(1) For the purpose of monitoring compliance with this Act or the regulations, an inspector may, at a time and place specified by the inspector, require a licensee, specified person or other person with control over relevant documents and information—
(a) to answer, orally or in writing, any questions put by the inspector relating to the licensee's conveyancing business; or
(b) to supply, orally or in writing, information required by the inspector relating to that business; or
(c) to produce to the inspector specified documents or documents of a specified class relating to that business.
(2) In this section, "specified person", in relation to a conveyancing business, means—
(a) a former licensee; or
(b) a person who is a director or other officer of a company that is or was a licensee; or
(b) a person who provides, or who has provided, professional indemnity insurance to a licensee.
(3) Nothing in this section permits a requirement to be made of the Registrar of Titles.