FC-3.1.10

Past version: Effective from 01 Oct 2007 to 31 Mar 2010
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In addition, insurance licensees must ensure that their MLRO is able to:

(a) Monitor the day-to-day operation of their policies and procedures relevant to this Module; and
(b) Respond promptly to any reasonable request for information made by the Anti-Money Laundering Unit or the CBB.
Amended: January 2007
Amended: October 2007