109.
Scope of, 736.0102, 736.0105(1).
Severability clause, 736.1302.
Short title, 736.0101.

Trust director.
Defenses in actions against trust director, 736.1414.
Defined, 736.0103.
Duty and liability of trust director, 736.1408, 736.1416.
Information provided by trustee to trust director.

Duty to provide, 736.141.
Jurisdiction over trust director, 736.1415.
Limitation of action against trust director, 736.1413.
Limitations on trust director, 736.1407.
Monitoring, informing or advising of trust director.

No trustee duty, 736.1411.
Power of trust director, 736.1406.



Role of trust director, 736.1416.
Trust code provision prevailing over terms of trust, 736.0105(2).

Trustee.
See TRUSTEE.

Unascertainable beneficiary, enforcement of trust for, 736.0409.
Undue influence.

Effect of, 736.0406.
Presumption shifting burden of proof, 733.107(2).

Validity of.
Contesting, 736.0207, 736.0604, 736.1108, 744.441(k).
Inter vivos trusts, generally, 689.075, 736.0403.

Venue for actions involving, 736.0204.
TRUSTEE.
Acceptance of trusteeship, 736.0701.
Actions against, limitations on, 736.1008.
Bond, 736.0702, 736.0705(3).
Breach of trust by, 736.1001736.1003, 736.1008, 736.1009.
Compensation of, 736.0206, 736.0708, 738.701(1), 738.702(1).
Cotrustees, 736.0703.

Directed trust.
Conferring powers upon one cotrustee to exclusion of others, 736.1412.

Creditors claims, payment of, 736.05053.
Declination of trusteeship, 736.0701(2).
Defined, 731.201(39), 736.0103(23).
Devises to, 732.513.
Disclaimer by.

See DISCLAIMER.
Duties of.

Accountings, 736.0813, 736.08135.



Adjustments between principal and income.
See FLORIDA UNIFORM PRINCIPAL AND INCOME ACT.

Charitable, 736.1203736.1207.
Claims, enforcing and defending, 736.0811.
Compelling delivery of trust property, 736.0812.
Delegation of, 736.0807.
Discretionary powers, good faith exercise of, 736.0814.
Expenses, incurring, 736.0805.
Fees or costs, payment from trust assets, 736.0802.
Generally, 736.0108(4), 736.0801736.08147.
Grantor trust reimbursement, 736.08145.
Impartiality, 736.0803.
Income, distribution of, 736.08147.
Loyalty, 736.0802.
Marketable title, ascertaining, 736.08105.
Protection of trust property, 736.0809.
Prudent administration, 736.0804.
Recordkeeping, 736.0810.
Resigning or removed trustee, 736.0707.
Skills, use of, 736.0806.
Successor trustee, 736.08125.

Environmental laws, protection against violation of, 736.08163.
Expenses.

Incurring, 736.0805.
Payment of, 736.05053.
Reimbursement for payment of, 736.0709.

Foreign, qualification of, 736.0112.
Former, delivery of property by, 736.0707.
General partner, trustee as, 736.1015.
Individual retirement accounts, transfers of, 689.072.



Invasion of principal by, 736.04117.
Investments by.

See INVESTMENT OF FIDUCIARY FUNDS.
Joint, 736.0703.
Jurisdiction over, 736.0202.
Liability of.

Consent by beneficiary as relief from, 736.1012.
Exculpatory term, effect of, 736.1011.
Generally, 736.1013.
Lack of knowledge of events, 736.1010.
Personal liability, limitation on, 689.071(7), 736.1013, 736.1015,

736.08163.
Release by beneficiary as relief from, 736.1012.

Personal obligations of trustee, 736.0507.
Powers of, 689.073, 736.0105(1), 736.0814736.0816, 736.04117, 738.103

738.105.
Protection for third person dealing with, 736.1016.
Qualified retirement plans, transfers of, 689.072.
Reimbursement for payment of expenses, 736.0709.
Reliance on trust instrument, 736.1009.
Removal of, 736.0706.
Resignation of, 736.0705.
Service of notice of administration on, 5.240(a)(3), 733.212(1).
Successor.

Appointment of, 736.0704.
Protection afforded, 689.071(7), 736.08125.
Transfer of property to, 736.0108(8).

Transfer of principal place of administration by, 736.0108.
Unclaimed property, claim to, 717.12404(2).



U

UNCLAIMED PROPERTY.
Credit balances, 655.851.
Escheat.

See ESCHEAT.
Florida Disposition of Unclaimed Property Act.

Actions to recover property from holder, 717.1331.
Administrative enforcement actions by Department of Banking and

Finance, 717.1322, 717.1333.
Application and construction of Act, 717.139, 717.1401.
Authority of Department of Financial Services to determine merits of

claims, 717.1242(1).
Business entity, claims by, 717.12404.
Campaign accounts, unclaimed funds reported, 717.1235.
Claiming property, 717.124, 717.1201, 717.1241, 717.1243.
Conflicting claims, 717.1241.
Court documents, filing of, 717.1262.
Credit memo, 717.1045.
Custody by state, 717.103, 717.1201(1).
Death certificate, filing of, 717.1261.
Definitions for purposes of, 717.101, 717.12406.
Deposit of funds, 717.123.
Determinations by department, status as agency statements, 717.1244.
Electronic claims, 717.124(10).
Enforcement of laws by Department of Financial Services, 717.132,

717.133, 717.138.
General rules, 717.102, 717.103.
Gift certificates, 717.1045.
Hearing, administrative, 717.126.



Identification verification and disbursement process, 717.124.
Interest, liability for, 717.134(4), 717.1341(1).
Interstate agreements concerning property, 717.133.
Investigations, power of Department of Financial Services to make,

717.1301.
Limitations periods, effect on status of property, 717.129.
Nonprobated estate, claim for assets from, 717.1243.
Notification of apparent owners, 717.118.
Other states.

Agreements with concerning property, 717.133.
Claims of, 717.125, 717.133.

Penalties for violation of Act, 717.134, 717.1341.
Power of attorney to recover property, 717.135.
Presumption that property is unclaimed, 717.102, 717.112, 717.1125.
Property subject to custody of Department of Financial Services.

Agents, property held by, 717.112.
Annuity contracts, 717.107.
Bank checks and drafts, 717.105.
Bank deposits, 717.106, 717.12403.
Business associations.

Agent, property held by, 717.112(1), 717.112(3), 717.112(5).
Dissolution, property distributed in course of, 717.111.
Equity in, 717.122(2), 717.1101, 717.12406.
Fiduciaries, property held by, 717.112.
Property held by, generally, 717.1035.
Refunds held by, 717.109.
Stock in, 717.122(2), 717.1101, 717.12406.

Courts, property held by, 717.113, 717.1035.
Credit memo, 717.1045.
Dividends on, 717.121, 717.12406.



Entertainment complex tickets, 717.1355.
Fiduciaries, property held by, 717.112.
Foreign transactions, 717.136.
Generally, 717.102(1), 717.103.
Gift certificates, 717.1045.
Income on, 717.121, 717.12406.
Interest on, 717.121.
Invalid claims, 717.1341.
Joint accounts, 717.12403, 717.12406.
Life insurance proceeds, 717.107, 717.117(1)(b).
Limitations periods, effect on status of property, 717.129.
Lost owners of unclaimed demutualization, rehabilitation or related

reorganization proceeds, 717.1071.
Money orders, 717.104(2)(5).
Property having value less than expense of giving notice and sale,

treatment of, 717.127.
Public sale of, 717.122.
Retained asset accounts, 717.107.
Safe-deposit box, contents of, 717.116, 717.117(1)(c), 717.119(5),

717.1201(7).
Sale of, public, 717.122.
State agencies, property held by, 717.113, 717.1035.
Survivorship accounts, 717.12403, 717.12406.
Theme park tickets, 717.1355.
Travelers checks, 717.104(1), 717.104(3)(5), 717.118(3).
Utility deposits, 717.108.
Wages, 717.115.

Reclaiming property, 717.124, 717.1201, 717.1241, 717.1243.
Records, retention of by holder, claimants representative, and buyer,

717.1311, 717.1315.



Recovery of property.
Invalid claim, recovery after, 717.1341.
Purchase agreements, 717.124, 717.135.
Recovery agreements, 717.124, 717.135.

Reimbursement by state for payment to rightful owner of property,
717.1201.

Report to Department of Financial Services, 717.117, 717.119(1).
Retention of records by holder, 717.1311.
Savings bonds.

Claims for bond, 717.1383.
United States savings bonds, 717.1382.

Small estate, claim for assets from, 717.1243.
Title of Act, 717.001.
United States savings bonds, 717.1382.

Claims for savings bond, 717.1383.
Verification and disbursement process, 717.124(9).

Garnishment of, 717.1245.
Guardians.

Disposition by, 744.534.
Presumption that property held is unclaimed, 717.112, 717.1125.

Internet website of Division, entering false information on, 717.1323.
Owners representative, duties of, 717.1315.
Personal representatives.

Claims by, 717.1242, 717.12405.
Disposition by, 733.816.
Presumption that property held is unclaimed, 717.112, 717.1125.

Purchase or acquisition of unclaimed property by accountant, attorney,
or private investigator, 717.1400.

Trustees, claims by, 717.12404(2).
Worthless property, treatment of, 717.128.



UNDUE INFLUENCE.
Trusts.

Effect of, 736.0406.
Presumption shifting burden of proof, 733.107(2).
Spousal rights, procured by fraud, duress or undue influence, 732.805,

732.4017.
Wills.

Contest of.
Burden of proof in, 5.275(b).

Effect of, 732.5165.
Presumption shifting burden of proof, 733.107(2).
Spousal rights, procured by fraud, duress or undue influence, 732.805,

732.4017.
UNEMPLOYMENT COMPENSATION, PAYMENT TO SPOUSE OR

RELATIVE OF DECEDENT, 222.15(2), 222.16.
UNIFORM DIRECTED TRUST ACT.
Directed trust generally, 736.1401 to 736.1416.

See TRUST.
UNIFORM REAL PROPERTY ELECTRONIC RECORDING ACT.
Applicability of provisions, 695.28(2).
Generally, 695.27.
Validity, 695.28(1).
UNIFORM TRANSFERS TO MINORS ACT.
See FLORIDA UNIFORM TRANSFERS TO MINORS ACT.
UNINCORPORATED BUSINESS, CONTINUANCE OF.
See BUSINESS, CONTINUANCE OF.
UNITED STATES SAVINGS BONDS.
Unclaimed property.

Florida Disposition of Unclaimed Property Act, 717.1382.



Claims for savings bond, 717.1383.



V

VENUE.
Change of domicile of ward, 5.050(b), 744.1097(3)(4).
Designation in petition for summary administration, 5.530(a)(4).
Generally.

Guardianship, 744.1097.
Probate, 733.101.

Incorrect, 5.050(a), 733.101(3).
Objection to, 5.240(b)(3), 5.240(d), 733.212(2)(3), 733.2123.
Restoration to capacity, proceedings for, 744.464(1).
Statement in petition for administration, 5.200(d).
Trust proceedings, 736.0204.
Unclaimed property hearings, 717.126(2).
VERIFICATION.
Accounting, 5.345(h), 5.346(d).

Form, 5.346Appendix A.
Guardian accounting, 5.696(e).

Generally, 5.020(e), 731.104, 744.104.
Inventory.

Estate, 5.340(g).
Guardianship, 5.620(a)(b), 5.690(a).
Safe-deposit box, 5.342(b), 5.620(d).

Notice of completion of guardian education requirements, 5.625(c).
Petition.

Administration, 5.200.
Approval of acts by guardian, 5.630(a).
Continuance of unincorporated business, 5.630(b), 5.640(b).
Determining amount of lien on protected homestead, 5.403(b).



Determining exempt property, 5.406(b).
Determining family allowance, 5.407(b).
Determining incapacity, 5.550(a).
Determining protected homestead, 5.405(b).
Discharge of personal representative, 5.430(g).
Expedited judicial intervention concerning medical treatment, 5.900(a).
Extraordinary authority of guardian, 5.635(a).
Guardian, appointment of.

Incapacitated person, for, 5.560(a).
Minor, for, 5.555(c).
Voluntary, 5.552(a).

Interim judicial review, 5.705(a).
Probate of will without administration, 5.210(a).
Resignation of personal representative, 5.430(b).
Sale of real property, 5.370(a).
Summary administration, 5.530(a).

Statement of claim, 5.490(a).
Unclaimed property.

Florida Disposition of Unclaimed Property Act.
Identification verification and disbursement process, 717.124(8).

VESTING.
Devises, 732.514.
Intestate succession, 732.101(2).
VETERANS GUARDIAN.
Administrator of Veterans Affairs as party, 744.607.
Annual accounting by, 744.634.
Annual report, exemption from filing, 744.653.
Application of estate funds to other persons, 744.624.
Appointment of.



Authorized, 744.613(1).
Minor, guardian for, 744.613(2).
Notice, 744.617.
Persons who may be appointed, 744.618.
Petition for, 744.616.

Bond of, 744.619, 744.641.
Commitment to VA hospital, procedure for, 744.609.
Construction of act, 744.652.
Definitions, 744.604.
Discharge.

Generally, 744.646.
Minor, guardian for, 744.643.

Exemption of benefits from creditors claims, 744.626.
Fees.

Attorneys, 744.639.
Clerks, 744.638.
Guardians, 744.641.

Inventory, 744.621.
Investment of funds by guardian, 518.01, 518.06518.09, 744.627.
Petition.

Appointment of guardian, for, 744.616.
Authority to sell real estate, for, 744.631.
Support of wards dependents, for, 744.625.

Receipt of money due ward, by, 744.622.
Records.

Certified copies of public records, 744.637.
Title of act, 744.602.
Transfer of responsibility to general guardian, 744.649.
VIRTUAL REPRESENTATION, 731.303.



VOLUNTARY GUARDIAN.
Appointment of, 5.552(a)(c), 744.341(1).
Duties of, 744.341(2)(3).
Physicians certificate, duty to file, 5.552(d), 744.341(4).
Termination of, 5.552(e), 744.341(5).
VULNERABLE ADULTS, EXPLOITATION.
Injunction for protection against exploitation.

Denial of injunction.
Order denying injunction and notice of hearing.

Form, 5.920(c).
Final protective injunction.

Form, 5.920(d).
Petition for injunction, 5.920(a).
Temporary protective injunction against exploitation.

Form, 5.920(b).



W

WAGES.
Exemption from garnishment, 222.11, 222.061.
Payment to spouse or other relative, 222.15(1), 222.16.
Unpaid, as unclaimed property, 717.115.
WAIVER.
Audit fee, 744.365(6), 744.3678(4).
Bond, 733.402(4), 744.351(1).
Contents of, generally, 5.180(b).
Death certificate, filing of, 5.205(b).
Disclosure of amount of compensation paid or to be paid to fiduciaries or

agents, 5.180(b)(4).
Elective share, 732.301, 732.702.
Execution of, 5.180(a).
Exempt property, 732.702, 733.212(2)(d).
Family allowance, 732.702.
Filing of, 5.180(c).
Formal notice, 744.106.
Generally, 5.180, 731.302.
Homestead, 732.702.
Homestead rights.

Waiver of homestead through deed, 732.7025.
Informal notice, 744.106.
Rights, of, 731.302.
Service, of, 5.240(e), 733.212(8).
Spouse, rights of, 732.301, 732.702.
Will, contest.

Administration, notice of.



Effect of failure to contest, 733.212(2)(F).
WARD.
Actions by or against, 744.391.
Best interest of ward.

Guardian acting not contrary to best interests, 744.361(4).
Conflict with guardian, 744.391, 744.446, 744.474.
Death of, 5.680, 744.521.
Defined, 744.102(22).
Dependents of, support for, 744.421, 744.625.
Disclaimer on behalf of.

See DISCLAIMER.
Domicile of, 744.1096.
Guardian.

See GUARDIAN.
Hearing, rights of ward at, 5.540, 744.1095.
Income of, application of, 744.397.
Minor.

See CHILDREN OR MINORS.
Periodic examination of, 744.3675.
Person of ward, authority over.

Guardians duties, 744.361(13).
Property of ward.

Guardian given authority over property, powers and duties, 744.361(10),
744.361(12).

Protection of, 744.371, 744.3031.
Residence, change of, 744.1098.
Restoration to capacity, procedure for, 5.541(d), 744.464.
Restrictions on physical liberty, limitations on, 744.363(4).
Rights of, 744.363(6), 744.1095, 744.3215.
Safe-deposit box of.



Inventory of, 5.260(d), 744.365(4).
Opening of, 744.365(4).

WASTE.
Guardian.

Exploitation of ward, 744.359.
WILL.
Acknowledgment, 732.502(1)(b), 732.503.
Admission to probate, 5.210, 733.201.
Age of testator, 732.501.
Agreement to make, 732.701.
Ancillary proceedings.

See ANCILLARY ADMINISTRATION.
Arbitration of dispute involving, 731.401.
Authenticated copy, 5.200(j), 5.210(a)(8), 5.215, 5.470(a), 5.470(c),

5.475(a), 733.206(2), 734.104.
Burden of proof in will contests, 5.275, 733.107.
Caveat.

See CAVEAT.
Challenge to, 733.212, 733.2123.
Codicil.

Deposit with court, 5.043.
Execution of, 732.502.
Republication of will by, 732.5105.
Revocation of, 732.505, 732.506, 732.508(2), 732.509.
Self-proof of, 732.503.

Commission to prove, 5.230, 733.201.
Competency to make, 732.501.
Construction of.

Adversary nature of proceeding, 5.025(a).



Declaratory judgment regarding, 86.041(3).
Failure of testamentary provision, 732.604.
Probate as prerequisite to, 733.213.
Rules of, 732.6005732.616.
Will with federal tax provisions, 733.1051.

Contest of.
Administration, notice of.

Effect of failure to contest, 733.212(2)(F).
Burden of proof in, 5.275, 733.107.
Penalty clause for, 732.517.
Undue influence.

Burden of proof, 5.275(b).
When action may be commenced, 732.518.

Contract to make, 732.701.
Copy, service of, 5.240(c).
Custodian, duties of, 732.901.
Defined, 731.201(40).
Deposit with clerk, 732.901.

Fiduciary access to digital assets act.
Effect of act on duty to deposit will, 740.11.

Deposit with court, 5.043.
Devises.

Ademption, 732.605, 732.606, 732.609.
Lapse of, 732.603.
Modification to achieve testators tax objectives.

Fees and costs, 733.1061.
Generally, 732.616.

Reformation to correct mistakes.
Fees and costs, 733.1061.
Generally, 732.615.



Separate writing identifying, 732.515.
Trustee, to, 732.513.
Vesting of, 732.514.

Dissolution of marriage, effect on will, 732.507(2).
Duress, effect of, 732.5165.
Effect of fraud, duress, mistake, or undue influence, 732.5165.
Effect of subsequent act on, 732.507.
Electronic will or codicil, 732.521-732.526.

Audio-video communication technology.
Defined, 732.521.

Definitions, 732.521.
Electronic records.

Defined, 732.521.
Retention of records, 732.524.

Execution.
Method, 732.522.
Place of execution, 732.522.

Online notarization.
Defined, 732.521.

Online notary public.
Defined, 732.521.

Probate, 732.526.
Qualified custodians.

Bonds, surety, 732.525.
Ceasing to serve, 732.524.
Defined, 732.521.
Duties, 732.524.
Entity serving as, 732.524.
Insurance coverage, 732.525.



Liability, 732.524.
Qualifications, 732.524.
Receivership of qualified custodians, 732.525.
Retention of records, 732.524.

Revocation by act, 732.506.
Secure systems.

Defined, 732.521.
Self-proof, 732.523.

Probate of self-proved electronic will, 733.201.
Exculpatory clause in, validity of, 733.620.
Execution of, 732.502.
Federal tax provisions.

Limited judicial construction of will, 733.1051.
Fiduciary access to digital assets act, 740.001740.11.

See FIDUCIARY ACCESS TO DIGITAL ASSETS ACT.
Foreign, 5.216, 732.502(2), 733.204, 734.102734.104.
Foreign language, 5.216, 733.204.
Foreign probate, probate after, 733.206.
Fraud, effect of, 732.5165.
Holographic, 732.502(2).
Incorporation by reference, 732.512, 732.515.
Joint wills, 732.701(2).
Later, discovery of, 733.208.
Living will.

See HEALTH CARE ADVANCE DIRECTIVES.
Lost or destroyed, establishment and probate of.

Adversary nature of proceeding, 5.025(a).
Generally, 5.510(a), 733.207.
Notice, 5.510(d).
Order, 5.510(e).



Petition, 5.510(b).
Testimony of witnesses, 5.510(c), 733.207.

Marriage after execution of, 732.301, 732.507.
Military testamentary instrument, validity of, 732.502(3).
Mistake, effect of, 732.5165.
Mutual wills, 732.701(2).
Notarial, 5.200(j), 5.210(a)(8), 733.205.
Nuncupative, 732.502(2).
Omitted children, 732.302, 732.507(1).
Penalty for contesting, 732.517.
Power of appointment, exercise of power, 732.607.
Precious metals.

Defined, 731.1065.
Preservation by clerk, 732.901.
Probate.

See PROBATE.
Production of, 732.901.
Proof of, 733.201.
Republication of, 732.511, 732.5105.
Revival by revocation, 732.508.
Revocation of.

Act, by, 732.506.
Adoption of descendant, effect of, 732.507(1).
Birth of descendant, effect of, 732.507(1).
Codicil, of, 732.505, 732.506, 732.508, 732.509.
Dissolution of marriage, effect of, 732.507(2).
Marriage, effect of, 732.507(1).
Revival of former will by, 732.508.
Writing, by, 732.505.



Rules of construction, 732.6005732.616.
Safe-deposit box, in, 655.935.

Unclaimed property.
Copy of will, trust, codicils, etc to person providing evidence of death of

testator or settlor, 717.119.
Self-proved, 732.503, 733.201(1).

Electronic will or codicil, 732.523.
Probate of self-proved electronic will, 733.201.

Separate writing, 732.515.
Taxes, estate.

Florida.
Apportionment of estate tax, 733.817(3).

Trustee, devises to, 732.513.
Undue influence.

Effect of, 732.5165.
Presumption shifting burden of proof, 733.107(2).

Who may make, 732.501.
Witness to, 5.230, 732.502(1), 732.504, 733.201.
WITNESS.
Deposition of expert, 5.080(a)(13).
Destroyed will, testimony regarding, 5.510(c), 733.207.
Expert.

Deposition of, 5.080(a)(13).
Fee determination, testimony regarding, 733.6175(4).

Lost will, testimony regarding, 5.510(c), 733.207.
Oath of, attesting to will, 5.230, 733.201.
Power of attorney.

Remote witnessing, 709.2202.
Proof of handwriting of deceased, 695.10.
Real property.



Method of conveyance, 689.01.
Requirement of for validity of will, 732.502(1).
Waiver of spousal rights, required for, 732.702(1).
Who may act as witness to will, 732.504.
WORTHIER TITLE, DOCTRINE OF, 689.175.