CL-A.2.3
A list of recent changes made to this Module is provided below:
| Module Ref. | Change Date | Description of Changes | 
| CL-A.1 | 07/2007 | New Rule CL-A.1.4 introduced, categorising this Module as a Directive. | 
| CL-A.1.4 | 04/2008 | Clarified that this Directive only applies to | 
| CL-1.1.8 | 04/2008 | Clarified that client bank accounts may only be opened with banks licensed to do business in Bahrain. | 
| CL-1.4.1 and 2.6.1 | 04/2008 | Clarified the record retention period to be in line with Article 60 of the CBB Law. | 
| Table of Contents and CL-1.5.3 | 07/2008 | Added reference to agreed upon procedures included in Part B of Volume 4 (Investment Business) | 
| CL-1.1.1 | 07/2008 | Corrected reference. | 
| CL-1.1.20 | 07/2008 | Clarified nature of reconciliation required. | 
| CL-1.5.4 | 07/2008 | Reference made to effective date when first auditor report is required. | 
| CL-2.3.1 | 07/2008 | Dematerialised safe custody financial instruments now included as a defined term in the Glossary under Part B. | 
| CL-A.1.4 | 01/2011 | Clarified legal basis. | 
| CL-1.1.4(a) | 01/2012 | Amended as client asset protection rules not included in Glossary. | 
| CL-1.1.2 | 04/2013 | Amended introductory Paragraph of Rule. | 
| CL-1.1.4 and CL-1.1.5 | 04/2013 | Rule and Guidance deleted as all assets are subject to client asset protection Rules. | 
| CL-1.1.10 | 01/2016 | Clarified Rule. | 
| CL-1.5.1 | 10/2017 | Amended Paragraph to clarify that licensees are to formally declare in writing that they do not possess any Client assets. | 
| CL-1.5.2 | 01/2018 | Amended paragraph. | 
 
  
        