REC 4.1 Application and purpose
Application
Purpose
This chapter sets out the FCA's3 approach to the supervision of recognised bodies and contains guidance on:
3-
(1)
the arrangements for investigating complaints about recognised bodies made under section 299 of the Act (Complaints about recognised bodies) (REC 4.4);
-
(2)
the FCA's3approach to the exercise of its powers under:
3- (a)
(for RIEs)2section 296 of the Act (Appropriate regulator's3 power to give directions) 4to give directions to recognised bodies (REC 4.6);
332 - (b)
(for RIEs)2section 297 of the Act (Revoking recognition) 4to revoke recognition orders (REC 4.7);
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and the procedure to be followed in those cases and where the FCA3 decides to refuse an application for recognition as a recognised body (REC 4.8); and
3 - (a)
-
(3)
the FCA's3approach to, and procedures for, the exercise of its powers under sections 166 and 167 of the Companies Act 1989 to give directions to UK RIEs3in relation to action under their default rules (REC 4.5).
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The FCA's3 general approach to supervision is intended to ensure that:
3-
(1)
the FCA3 has sufficient assurance that recognised bodies continue at all times to satisfy the recognised body requirements; and21
32 -
(2)
the FCA's3 supervisory resources are allocated, and supervisory effort is applied, in ways which reflect the actual risks to the regulatory objectives.
3
In applying these principles of risk based supervision to the supervision of recognised bodies, the FCA3 has had particular regard to the special position of recognised bodies under the Act as well as to its general duties set out in section 2 of the Act (The FCA's 3general duties).
3 3More information on the supervision of UK recognised bodies is given in REC 4.2 and REC 4.3. More information on the supervision of overseas recognised bodies is given in REC 6.