- 08 May 2023
-
R.3188 of 2023
Release: 65
G.G.48291 - 24 March 2023
Commencement of Financial Sector and Deposit Insurance Levies (Administration) and Deposit Insurance Premiums Act
Pages affected2
-
Act 12/2022
Release: 65
G.G.47696 - 09 December 2022
Financial Sector and Deposit Insurance Levies (Administration) and Deposit Insurance Premiums Act, 2022
Pages affected2
- 04 April 2023
-
R.3187 of 2023
Release: 64
G.G.48291 - 24 March 2023
Commencement of certain provisions
Pages affected8
- 05 December 2022
-
R.2814 of 2022
Release: 63
G.G.47632 - 02 December 2022
Amendment of the General Code of Conduct for Authorised Financial Services Providers and Representatives, 2022
Pages affected4
-
R.2815 of 2022
Release: 63
G.G.47632 - 02 December 2022
Amendment of the Qualifications, Experiences and Criteria for Approval as Compliance Officer, 2022
Pages affected4
- 26 October 2022
-
Notice 1350 of 2022
Release: 62
G.G.47334 - 19 October 2022
Declaration of a crypto asset as a financial product under the Financial Advisory and Intermediary Services Act
Pages affected1
- 14 April 2022
-
Notice 942 of 2022
Release: 61
G.G.46158 - 31 March 2022
Amendment of notice of commencement
Pages affected2
- 29 March 2022
-
Notice 169 of 2018
Release: 59
G.G.41549 - 23 March 2018
Commencement of Financial Sector Regulation Act, 2017
Pages affected19
- 06 April 2021
-
R.257 of 2021
Release: 59
G.G.44327 - 25 March 2021
Amendment of notice of commencement
Pages affected3
- 02 January 2021
-
R.706 of 2020 w.e.f. 25/12/2020
Release: 58
G.G.43474 - 26 June 2020
Amendment: General Code of Conduct for FSPs / Reps & Specific Code of Conduct for FSPs / Reps Conducting St Deposit Business
Pages affected16
- 01 July 2020
-
R.706 of 2020
Release: 57
G.G.43474 - 26 June 2020
Amendment: General Code of Conduct for FSPs/Reps and Specific Code of Conduct for FSPs/ Reps Conducting St Deposit Business
Pages affected21
- 29 June 2020
-
R.707 of 2020
Release: 56
G.G.43474 - 26 June 2020
Amendment of the Determination of Fit and Proper Requirements, 2017
Pages affected7
- 07 April 2020
-
R.356 of 2020
Release: 55
G.G.43131 - 24 March 2020
Amendment of Notice of Commencement
Pages affected4
- 01 October 2018
-
R.1019 of 2018
Release: 53
G.G.41947 - 28 September 2018
Amendment of notice of commencement and commencement of certain provisions
Pages affected5
- 03 July 2018
-
BN.89 of 2018
Release: 52
G.G.41738 - 29 June 2018
Form of Licence
Pages affected1
- 11 June 2018
-
Act 9/2017
Release: 51
G.G.41060 - 22 August 2017
Financial Sector Regulation Act, 2017
Pages affected22
- 05 April 2018
-
Act 9/2017
Release: 51
G.G.41060 - 22 August 2017
Financial Sector Regulation Act, 2017
Pages affected22
-
Notice 169 of 2018
Release: 51
G.G.41549 - 29 March 2018
Commencement of Financial Sector Regulation Act, 2017
Pages affected19
- 27 March 2018
-
R.89 of 2018
Release: 50
G.G.41432 - 09 February 2018
Determination of fees payable to the Registrar of Financial Services Providers
Pages affected2
-
BN.194 of 2017
Release: 50
G.G.41321 - 15 December 2017
Determination of Fit and Proper Requirements for Financial Services Providers, 2017
Pages affected13
- 23 January 2017
-
R.1586 of 2016
Release: 49
G.G.40515 - 23 December 2016
Determination of Fees Payable to the Registrar of Financial Services Providers
Pages affected1
- 31 August 2016
-
BN.148 of 2016
Release: 48
G.G.40239 - 31 August 2016
Amendment of the Notice on Qualifications, Experience and Criteria for Approval as Compliance Officer
Pages affected4
-
BN.149 of 2016
Release: 48
G.G.40239 - 31 August 2016
Amendment of the Notice on Exemption in respect of Services under Supervision Rendered by Compliance Officers
Pages affected3
-
BN.77 of 2015
Release: 48
G.G.38665 - 31 March 2015
Amendment of the Notice on Qualifications, Experience and Criteria for Approval as Compliance Officer
Pages affected2
- 09 December 2014
-
BN.146 of 2014
Release: 47
G.G.38278 - 04 December 2014
Amendment of the General Code of Conduct for Authorised Financial Services Providers and Representatives
Pages affected2
- 04 June 2014
-
w.e.f. 30/05/2014
Release: 46
G.G.37237 - 16 January 2014
Financial Laws General Amendment Act, 2013
Pages affected2
- 13 March 2014
-
R.120 of 2014
Release: 45
G.G.37351 - 18 February 2014
Commencement of Financial Services Laws General Amendment Act, 2013
Pages affected36
-
Act 45/2013
Release: 45
G.G.37237 - 16 January 2014
Financial Services Laws General Amendment Act, 2013
Pages affected36
- 30 January 2014
-
BN.269 of 2013
Release: 44
G.G.37168 - 20 December 2013
Amendment on Qualifications, Experience and Criteria for the Approval as a Compliance Officer, 2013
Pages affected2
-
BN.260 of 2013
Release: 44
G.G.37164 - 19 December 2013
Amendment of Fit and Proper Requirements and Accompanying Measures, 2013
Pages affected4
- 27 June 2013
-
Act 19/2012
Release: 43
G.G.36121 - 01 February 2013
Amendment by Schedule to Section 111 of the Financial Markets Act
Pages affected2
- 13 June 2013
-
BN.119 of 2013
Release: 42
G.G.36530 - 05 June 2013
General Exemption: Level 1 Regulatory Examination, 2013
Pages affected1
-
BN.105 of 2013
Release: 42
G.G.36496 - 29 May 2013
Compliance Report for Category I FSPs Without a Compliance Officer, 2013
Pages affected1
-
BN.106 of 2013
Release: 42
G.G.36497 - 29 May 2013
Compliance Report for Category I FSPs with a Compliance Officer, 2013
Pages affected1
-
BN.107 of 2013
Release: 42
G.G.36498 - 29 May 2013
Bi-Annual Compliance Report for Categories II and IIA FSPs, 2013
Pages affected1
-
BN.108 of 2013
Release: 42
G.G.36499 - 29 May 2013
Bi-Annual Compliance Report for Categories III FSPs, 2013
Pages affected1
-
BN.109 of 2013
Release: 42
G.G.36500 - 29 May 2013
Compliance Report for Category IV FSPs, 2013
Pages affected1
-
BN.110 of 2013
Release: 42
G.G.36501 - 29 May 2013
Compliance Report for Foreign FSPs, 2013
Pages affected1
-
BN.111 of 2013
Release: 42
G.G.36502 - 29 May 2013
Compliance Report for a Financial Services Provider Substituting or Removing a Compliance Officer During the Reporting Period, 2013
Pages affected1
-
BN.65 of 2013
Release: 42
G.G.36399 - 23 April 2013
Exemption from Level 1 Regulatory Examination Until Finalisation of Application for Exemption, 2013
Pages affected1
-
BN.120 of 2013
Release: 42
G.G.36530 - 05 June 2013
General Exemption from the Second Level Regulatory Examination Requirements, 2013
Pages affected1
-
BN.112 of 2013
Release: 42
G.G.36503 - 29 May 2013
Determination of Compliance Report for a Financial Services Provider Who has Appointed a Compliance Officer During the Reporting Period, 2013
Pages affected1
-
BN.121 of 2013
Release: 42
G.G.36531 - 21 July 2010
Levies on Financial Institutions
Pages affected1
- 25 January 2013
-
BN.207 of 2012
G.G.35997 - 13 December 2012
Exemption of Compliance Officers from Regulatory Examination
Pages affected1
-
BN.202 of 2012
G.G.35977 - 11 December 2012
Amendment of the Fit and Proper Requirements
Pages affected1
- 13 December 2012
-
BN.208 of 2012
G.G.35997 - 13 December 2012
Exemption of Certain Persons Conducting Financial Services Related Business with Private Equity Funds
Pages affected1
- 05 October 2012
-
BN.163 of 2012
Release: 40
G.G.35743 - 03 October 2012
General Exemption from Continuous Professional Development Requirements, 2012
Pages affected1
-
BN.162 of 2012
Release: 40
G.G.35743 - 03 October 2012
Amendment of the General Exemption: Level 1 Regulatory Examination, 2012
There are no pages referenced by this update
- 24 August 2012
-
BN.140 of 2012
Release: 39
G.G.35608 - 21 August 2012
Amendment on Qualifications, Experience and Criteria for the Approval as a Compliance Officer, No. 1 of 2012
Pages affected1
-
BN.139 of 2012
Release: 39
G.G.35608 - 21 August 2012
Amendment on Qualifications, Experience and Criteria for the Approval as a Compliance Officer, No. 1 of 2012
Pages affected1
- 17 August 2012
-
BN.136 of 2012
Release: 38
G.G.35593 - 15 August 2012
Amendment on Qualifications, Experience and Criteria for the Approval as a Compliance Officer, No. 1 of 2012
Pages affected2
- 10 August 2012
-
BN.127 of 2012
Release: 37
G.G.35559 - 31 July 2012
Notice on Amendment of the Application by Financial Services Providers for Authorisation by the Financial Services Board, 2012
Pages affected4
- 01 June 2012
-
BN.95 of 2012
Release: 36
G.G.35379 - 25 May 2012
Compliance Report for FSP Officer
Pages affected1
-
BN.88 of 2012
Release: 36
G.G.35379 - 25 May 2012
Compliance report for a Category I FSP without an officer
Pages affected1
-
BN.89 of 2012
Release: 36
G.G.35379 - 25 May 2012
Compliance report for a Category I FSP with a compliance officer 2012
Pages affected1
-
BN.90 of 2012
Release: 36
G.G.35379 - 25 May 2012
Bi-annual Compliance Report for Category II and IIA FSPs, 2012
Pages affected1
-
BN.91 of 2012
Release: 36
G.G.35379 - 25 May 2012
Bi-annual Compliance Report for Category III FSPs, 2012
Pages affected1
-
BN.92 of 2012
Release: 36
G.G.35379 - 25 May 2012
Compliance Report for Category IV FSPs, 2012
Pages affected1
-
BN.93 of 2012
Release: 36
G.G.35379 - 25 May 2012
Compliance Report for Foreign FSPs, 2012
Pages affected1
-
BN.94 of 2012
Release: 36
G.G.35379 - 25 May 2012
Compliance Report for a FSP Substituting its Compliance Officer
Pages affected1
- 02 December 2011
-
BN.193 of 2011
Release: 34
G.G.34794 - 28 November 2011
Exemption of FSPs and FPSs Limited by Products from Audit Requirements, 2011
Pages affected1
- 21 October 2011
-
BN.165 of 2011
Release: 33
G.G.34691 - 19 October 2011
Notice of Amendment of the Compliance Reports for Category II, IV and Foreign FSPs
Pages affected3
-
BN.166 of 2011
Release: 33
G.G.34691 - 19 October 2011
Exemption of Foreign FSPs
Pages affected1
- 30 September 2011
-
BN.144 of 2011
Release: 32
G.G.34574 - 31 August 2011
Exemption of FSPs and Representatives from Conflict of Interest Provisions, 2011
Pages affected1
- 24 June 2011
-
BN.93 of 2011
Release: 31
G.G.34291 - 16 May 2011
Determination of Compliance Report for Financial Services Providers Without a Compliance Officer, who have Appointed a Compliance Officer, 2011
Pages affected1
-
BN.92 of 2011
Release: 31
G.G.34291 - 16 May 2011
Compliance Report for FSPs Changing Compliance Officer During Reporting Period, 2011
Pages affected1
-
BN.91 of 2011
Release: 31
G.G.34291 - 16 May 2011
Compliance Report for Foreign FSPs, 2011
Pages affected1
-
BN.90 of 2011
Release: 31
G.G.34291 - 16 May 2011
Compliance Report for Category IV FSPs, 2011
Pages affected1
-
BN.89 of 2011
Release: 31
G.G.34291 - 16 May 2011
Bi-annual Compliance Report for Category III FSPs, 2011
Pages affected1
-
BN.88 of 2011
Release: 31
G.G.34291 - 16 May 2011
Compliance Report for Category II FSPs, 2011
Pages affected1
-
BN.87 of 2011
Release: 31
G.G.34291 - 16 May 2011
Interim Compliance Report for Category IIA FSPs, 2011
Pages affected1
-
BN.86 of 2011
Release: 31
G.G.34291 - 16 May 2011
Compliance Report for Categories II and II FSPs, 2011
Pages affected1
-
BN.85 of 2011
Release: 31
G.G.34291 - 16 May 2011
Compliance Report for Category I FSPs with a Compliance Officer, 2011
Pages affected1
-
BN.84 of 2011
Release: 31
G.G.34291 - 16 May 2011
Compliance Report for Category I FSPs without a Compliance Officer, 2011
Pages affected1
- 28 February 2011
-
BN.16 of 2011
Release: 1
G.G.34007 - 07 February 2011
Notice on Suspension of Authorisation, No 2 of 2011
Pages affected1
-
BN.17 of 2011
Release: 1
G.G.34007 - 07 February 2011
Notice on Lifting of Suspension of Authorisation, No.2 of 2011
Pages affected1
-
BN.18 of 2011
Release: 1
G.G.34007 - 07 February 2011
Notice on Provisional Suspension of Authorisation, No 1 of 2011
Pages affected1
-
BN.19 of 2011
Release: 1
G.G.34007 - 07 February 2011
Notice on Provisional Withdrawal of Authorisation, No 1 of 2011
Pages affected1
-
BN.20 of 2011
Release: 1
G.G.34007 - 07 February 2011
Notice on Withdrawal of Authorisation, No 1 of 2011
Pages affected1
- 31 January 2011
-
BN.186 of 2010
Release: 29
G.G.33868 - 13 December 2010
Exemption of African Alliance Securities in respect of Certain Clients from Qualification Requirements, 2010
Pages affected1
-
BN.6 of 2011
Release: 29
G.G.33948 - 20 January 2011
Suspension of Authorisation
Pages affected1
-
BN.7 of 2011
Release: 29
G.G.33948 - 20 January 2011
Notice on Lifting of Suspension of Authorisation, No. 1 of 2011
Pages affected1
-
BN.8 of 2011
Release: 29
G.G.33948 - 20 January 2011
Notice on Withdrawal of Authorisation, No. 1 of 2011
Pages affected1
- 30 November 2010
-
BN.163 of 2010
Release: 28
G.G.33730 - 04 November 2010
Amendment of Application by Financial Service Providers for Authorisation by the Financial Services Board, 2010
Pages affected1
-
BN.162 of 2010
Release: 28
G.G.33729 - 05 November 2010
Notice on Provisional Withdrawn of Authorisation, No 2 of 2010
Pages affected1
-
BN.161 of 2010
Release: 28
G.G.33729 - 05 November 2010
Notice on the Reinstatement of Withdrawal of Authorisation No.1 of 2010
Pages affected1
-
BN.159 of 2010
Release: 28
G.G.33729 - 05 November 2010
Notice on the Withdrawal of Authorisation, No 3 of 2010
Pages affected1
-
BN.158 of 2010
Release: 28
G.G.33728 - 05 November 2010
Suspension of Authorisation
Pages affected1
-
BN.157 of 2010
Release: 28
G.G.33728 - 05 November 2010
Lifting of Suspension
Pages affected1
-
BN.160 of 2010
Release: 28
G.G.33729 - 05 November 2010
Lifting of Provisional Withdrawal of Authorisation
Pages affected1
- 29 October 2010
-
BN.139 of 2010
Release: 27
G.G.33653 - 13 October 2010
Notice on Amendment of Exemption of Certain FSPs and Representatives from Qualification Requirements, 2010
Pages affected1
-
BN.144 of 2010
Release: 27
G.G.33686 - 28 October 2010
Lifting of Suspension
Pages affected1
-
BN.145 of 2010
Release: 27
G.G.33687 - 28 October 2010
Withdrawal of Authorisation
Pages affected1
-
BN.146 of 2010
Release: 27
G.G.33688 - 28 October 2010
Suspension of Authorisation
Pages affected1
- 30 September 2010
-
BN.126 of 2010
Release: 26
G.G.33537 - 09 September 2010
Exemption in respect of Services under Supervision rendered by Compliance Officers, 2010
Pages affected1
-
BN.127 of 2010
Release: 26
G.G.33537 - 09 September 2010
Notice on Qualifications, Experience and Criteria for Approval of Compliance Officers, 2010
Pages affected1
- 31 August 2010
-
BN.118 of 2010
Release: 25
G.G.33440 - 05 August 2010
Exemption of Neptune Investment Management Limited, 2010
Pages affected1
-
BN.102 of 2010
Release: 25
G.G.33347 - 05 July 2010
Exemption of Particular Persons from Qualification Requirements, 2010
Pages affected1
-
BN.115 of 2010
Release: 25
G.G.33395 - 19 July 2010
Exemption of Frans McCabe from Qualification Requirements, 2010
Pages affected1
- 30 July 2010
-
BN.90 of 2010
Release: 24
G.G.33318 - 25 June 2010
Exemption of Investec Investment Management Services, 2010
Pages affected1