Related provisions for CONC 8.7.7
Table of rules in FEES 4 that also apply to FEES 13 to the extent that in FEES 4 they apply to fees payable to the FCA.
FEES 4 rules incorporated into FEES 13 |
Description |
Method of payment |
|
Calculation of periodic fee and tariff base for a firm’s second financial year |
|
How FEES 4.2.7R applies in relation to an incoming EEA firm or an incoming Treaty firm |
|
Extension of time |
|
FEES 4.2.11R (first entry only) |
Due date and changes in permission for periodic fees |
Group of firms |
|
Firms applying to cancel or vary permission before start of period |
|
Information on which fees are calculated |
19For a common platform firm:
- (1)
the MiFID Org Regulation applies, as summarised in SYSC 1 Annex 1 3.2G, SYSC 1 Annex 1 3.2-AR and SYSC 1 Annex 1 3.2-BR; and
- (2)
the rules and guidance apply as set out in the table below:
Subject
Applicable rule or guidance
Risk assessment
Risk management
Risk control: remuneration
Risk control: additional provisions
Additional rules for CCR firms
Table of rules in FEES 4that also apply to FEES 7 to the extent that in FEES 4 they apply to fees payable to the FCA6
Description |
|
Method of payment |
|
Modifications for persons becoming subject to periodic fees during the course of a fee year |
|
Calculating the fee in the firm’s first year of authorisation |
|
Calculating fees in the second fee-year where the firm received permission between 1 January and 31 March in its first fee year |
|
Calculating all other fees in the second and subsequent years of authorisation where a full year of tariff data is not available |
|
How FEES 4.2.7 R applies in relation to an incoming EEA firm or an incoming Treaty firm |
|
Extension of time |
|
FEES 4.2.11 R (first entry only) |
Due date and changes in permission for periodic fees |
Groups of firms |
|
Firms applying to cancel or vary permission before start of period |
|
Information on which fees are calculated |
Table of FEES 4 rules that correspond to FEES 7 rules
FEES 4 rules |
Corresponding FEES 7 rules |
Part 1 of 6FEES 4 Annex 2A6 |
Part 1 of FEES 7 Annex 11 |
1Part 2 of FEES 4 Annex 11 |
Part 1 of FEES 7 Annex 1 |
1Part 5 of FEES 4 Annex 11 |
Part 1 of FEES 7 Annex 1 |
This table belongs to COLL 5.5.1 R.
Rule |
Authorised fund manager of an AUT or ACS4 4 |
Depositary of an ICVC |
Depositary of an AUT or ACS |
||
5.5.3R |
x |
x |
|||
5.5.4R(1) to (3) |
x |
x |
|||
5.5.4R(4)&(5) |
x |
x |
|||
5.5.4R(6) |
x |
x |
|||
5.5.4R(7) |
x |
x |
x |
x |
x |
5.5.4R(8) |
x |
||||
5.5.5R(1) to (3) |
x |
x |
|||
5.5.6R(1)&(2) |
x |
x |
x |
||
5.5.6R(3) |
x |
||||
5.5.7R(1)-(3) |
x |
x |
x |
||
5.5.7R(4) |
x |
x |
x |
||
5.5.8R |
x |
x |
x |
||
5.5.9R |
x |
x |
x |
||
5.5.10G |
x |
x |
x |
x |
x |
Note: x means "applies" |
7For a common platform firm:
- (1)
the MiFID Org Regulation applies, as summarised in SYSC 1 Annex 1 3.2G, SYSC 1 Annex 1 3.2-AR and SYSC 1 Annex 1 3.2-BR; and
- (2)
the rules and guidance apply as set out in the table below:
Subject
Applicable rule or guidance
General requirements
21For a common platform firm:
- (1)
the MiFID Org Regulation applies, as summarised in SYSC 1 Annex 1 3.2G, SYSC 1 Annex 1 3.2-AR and SYSC 1 Annex 1 3.2-BR; and
- (2)
the rules and guidance apply as set out in the table below:
Subject
Applicable rule or guidance
General requirements
Business continuity
Audit committee
Persons who effectively direct the business
SYSC 4.2.1R, SYSC 4.2.2R, SYSC 4.2.3G, SYSC 4.2.4G, SYSC 4.2.5G, SYSC 4.2.6R
Responsibility of senior personnel
Management body
Nominations committee
Management responsibilities maps for UK relevant authorised persons
Management responsibilities maps for non-UK relevant authorised persons
Senior management responsibilities for UK relevant authorised persons
Handover procedures and material