Related provisions for GENPRU 1.2.1
Client assets report
Whether in the auditor's opinion |
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(1) |
the firm has maintained systems adequate to enable it to comply with the custody rules, the collateral rules and the client money rules3 (except CASS 5.2)13 throughout the period since the last date as at which a report was made; 33 |
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(2) |
the firm was in compliance with the custody rules, the collateral rules and the client money rules3 (except CASS 5.2),13 at the date as at which the report has been made; 33 |
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(3) |
in the case of an investment management firm, personal investment firm, a UCITS firm,2securities and futures firm or BIPRU investment firm,2 when a subsidiary of the firm is a nominee company in whose name custody assets of the firm are registered that nominee company has maintained throughout the year systems for the custody, identification and control of custody assets which: 22 |
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(a) |
are adequate; and |
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(b) |
include reconciliations at appropriate intervals between the records maintained (whether by the firm or the nominee company) and statements or confirmations from custodians or from the person who maintains the record of legal entitlement; and |
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(4) |
if there has been a secondary pooling event during the period, the firm has 1complied with the rules43CASS 5.6 and CASS 7A43 (Client money distribution)1 in relation to that pooling event. 3 |
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