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The Financial Services and Markets Act 2000 (Regulated Activities) Order 2001, PART V is up to date with all changes known to be in force on or before 04 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
F1Pt. 5 inserted (31.10.2004 for specified purposes, 14.1.2005 in so far as not already in force) by The Financial Services and Markets Act 2000 (Regulated Activities) (Amendment) (No. 2) Order 2003 (S.I. 2003/1476), arts. 1(3), 13
92. In this Part—
“designated professional body” means a body which is for the time being designated by the Treasury under section 326 of the Act (designation of professional bodies);
“insurance mediation activity” means any regulated activity of the kind specified by article 21, 25(1) or (2), 39A or 53, or, so far as relevant to any of those articles, article 64, which is carried on in relation to a contract of insurance;
“the record” means the record maintained by the Authority under section 347 of the Act (public record of authorised persons etc.);
“recorded insurance intermediary” has the meaning given by article 93(4);
“a relevant member”, in relation to a designated professional body, means a member (within the meaning of section 325(2) of the Act) of the profession in relation to which that designated professional body is established, or a person who is controlled or managed by one or more such members.
93.—(1) Subject to articles 95 and 96, the Authority must include in the record every person who—
(a)as a result of information obtained by virtue of its rules or by virtue of a direction given, or requirement imposed, under section 51(3) of the Act (procedure for applications under Part IV), appears to the Authority to fall within paragraph (2); or
(b)as a result of information obtained by virtue of article 94, appears to the Authority to fall within paragraph (3).
(2) A person falls within this paragraph if he is, or has entered into a contract by virtue of which he will be, an appointed representative who carries on any insurance mediation activity.
(3) A person falls within this paragraph if—
(a)he is a relevant member of a designated professional body who carries on, or is proposing to carry on, any insurance mediation activity; and
(b)the general prohibition does not (or will not) apply to the carrying on of those activities by virtue of section 327 of the Act (exemption from the general prohibition).
(4) In this Part, “recorded insurance intermediary” means a person who is included in the record by virtue of paragraph (1).
(5) The record must include—
(a)in the case of any recorded insurance intermediary, its address; and
(b)in the case of a recorded insurance intermediary which is not an individual, the name of the individuals who are responsible for the management of the business carried on by the intermediary, so far as it relates to insurance mediation activities.
94.—(1) A designated professional body must, by notice in writing, inform the Authority of—
(a)the name,
(b)the address, and
(c)in the case of a relevant member which is not an individual, the name of the individuals who are responsible for the management of the business carried on by the member, so far as it relates to insurance mediation activities,
of any relevant member who falls within paragraph (2).
(2) A relevant member of a designated professional body falls within this paragraph if, in accordance with the rules of that body, he carries on, or proposes to carry on any insurance mediation activity but does not have, and does not propose to apply for, Part IV permission on the basis that the general prohibition does not (or will not) apply to the carrying on of that activity by virtue of section 327 of the Act.
(3) A designated professional body must also, by notice in writing, inform the Authority of any change in relation to the matters specified in sub-paragraphs (a) to (c) of paragraph (1).
(4) A designated professional body must inform the Authority when a relevant member to whom paragraph (2) applies ceases, for whatever reason, to carry on insurance mediation activities.
(5) The Authority may give directions to a designated professional body as to the manner in which the information referred to in paragraphs (1), (3) and (4) must be provided.
95.—(1) If it appears to the Authority that a person who falls within article 93(2) (appointed representatives) (“AR”) is not a fit and proper person to carry on insurance mediation activities, it may decide not to include him in the record or, if that person is already included in the record, to remove him from the record.
(2) Where the Authority proposes to make a determination under paragraph (1), it must give AR a warning notice.
(3) If the Authority makes a determination under paragraph (1), it must give AR a decision notice.
(4) If the Authority gives AR a decision notice under paragraph (3), AR may refer the matter to the Tribunal.
(5) The Authority may, on the application of AR, revoke a determination under paragraph (1).
(6) If the Authority decides to grant the application, it must give AR written notice of its decision.
(7) If the Authority proposes to refuse the application, it must give AR a warning notice.
(8) If the Authority decides to refuse the application, it must give AR a decision notice.
(9) If the Authority gives AR a decision notice under paragraph (8), AR may refer the matter to the Tribunal.
(10) Sections 393 and 394 of the Act (third party rights and access to Authority material) apply to a warning notice given in accordance with paragraph (2) or (7) and to a decision notice given in accordance with paragraph (3) or (8).
96.—(1) If a person who appears to the Authority to fall within article 93(3) (member of a designated professional body) falls within paragraph (2) or (3), the Authority must not include him in the record or, if that person is already included in the record, must remove him from the record.
(2) A person falls within this paragraph if, by virtue of a direction given by the Authority under section 328(1) of the Act (directions in relation to the general prohibition), section 327(1) of the Act does not apply in relation to the carrying on by him of any insurance mediation activity.
(3) A person falls within this paragraph if the Authority has made an order under section 329(2) of the Act (orders in relation to the general prohibition) disapplying section 327(1) of the Act in relation to the carrying on by him of any insurance mediation activity.]
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