FC-A.2.2
A list of recent changes made to this Module is detailed in the table below:
Module Ref. | Change Date | Description of Changes |
FC-A.1.4 | 01/2011 | Clarified legal basis. |
FC-B.1.1 | 07/2011 | Exempted administrators from specific sections of this Module. |
FC-4.1.7 | 04/2012 | Clarified requirements for MLRO. |
FC-4.3 | 04/2012 | Amended Section to allow for CBB-approved consultancy firm to do required sample testing and report under Paragraph FC-4.3.1. |
FC-B.1.1 | 10/2012 | Amended the scope of application to have a limited scope for ancillary services providers and to expand the role of the general managers for those licensees allowed to follow only certain Chapters of Module FC. |
FC-1.2.3(b) | 01/2013 | Clarified location of guidance under Part B Supplementary Information Appendix FC-(v). |
FC-1.2.11(f) and FC-1.2.11A | 04/2013 | Provided additional details when dealing with employee benefit trusts and occupational savings schemes. |
FC-1.10.1 | 04/2013 | Updated language to refer to licensed exchange. |
FC-2.2.3A | 04/2013 | Guidance Paragraph added for trust service providers on automatic transaction monitoring. |
FC-7.1.4 | 04/2013 | Reference made to the use of electronic records. |
FC-5.2.3 | 10/2014 | Updated method of submitting STRs. |
FC-5.3 | 10/2014 | Updated relevant authorities information. |
FC-1.2.8 | 07/2016 | Change made for consistency across CBB Rulebook. |
FC-1.5.4 | 07/2016 | Definition of PEPs is already included in Glossary so this guidance paragraph was deleted. |
FC-5.2.3 | 07/2016 | Updated instructions for STR. |
FC-1.2.9A | 01/2017 | Added guidance paragraph on CR printing |
FC-8.2.1AA | 04/2017 | Added new Paragraph on Implementing and complying with the United Nations Security Council resolutions requirement. |