- Y Diweddaraf sydd Ar Gael (Diwygiedig)
- Pwynt Penodol mewn Amser (22/07/2013)
- Gwreiddiol (Fel y'i Deddfwyd)
Version Superseded: 31/12/2020
Point in time view as at 22/07/2013.
Financial Services and Markets Act 2000, PART 1C is up to date with all changes known to be in force on or before 22 November 2024. There are changes that may be brought into force at a future date. Changes that have been made appear in the content and are referenced with annotations.
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Textual Amendments
F1Sch. 6 Pts. 1-1G substituted for Sch. 6 Pts. 1, 2 (1.4.2013) by The Financial Services and Markets Act 2000 (Threshold Conditions) Order 2013 (S.I. 2013/555), arts. 1, 2(2)
3A.If the person concerned (“B”) carries on, or is seeking to carry on, regulated activities which consist of or include a PRA-regulated activity, the threshold conditions which are relevant to the discharge by the FCA of its functions in relation to B are the conditions set out in paragraphs 3B to 3E.
3B.(1)B must be capable of being effectively supervised by the FCA having regard to all the circumstances including—
(a)the nature (including the complexity) of the regulated activities that B carries on or seeks to carry on;
(b)the complexity of any products that B provides or will provide in carrying on those activities;
(c)the way in which B’s business is organised;
(d)if B is a member of a group, whether membership of the group is likely to prevent the FCA’s effective supervision of B;
(e)whether B is subject to consolidated supervision required under any of the relevant directives;
(f)if B has close links with another person (“CL”)—
(i)the nature of the relationship between B and CL,
(ii)whether those links are or that relationship is likely to prevent the FCA’s effective supervision of B, and
(iii)if CL is subject to the laws, regulations or administrative provisions of a territory which is not an EEA State (“the foreign provisions”), whether those foreign provisions, or any deficiency in their enforcement, would prevent the FCA’s effective supervision of B.
(2)B has close links with CL if—
(a)CL is a parent undertaking of B,
(b)CL is a subsidiary undertaking of B,
(c)CL is a parent undertaking of a subsidiary undertaking of B,
(d)CL is a subsidiary undertaking of a parent undertaking of B,
(e)CL owns or controls 20% or more of the voting rights or capital of B, or
(f)B owns or controls 20% or more of the voting rights or capital of CL.
3C.(1)The non-financial resources of B must be appropriate in relation to the regulated activities that B carries on or seeks to carry on, having regard to the operational objectives of the FCA.
(2)The matters which are relevant in determining whether the condition in sub-paragraph (1) is met include—
(a)the nature and scale of the business carried on, or to be carried on, by B;
(b)the risks to the continuity of the services provided by, or to be provided by, B;
(c)B’s membership of a group and any effect which that membership may have;
(d)the skills and experience of those who manage B’s affairs;
(e)whether B’s non-financial resources are sufficient to enable B to comply with—
(i)requirements imposed or likely to be imposed on B by the FCA in the exercise of its functions, or
(ii)any other requirement in relation to whose contravention the FCA would be the appropriate regulator for the purpose of any provision of Part 14 of this Act.
3D.(1)B must be a fit and proper person, having regard to the operational objectives of the FCA.
(2)The matters which are relevant in determining whether B satisfies the condition in sub-paragraph (1) include—
(a)B’s connection with any person;
(b)the nature (including the complexity) of the regulated activities that B carries on or seeks to carry on;
(c)the need to ensure that B’s affairs are conducted in an appropriate manner, having regard in particular to the interests of consumers and the integrity of the UK financial system;
(d)whether B has complied and is complying with requirements imposed by the FCA in the exercise its functions, or requests made by the FCA, relating to the provision of information to the FCA and, where B has so complied or is so complying, the manner of that compliance;
(e)whether those who manage B’s affairs have adequate skills and experience and have acted and may be expected to act with probity;
(f)the need to minimise the extent to which it is possible for the business carried on by B, or to be carried on by B, to be used for a purpose connected with financial crime.
3E.B’s business model (that is, B’s strategy for doing business) must be suitable for a person carrying on the regulated activities that B carries on or seeks to carry on, having regard to the FCA’s operational objectives.]
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