SYSC 25.2 Management responsibilities maps: Main rules
General rule
- (1)
1A UK SMCR firm must, at all times, have a comprehensive and up-to-date document (the management responsibilities map) that describes its management and governance arrangements.
- (2)
An overseas SMCR firm must, at all times, have a comprehensive and up-to-date document (the management responsibilities map) that describes the management and governance arrangements for any branch it maintains in the United Kingdom.
- (3)
A management responsibilities map must include:
- (a)
details of the reporting lines and the lines of responsibility; and
- (b)
reasonable details about:
- (i)
the persons who are part of those arrangements; and
- (ii)
their responsibilities.
(See further requirements in SYSC 25.2.3R.)
- (i)
- (a)
1The firm’s management responsibilities map must show clearly how any responsibilities covered by a firm’s management responsibilities map are shared or divided between different persons.
Specific requirements
1A management responsibilities map must include:
- (1)
- (a)
the names of all the firm’s:
- (i)
approved persons (including PRA approved persons);
- (ii)
members of its governing body and (if different) management body who are not approved persons;
- (iii)
- (iv)
senior personnel; and
- (i)
- (b)
details of the responsibilities which they hold;
- (a)
- (2)
all responsibilities described in any current statement of responsibilities;
- (3)
details of the management and governance arrangements relating to:
- (a)
- (b)
including the identity of the persons to whom those functions are allocated;
- (4)
the reasons why (if it has done any of these things) the firm:
- (a)
allocates responsibility for an FCA-prescribed senior management responsibility to more than one person jointly; or
- (b)
divides responsibility for an FCA-prescribed senior management responsibility between different persons;
- (a)
- (5)
details about the functions allocated under, SYSC 26 (Senior managers and certification regime: Overall and local responsibility), including:
- (a)
what the activities, business areas and management functions allocated under that chapter are;
- (b)
the management and governance arrangements relating to them;
- (c)
[deleted]
- (d)
the reasons why (if it has done this) the firm allocates responsibility for any such function to more than one person jointly; and
- (e)
the identity of the persons to whom those functions are allocated;
- (a)
- (6)
matters reserved to the governing body (including the terms of reference of its committees) and, if different, the management body;
- (7)
details of how the firm’s management and governance arrangements fit together with:
- (8)
details of the extent to which the firm’s management and governance arrangements are provided by, or shared with, other members of its group or others;
- (9)
details of the reporting lines and the lines of responsibility (if any) between the firm and those who carry out functions in relation to it and:
- (10)
reasonable information about the persons described or identified in the management responsibilities map, including:
- (11)
details of how (1) to (10) fit together and fit into the firm’s management and governance arrangements as a whole.
1SYSC 25.2.3R(1) does not require the firm to include the names of approved persons under SUP 10A (FCA Approved Persons in Appointed Representatives)2.