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Financial Services and Markets Act 2000, Cross Heading: Procedure 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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[F1(1)If the FCA proposes—
(a)to impose a penalty on a person under section 123(2);
(b)to publish a statement censuring a person under section 123(3);
(c)to impose a temporary prohibition on an individual under section 123A(2)(a);
(d)to impose a temporary prohibition on an individual under section 123A(2)(b);
(e)to impose a permanent prohibition on an individual under section 123A(3); or
(f)to impose a suspension or restriction in relation to a person under section 123B;
it must give the person a warning notice.]
(2)A warning notice about a proposal to impose a penalty [F2under section 123] must state the amount of the proposed penalty.
(3)A warning notice about a proposal to publish a statement [F3under section 123] must set out the terms of the proposed statement.
[F4(4)A warning notice about a proposal to impose a prohibition under section 123A must set out the terms of the proposed prohibition.
(5)A warning notice about a proposal to impose a suspension or restriction under section 123B must state the period for which the suspension or restriction is to have effect.]
Textual Amendments
F1S. 126(1) substituted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(7)(a)
F2Words in s. 126(2) inserted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(7)(b)
F3Words in s. 126(3) inserted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(7)(c)
F4S. 126(4)(5) inserted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(7)(d)
[F5(1)If the FCA decides—
(a)to impose a penalty on a person under section 123(2);
(b)to publish a statement censuring a person under section 123(3);
(c)to impose a temporary prohibition on an individual under section 123A(2)(a);
(d)to impose a temporary prohibition on an individual under section 123A(2)(b);
(e)to impose a permanent prohibition on an individual under section 123A(3);
(f)to impose a suspension or restriction in relation to a person under section 123B;
it must give the person a decision notice.]
(2)A decision notice about the imposition of a penalty [F6under section 123] must state the amount of the penalty.
(3)A decision notice about the publication of a statement [F7under section 123] must set out the terms of the statement.
[F8(3A)A decision notice about the imposition of a prohibition under section 123A must set out the terms of the prohibition.
(3B)A decision notice about the imposition of a suspension or restriction under section 123B must state the period for which the suspension or restriction is to have effect.]
[F9(4)If the FCA decides—
(a)to impose a penalty on a person under section 123(2);
(b)to publish a statement censuring a person under section 123(3);
(c)to impose a prohibition on an individual under section 123A; or
(d)to impose a suspension or restriction in relation to a person under section 123B;
that person may refer the matter to the Tribunal.]
Textual Amendments
F5S. 127(1) substituted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(8)(a)
F6Words in s. 127(2) inserted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(8)(b)
F7Words in s. 127(3) inserted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(8)(c)
F8S. 127(3A)(3B) inserted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(8)(d)
F9S. 127(4) substituted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(8)(e)
(1)The FCA must consult the PRA before giving a warning notice under section 126(1)(a), (b), (d) or (f) or a decision notice under section 127(1)(a), (b), (d) or (f) in relation to a person who—
(a)is a PRA-authorised person; or
(b)is a member of a PRA-authorised person’s immediate group.
(2)The FCA must consult the PRA before giving a warning notice under section 126(1)(c) or (e) or a decision notice under section 127(1)(c) or (e) if as a result of the prohibition in question an individual would be prohibited from holding an office or position involving responsibility for taking decisions about the management of a PRA-authorised investment firm.
(3)The FCA must consult the PRA before varying or revoking a prohibition under section 123A(2)(a) or (3) if as a result of the proposed variation or revocation an individual would no longer be prohibited from holding an office or position involving responsibility for taking decisions about the management of a PRA-authorised investment firm.
(4)In this section “PRA-authorised investment firm” means an investment firm which is a PRA-authorised person and carries on a regulated activity.]
Textual Amendments
F10S. 127A inserted (3.7.2016) by The Financial Services and Markets Act 2000 (Market Abuse) Regulations 2016 (S.I. 2016/680), regs. 1, 9(9)
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