CL-4.1.2
An
(a) An up-to-date list of the mandates and any conditions placed by the client or the investment firm licensee's management on their use;
(b) A record of all transactions entered into using the mandates , and internal controls to ensure that they are within the scope of authority of the person and the investment firm licensee entering into the transaction;
(c) The details of the procedures for the giving and receiving of instructions under the authority; and
(d) Where the investment firm licensee holds a passbook or similar documents belonging to the client , internal controls, for the safeguarding (including against loss, unauthorized destruction, theft, fraud or misuse) of any passbook or similar document belonging to the client held by the investment firm licensee .
Amended: January 2007