C1 Part V Performance of Regulated Activities
Prohibition orders
C2I1C20C5056 Prohibition orders.
F1291
The FCA may make a prohibition order if it appears to it that an individual is not a fit and proper person to perform functions in relation to a regulated activity carried on by—
a
an authorised person,
b
a person who is an exempt person in relation to that activity, or
c
a person to whom, as a result of Part 20, the general prohibition does not apply in relation to that activity.
1A
The PRA may make a prohibition order if it appears to it that an individual is not a fit and proper person to perform functions in relation to a regulated activity carried on by—
a
a PRA-authorised person, or
b
a person who is an exempt person in relation to a PRA-regulated activity carried on by the person.
2
F113A “prohibition order” is an order prohibiting the individual from performing a specified function, any function falling within a specified description or any function.
3
A prohibition order may relate to—
a
a specified regulated activity, any regulated activity falling within a specified description or all regulated activities;
F98b
all persons falling within subsection (3A) or a particular paragraph of that subsection or all persons within a specified class of person falling within a particular paragraph of that subsection.
F1033A
A person falls within this subsection if the person is—
a
an authorised person,
b
an exempt person, or
c
a person to whom, as a result of Part 20, the general prohibition does not apply in relation to a regulated activity.
4
An individual who performs or agrees to perform a function in breach of a prohibition order is guilty of an offence and liable on summary conviction to a fine not exceeding level 5 on the standard scale.
5
In proceedings for an offence under subsection (4) it is a defence for the accused to show that he took all reasonable precautions and exercised all due diligence to avoid committing the offence.
6
F101A person falling within subsection (3A) must take reasonable care to ensure that no function of his, in relation to the carrying on of a regulated activity, is performed by a person who is prohibited from performing that function by a prohibition order.
C37
F747A
If—
a
the FCA proposes to vary or revoke a prohibition order, and
b
as a result of the proposed variation or revocation, an individual—
i
will no longer be prohibited from performing a function of interest to the PRA, or
ii
will be prohibited from performing such a function,
the FCA must consult the PRA before varying or revoking the order.
7B
A function is of interest to the PRA if it is performed in relation to a regulated activity carried on by—
a
a PRA-authorised person, or
b
a person who is an exempt person in relation to a PRA-regulated activity carried on by the person.
7C
The PRA must consult the FCA before varying or revoking a prohibition order.
F95C48
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
9
“Specified” means specified in the prohibition order.
C5I2C5157 Prohibition orders: procedure and right to refer to Tribunal.
C61
If F148a regulator proposes to make a prohibition order it must give the individual concerned a warning notice.
2
The warning notice must set out the terms of the prohibition.
3
If F42a regulator decides to make a prohibition order it must give the individual concerned a decision notice.
4
The decision notice must—
a
name the individual to whom the prohibition order applies;
b
set out the terms of the order; and
c
be given to the individual named in the order.
5
A person against whom a decision to make a prohibition order is made may refer the matter to the Tribunal.
F996
If—
a
the FCA proposes to make a prohibition order, and
b
as a result of the proposed order, an individual will be prohibited from performing a function of interest to the PRA,
the FCA must consult the PRA before giving a warning notice under this section.
7
A function is of interest to the PRA if it is performed in relation to a regulated activity carried on by—
a
a PRA-authorised person, or
b
a person who is an exempt person in relation to a PRA-regulated activity carried on by the person.
8
The PRA must consult the FCA before giving a warning notice under this section.
C7I3C5258 Applications relating to prohibitions: procedure and right to refer to Tribunal.
1
This section applies to an application for the variation or revocation of a prohibition order.
2
If the F72appropriate regulator decides to grant the application, it must give the applicant written notice of its decision.
3
If the F72appropriate regulator proposes to refuse the application, it must give the applicant a warning notice.
4
If the F72appropriate regulator decides to refuse the application, it must give the applicant a decision notice.
5
If the F72appropriate regulator gives the applicant a decision notice, he may refer the matter to the Tribunal.
F1066
The appropriate regulator” means the regulator to which the application is made.
Approval
C8I4C26C32C3759 Approval for particular arrangements.
C91
An authorised person (“A”) must take reasonable care to ensure that no person performs a controlled function under an arrangement entered into by A in relation to the carrying on by A of a regulated activity, unless F97the appropriate regulator approves the performance by that person of the controlled function to which the arrangement relates.
2
An authorised person (“A”) must take reasonable care to ensure that no person performs a controlled function under an arrangement entered into by a contractor of A in relation to the carrying on by A of a regulated activity, unless F34the appropriate regulator approves the performance by that person of the controlled function to which the arrangement relates.
F1043
“Controlled function”—
a
in relation to the carrying on of a regulated activity by a PRA-authorised person, means a function of a description specified in rules made by the FCA or the PRA, and
b
in relation to the carrying on of a regulated activity by any other authorised person, means a function of a description specified in rules made by the FCA.
4
“The appropriate regulator”—
a
in relation to a controlled function which is of a description specified in rules made by the FCA, means the FCA, and
b
in relation to a controlled function which is of a description specified in rules made by the PRA, means the PRA with the consent of the FCA.
5
The FCA may specify a description of function under subsection (3)(a) or (b) only if, in relation to the carrying on of a regulated activity by an authorised person, it is satisfied that the function is—
a
a customer-dealing function, or
b
a significant-influence function.
6
The PRA may specify a description of function under subsection (3)(a) only if, in relation to the carrying on of a regulated activity by a PRA-authorised person, it is satisfied that the function is a significant-influence function.
7
In determining whether a function is a significant-influence function, the FCA or the PRA may take into account the likely consequences of a failure to discharge the function properly.
7A
“Customer-dealing function”, in relation to the carrying on of a regulated activity by an authorised person (“A”), means a function that will involve the person performing it in dealing with—
a
customers of A, or
b
property of customers of A,
in a manner substantially connected with the carrying on of the activity.
7B
“Significant-influence function”, in relation to the carrying on of a regulated activity by an authorised person, means a function that is likely to enable the person responsible for its performance to exercise a significant influence on the conduct of the authorised person's affairs, so far as relating to the activity.
8
Neither subsection (1) nor subsection (2) applies to an arrangement which allows a person to perform a function if the question of whether he is a fit and proper person to perform the function is reserved under any of the single market directives F70or the emission allowance auctioning regulation to an authority in a country or territory outside the United Kingdom.
F1169
. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
10
“Arrangement”—
a
means any kind of arrangement for the performance of a function of A which is entered into by A or any contractor of his with another person; and
b
includes, in particular, that other person’s appointment to an office, his becoming a partner or his employment (whether under a contract of service or otherwise).
11
“Customer”, in relation to an authorised person, means a person who is using, or who is or may be contemplating using, any of the services provided by the authorised person.
59AF126Specifying functions as controlled functions: supplementary
1
The FCA must—
a
keep under review the exercise of its power under section 59(3)(a) to specify any significant-influence function as a controlled function, and
b
exercise that power in a way that it considers will minimise the likelihood that approvals fall to be given by both the FCA and the PRA in respect of the performance by a person of significant-influence functions in relation to the carrying on of a regulated activity by the same PRA-authorised person.
2
The FCA and the PRA must each consult the other before exercising any power under section 59(3)(a).
3
Any reference in this section to the exercise of a power includes its exercise by way of amendment or revocation of provision previously made in the exercise of the power.
4
“Approval” means an approval under section 59.
5
Any expression which is used both in this section and section 59 has the same meaning in this section as in that section.
59BRole of FCA in relation to PRA decisions
1
The FCA may arrange with the PRA that in such cases as may be described in the arrangements the PRA may give approval under section 59 without obtaining the consent of the FCA.
2
Arrangements under this section must be in writing, and must specify the date on which they come into force.
3
The regulators must publish any arrangements under this section in such manner as they think fit.
4
Section 59(4)(b) has effect subject to any arrangements in force under this section.
C10I5C21C33C5360 Applications for approval.
1
An application for the F140appropriate regulator's approval under section 59 may be made by the authorised person concerned.
2
The application must—
a
be made in such manner as the F140appropriate regulator may direct; and
b
contain, or be accompanied by, such information as the F140appropriate regulator may reasonably require.
C11F293
At any time after the application is received and before it is determined, the appropriate regulator may require the applicant to provide it with such further information as it reasonably considers necessary to enable it to determine the application or, as the case requires, to decide whether to give consent.
4
5
Different directions may be given, and different requirements imposed, in relation to different applications or categories of application.
6
“The authorised person concerned” includes a person who has applied for permission under F123Part 4A and will be the authorised person concerned if permission is given.
F1007
The PRA must consult the FCA before—
a
giving a direction under subsection (2)(a) in relation to a class of applicants, or
b
imposing a requirement under subsection (2)(b) on a class of applicants.
8
The PRA must as soon as practicable notify the FCA of the receipt or withdrawal of an application to the PRA, unless the case is one in which by virtue of arrangements under section 59B the consent of the FCA is not required.
9
“The appropriate regulator”—
a
in relation to a controlled function which is of a description specified in rules made by the FCA, means the FCA;
b
in relation to a controlled function which is of a description specified in rules made by the PRA, means the PRA, and for the purposes of subsection (3) also includes the FCA in cases where the consent of the FCA is required.
I6C34C5461 Determination of applications.
1
F138The regulator to which an application is made under section 60 may grant the application only if it is satisfied that the person in respect of whom the application is made (“the candidate”) is a fit and proper person to perform the function to which the application relates.
2
In deciding that question, F86the regulator may have regard (among other things) to whether the candidate, or any person who may perform a function on his behalf—
a
has obtained a qualification,
b
has undergone, or is undergoing, training, or
c
possesses a level of competence,
required by general rules F60made by that regulator in relation to persons performing functions of the kind to which the application relates.
F682A
Subsections (1) and (2) apply in relation to the giving by the FCA of any required consent as they apply in relation to the grant of the application.
C12C22C233
F83The regulator to which an application is made under section 60 must, before the end of the period for consideration, determine whether—
a
to grant the application; or
b
to give a warning notice under section 62(2).
F1023A
The period for consideration”—
a
in any case where the application under section 60 is made by a person applying for permission under Part 4A (see section 60(6)), means whichever ends last of—
i
the period within which the application for that permission must be determined under section 55V(1) or (2), and
ii
the period of 3 months beginning with the date on which the regulator receives the application under section 60, and
b
in any other case, means the period of 3 months beginning with the date on which the regulator receives the application under section 60.
4
If F52a regulator imposes a requirement under section 60(3), the period for consideration stops running on the day on which the requirement is imposed but starts running again—
a
on the day on which the required information is received by F52a regulator; or
b
if the information is not provided on a single day, on the last of the days on which it is received by F52a regulator.
5
A person who makes an application under section 60 may withdraw his application by giving written notice to the F23regulator to which the application was made at any time before the F64regulator determines it, but only with the consent of—
a
the candidate; and
b
the person by whom the candidate is to be retained to perform the function concerned, if not the applicant.
I7C35C5562 Applications for approval: procedure and right to refer to Tribunal.
1
F63If the regulator to which an application is made under section 60 (“an application”) decides to grant the application, it must give written notice of its decision to each of the interested parties.
2
3
4
5
“The interested parties”, in relation to an application, are—
a
the applicant;
b
the person in respect of whom the application is made (“A”); and
c
the person by whom A’s services are to be retained, if not the applicant.
I8C36C56C5763 Withdrawal of approval.
F144C131
The FCA may withdraw an approval under section 59 given by the FCA or the PRA in relation to the performance by a person of a function if the FCA considers that the person is not a fit and proper person to perform the function.
1A
The PRA may withdraw an approval under section 59 in relation to the performance by a person (“A”) of a function if—
a
the PRA gave the approval, or the FCA gave the approval and the function is a significant-influence function performed in relation to the carrying on by a PRA-authorised person of a regulated activity, and
b
the PRA considers that A is not a fit and proper person to perform the function.
1B
“Significant-influence function” has the same meaning as in section 59.
1C
Before one regulator withdraws an approval given by the other regulator, it must consult the other regulator.
2
When considering whether to withdraw F44an approval, the FCA or the PRA may take into account any matter which could be taken into account in considering an application made under section 60 in respect of the performance of the function to which the approval relates F45(on the assumption, if it is not the case, that the application was one falling to be considered by it).
C13C143
C15C134
C135
C136
“The interested parties”, in relation to an approval, are—
a
the person on whose application it was given (“A”);
b
the person in respect of whom it was given (“B”); and
c
the person by whom B’s services are retained, if not A.
F1Performance of controlled functions without approval
Ss. 63A-63D and preceding cross-heading inserted (8.6.2010) by Financial Services Act 2010 (c. 28), ss. 11, 26(2)(b)
C6163APower to impose penalties
1
If the F53appropriate regulator is satisfied that—
a
a person (“P”) has at any time performed a controlled function without approval, and
b
at that time P knew, or could reasonably be expected to have known, that P was performing a controlled function without approval,
it may impose a penalty on P of such amount as it considers appropriate.
2
For the purposes of this section P performs a controlled function without approval at any time if at that time—
a
P performs a controlled function under an arrangement entered into by an authorised person (“A”), or by a contractor of A, in relation to the carrying on by A of a regulated activity; and
b
the performance by P of the function was not approved under section 59.
3
The F53appropriate regulator may not impose a penalty under this section after the end of the limitation period unless, before the end of that period, it has given a warning notice to the person concerned under section 63B(1).
C594
“The limitation period” means the period of three years beginning with the first day on which the F53appropriate regulator knew that the person concerned had performed a controlled function without approval.
C585
For this purpose the F53appropriate regulator is to be treated as knowing that a person has performed a controlled function without approval if it has information from which that can reasonably be inferred.
F1245A
The appropriate regulator”—
a
in relation to a controlled function which is of a description specified in rules made by the FCA, means the FCA, and
b
in relation to a controlled function which is of a description specified in rules made by the PRA, means the PRA.
6
Any F141other expression which is used both in this section and section 59 has the same meaning in this section as in that section.
C6163BProcedure and right to refer to Tribunal
1
If F24a regulator proposes to impose a penalty on a person under section 63A, it must give the person a warning notice.
2
A warning notice must state the amount of the penalty.
3
If F24a regulator decides to impose a penalty on a person under section 63A, it must give the person a decision notice.
4
A decision notice must state the amount of the penalty.
5
If F24a regulator decides to impose a penalty on a person under section 63A, the person may refer the matter to the Tribunal.
C6163CStatement of policy
1
F33Each regulator must prepare and issue a statement of its policy with respect to—
a
the imposition of penalties under section 63A; and
b
the amount of penalties under that section.
2
F76Each regulator's policy in determining whether a penalty should be imposed, and what the amount of a penalty should be, must include having regard to—
a
the conduct of the person on whom the penalty is to be imposed;
b
the extent to which the person could reasonably be expected to have known that a controlled function was performed without approval;
c
the length of the period during which the person performed a controlled function without approval; and
d
whether the person on whom the penalty is to be imposed is an individual.
3
F57Each regulator's policy in determining whether a penalty should be imposed on a person must also include having regard to the appropriateness of taking action against the person instead of, or in addition to, taking action against an authorised person.
4
A statement issued under this section must include an indication of the circumstances in which F85the regulator that has issued the statement would expect to be satisfied that a person could reasonably be expected to have known that the person was performing a controlled function without approval.
5
6
If a statement issued under this section is altered or F27replaced by a regulator, the regulator must issue the altered or replaced statement.
7
F50A regulator must, without delay, give the Treasury a copy of any statement which it publishes under this section.
8
9
The F90regulator may charge a reasonable fee for providing a person with a copy of the statement.
C6010
In exercising, or deciding whether to exercise, its power under section 63A in the case of any particular person, F91a regulator must have regard to any statement of policy published F21by it under this section and in force at a time when the person concerned performed a controlled function without approval.
63DStatement of policy: procedure
1
2
The draft must be accompanied by notice that representations about the proposal may be made to the F43regulator within a specified time.
3
Before issuing the proposed statement, the F35regulator must have regard to any representations made to it in accordance with subsection (2).
4
If the F96regulator issues the proposed statement it must publish an account, in general terms, of—
a
the representations made to it in accordance with subsection (2); and
b
its response to them.
5
6
7
This section also applies to a proposal to alter or replace a statement.
Conduct F6of approved persons
Words in cross-heading before s. 64 inserted (8.6.2010) by Financial Services Act 2010 (c. 28), ss. 24(1), 26(2)(d)(e), Sch. 2 para. 7
64 Conduct: statements and codes.
F781
The FCA may issue statements of principle with respect to the conduct expected of persons in relation to whom either regulator has given its approval under section 59.
1A
The PRA may issue statements of principle with respect to—
a
the conduct expected of persons in relation to whom it has given its approval under section 59, and
b
the conduct expected of persons in relation to whom the FCA has given its approval under section 59 in respect of the performance by them of significant-influence functions in relation to the carrying on by PRA-authorised persons of regulated activities.
1B
A statement of principle issued by either regulator may relate to conduct expected of persons in relation to—
a
the performance by them of controlled functions, or
b
the performance by them of any other functions in relation to the carrying on by authorised persons of regulated activities.
2
3
A code issued under subsection (2) may specify—
a
descriptions of conduct which, in the opinion of the F133regulator issuing the code, comply with a statement of principle;
b
descriptions of conduct which, in the opinion of the F133regulator issuing the code, do not comply with a statement of principle;
c
factors which, in the opinion of the F133regulator issuing the code, are to be taken into account in determining whether or not a person’s conduct complies with a statement of principle.
4
5
6
7
A code published under this section and in force at the time when any particular conduct takes place may be relied on so far as it tends to establish whether or not that conduct complies with a statement of principle.
8
Failure to comply with a statement of principle under this section does not of itself give rise to any right of action by persons affected or affect the validity of any transaction.
9
A person is not to be taken to have failed to comply with a statement of principle if he shows that, at the time of the alleged failure, it or its associated code of practice had not been published.
10
F61A regulator must, without delay, give the Treasury a copy of any statement or code which it publishes under this section.
11
The power under this section to issue statements of principle and codes of practice—
a
includes power to make different provision in relation to persons, cases or circumstances of different descriptions; and
F25b
is to be treated for the purposes of section 1B(6)(a) as part of the FCA's rule-making functions (where the power is exercisable by the FCA) and is to be treated for the purposes of section 2J(1)(a) as part of the PRA's rule-making functions (where the power is exercisable by the PRA).
12
F2813
Any expression which is used both in this section and section 59 has the same meaning in this section as in that section.
C24C2565 Statements and codes: procedure.
F191
Before a regulator issues a statement or code under section 64, it must—
a
consult the other regulator; and
b
after doing so, publish a draft of the statement or code in the way appearing to it to be best calculated to bring the statement or code to the attention of the public.
1A
The duty of the FCA to consult the PRA under subsection (1)(a) applies only in so far as the statement or code applies to persons in relation to whom approval is given under section 59 in respect of the performance by them of significant-influence functions (within the meaning of that section) in relation to the carrying on by PRA-authorised persons of regulated activities.
2
The draft must be accompanied by —
a
a cost benefit analysis; and
b
notice that representations about the proposal may be made to F112the regulator publishing the draft within a specified time.
3
4
If F127a regulator issues the proposed statement or code it must publish an account, in general terms, of—
a
the representations made to it in accordance with subsection (2)(b); and
b
its response to them.
5
If the statement or code differs from the draft published under subsection (1) in a way which is, in the opinion of F71the regulator issuing the statement or code, significant—
a
F145the regulator must (in addition to complying with subsection (4)) publish details of the difference; and
b
those details must be accompanied by a cost benefit analysis.
6
Neither subsection (2)(a) nor subsection (5)(b) applies if F122the regulator concerned considers—
a
that, making the appropriate comparison, there will be no increase in costs; or
b
that, making that comparison, there will be an increase in costs but the increase will be of minimal significance.
F677
Subsections (1)(b) and (2) to (6) do not apply in relation to—
a
a statement or code issued by the FCA if it considers that the delay involved in complying with them would be prejudicial to the interests of consumers, as defined in section 425A; or
b
a statement or code issued by the PRA if it considers that the delay involved in complying with them would—
i
be prejudicial to the safety and soundness of PRA-authorised persons, or
ii
in a case where section 2C applies, be prejudicial to securing the appropriate degree of protection for policyholders.
8
A statement or code must state that it is issued under section 64.
9
10
This section also applies to a proposal to alter or replace a statement or code.
F14211
Cost benefit analysis” means—
a
an analysis of the costs together with an analysis of the benefits that will arise—
i
if the proposed statement or code is issued, or
ii
if subsection (5)(b) applies, from the statement or code that has been issued, and
b
subject to subsection (11A), an estimate of those costs and of those benefits.
11A
If, in the opinion of the regulator concerned—
a
the costs or benefits referred to in subsection (11) cannot reasonably be estimated, or
b
it is not reasonably practicable to produce an estimate,
the cost benefit analysis need not estimate them, but must include a statement of the opinion of the regulator concerned and an explanation of it.
12
“The appropriate comparison” means—
a
in relation to subsection (2)(a), a comparison between the overall position if the statement or code is issued and the overall position if it is not issued;
b
in relation to subsection (5)(b), a comparison between the overall position after the issuing of the statement or code and the overall position before it was issued.
C16C27C38C45C6266 Disciplinary powers.
1
F20A regulator may take action against a person under this section F121(whether or not it has given its approval in relation to the person) if—
a
it appears to the F47regulator that he is guilty of misconduct; and
b
the F118regulator is satisfied that it is appropriate in all the circumstances to take action against him.
F882
For the purposes of action by the FCA, a person is guilty of misconduct if, while an approved person—
a
the person has failed to comply with a statement of principle issued by the FCA under section 64, or
b
the person has been knowingly concerned in a contravention by the relevant authorised person of a requirement imposed on that authorised person—
i
by or under this Act, or
ii
by any qualifying EU provision specified, or of a description specified, for the purposes of this subsection by the Treasury by order.
2A
For the purposes of action by the PRA, a person is guilty of misconduct if, while an approved person in respect of the performance of a significant-influence function in relation to the carrying on by a PRA-authorised person of a regulated activity—
a
the person has failed to comply with a statement of principle issued by the PRA under section 64, or
b
the person has been knowingly concerned in a contravention by the relevant authorised person of a requirement imposed on that authorised person—
i
by or under this Act, or
ii
by any qualifying EU provision specified, or of a description specified, for the purposes of this subsection by the Treasury by order.
3
If the F36regulator is entitled to take action under this section against a person, F2it may do one or more of the following——
C17a
impose a penalty on him of such amount as it considers appropriate;
F3aa
suspend, for such period as it considers appropriate, any approval of the performance by him of any function to which the approval relates;
ab
impose, for such period as it considers appropriate, such limitations or other restrictions in relation to the performance by him of any function to which any approval relates as it considers appropriate; or
b
publish a statement of his misconduct.
F43A
The period for which a suspension or restriction is to have effect may not exceed two years.
3B
A suspension or restriction may have effect in relation to part of a function.
3C
A restriction may, in particular, be imposed so as to require any person to take, or refrain from taking, specified action.
3D
F22The regulator taking action under this section may—
a
withdraw a suspension or restriction; or
b
vary a suspension or restriction so as to reduce the period for which it has effect or otherwise to limit its effect.
4
5
For the purposes of subsection (4)—
a
F49a regulator is to be treated as knowing of misconduct if it has information from which the misconduct can reasonably be inferred; and
b
proceedings against a person in respect of misconduct are to be treated as begun when a warning notice is given to him under section 67(1).
F75A
“Approval” means an approval given under section 59.
F1156
“Approved person” means a person in relation to whom an approval is given under that section.
7
“Relevant authorised person”, in relation to an approved person, means the person on whose application approval F8. . . was given.
F98
In relation to any time while a suspension is in force under subsection (3)(aa) in relation to part of a function, any reference in section 59 or 63A to the performance of a function includes the performance of part of a function.
9
If at any time a restriction imposed under subsection (3)(ab) is contravened, the approval in relation to the person concerned is to be treated for the purposes of sections 59 and 63A as if it had been withdrawn at that time.
C18C28C39C46C6267 Disciplinary measures: procedure and right to refer to Tribunal.
1
2
A warning notice about a proposal to impose a penalty must state the amount of the penalty.
F112A
A warning notice about a proposal—
a
to suspend an approval, or
b
to impose a restriction in relation to the performance of a function,
must state the period for which the suspension or restriction is to have effect.
3
A warning notice about a proposal to publish a statement must set out the terms of the statement.
C194
5
A decision notice about the imposition of a penalty must state the amount of the penalty.
F135A
A decision notice about—
a
the suspension of an approval, or
b
the imposition of a restriction in relation to the performance of a function,
must state the period for which the suspension or restriction is to have effect.
6
A decision notice about the publication of a statement must set out the terms of the statement.
7
F158
Approval” means an approval given under section 59.
9
“Other interested parties”, in relation to F66a person (“A”) in relation to whom approval has been given, are—
a
the person on whose application the approval was given (“B”); and
b
the person by whom A's services are retained, if not B.
F26...
C29C40C47C6268 Publication.
After a statement under section 66 is published, F131the regulator publishing it must send a copy of it to the person concerned and to any person to whom a copy of the decision notice was given.
C30C41C43C48C6269 Statement of policy.
1
F40Each regulator must prepare and issue a statement of its policy with respect to—
F16a
the imposition of penalties, suspensions or restrictions under section 66;
b
the amount of penalties under that section; and
c
the period for which suspensions or restrictions under that section are to have effect.
2
F62A regulator's policy in determining what the amount of a penalty should be F17, or what the period for which a suspension or restriction is to have effect should be, must include having regard to—
a
the seriousness of the misconduct in question in relation to the nature of the principle or requirement concerned;
b
the extent to which that misconduct was deliberate or reckless; and
c
whether F18the person against whom action is to be taken is an individual.
3
4
If a statement issued under this section is altered or F77replaced by a regulator, the regulator must issue the altered or replacement statement.
5
F134A regulator must, without delay, give the Treasury a copy of any statement which it publishes under this section.
6
7
The F55regulator may charge a reasonable fee for providing a person with a copy of the statement.
8
C31C42C44C49C6270 Statements of policy: procedure.
1
2
The draft must be accompanied by notice that representations about the proposal may be made to the F58regulator within a specified time.
3
Before issuing the proposed statement, the F137regulator must have regard to any representations made to it in accordance with subsection (2).
4
If the F84regulator issues the proposed statement it must publish an account, in general terms, of—
a
the representations made to it in accordance with subsection (2); and
b
its response to them.
5
6
7
This section also applies to a proposal to alter or replace a statement.
Breach of statutory duty
I971 Actions for damages.
1
A contravention of section 56(6) or 59(1) or (2) is actionable at the suit of a private person who suffers loss as a result of the contravention, subject to the defences and other incidents applying to actions for breach of statutory duty.
2
In prescribed cases, a contravention of that kind which would be actionable at the suit of a private person is actionable at the suit of a person who is not a private person, subject to the defences and other incidents applying to actions for breach of statutory duty.
3
“Private person” has such meaning as may be prescribed.
Pt. V (ss. 56-71) modified (1.12.2001) by S.I. 2001/3592, arts. 1(2), 114(3)(a), 128(3)(a) (with art. 23(2))