Related provisions for CONC 8.7.7
Subject to CASS 7.10.35 R only the client money rules listed in the table below apply to a trustee firm in connection with money that the firm receives, or holds for or on behalf of a client in the course of or in connection with its designated investment business which is not MiFID business.
Reference |
Rule |
CASS 7.10.1 R to CASS 7.10.6 G, and CASS 7.10.16 R to CASS 7.10.27 R |
Application |
Trustee firms |
|
General purpose |
|
Depositing client money |
|
Selection, appointment and review of third parties |
|
Client bank accounts |
|
Diversification of client money |
|
Qualifying money market funds |
|
CASS 7.15.5 R (3), CASS 7.15.7 R and CASS 7.15.12 R to CASS 7.15.34 G |
Reconciliation of client money balances |
The standard methods of internal client money reconciliation |
|
Requirement |
Table: Capital charges relating to consolidated requirement components
This table belongs to BIPRU 8.7.11 R
Rules on which the consolidated requirement component are based (the applicable risk capital requirement) |
|
This table belongs to COLL 5.2.1 R.
Rule |
Authorised fund manager of an AUT or ACS17 17 |
Depositary of an ICVC, AUT or ACS17 |
Authorised fund manager of an AUT or ACS, or ACD of an ICVC, that is a regulated money market fund23 |
17 | ||
5.2.3R 23 |
x |
x |
x23 |
|||
235.2.4R |
x |
x |
||||
235.2.4AG |
x |
|||||
235.2.5R to 5.2.9R |
x |
x |
||||
125.2.9AR |
x |
x |
||||
5.2.10R(1) |
x |
x |
||||
5.2.10R(2)(a)&(b) |
x |
x |
||||
5.2.10R(2)(c) |
x |
17 | ||||
5.2.10R(3) |
x |
x |
||||
5.2.10AR to 5.2.10EG7 |
x |
x |
||||
x |
x |
|||||
5.2.17AR and 5.2.17BG24 |
x |
x |
x |
|||
235.2.20AR |
x |
x |
x |
|||
235.2.20BG |
x |
x |
||||
235.2.21R |
x |
x |
x |
|||
5.2.22R |
x |
x |
x23 |
|||
135.2.22AG |
x |
x |
x |
x |
x23 |
17 |
5.2.23R(1) |
x |
x |
x |
x23 |
||
5.2.23R(2) to (4)7 |
x |
x |
x |
x |
17 | |
135.2.23CR |
x |
x |
||||
5.2.26R |
x |
x |
||||
5.2.27R |
x |
|||||
5.2.28R |
x |
|||||
5.2.29R 23 |
x23 |
x23 |
x23 |
|||
235.2.30R |
x |
x |
x |
x |
||
235.2.31R to 5.2.33R |
x |
x |
x |
|||
135.2.34G |
x |
x |
||||
Note: x means "applies" |
This table belongs to COLL 6.6.1 R.
Depositary of an ICVC |
Authorised fund manager of an AUT or ACS10 10 |
Depositary of an AUT or ACS10 10 |
||||
6.6.1R |
x |
x |
x |
x |
x |
x |
6.6.3R |
x |
x |
x |
x |
x |
|
106.6.3AR* |
x |
|||||
106.6.3BR* |
x |
|||||
6.6.4R |
x |
x |
||||
6.6.5R |
x |
x |
x |
x |
x9 |
|
x |
x10 |
|||||
x |
x10 |
|||||
6.6.6R |
x |
x |
||||
6.6.7R |
x |
x |
||||
6.6.8R |
x |
x |
||||
6.6.9R |
x |
x |
||||
6.6.10R |
x |
x |
x |
x |
||
6.6.11G |
x |
x |
||||
6.6.12R |
x |
x |
||||
6.6.13R |
x |
x |
x |
x |
x |
|
6.6.14R |
x |
x |
x |
x |
||
6.6.15R |
x |
x |
x |
x |
8 | x |
86.6.15AR* |
x |
x |
||||
6.6.16G |
x |
x |
x |
x |
||
6.6.17R |
x |
x |
x |
x |
x |
|
6.6.18G |
x |
x |
x |
x |
x |
|
146.6.19R |
x |
x |
x |
|||
146.6.20R |
x |
x |
x |
|||
146.6.21R |
x |
x |
x |
|||
146.6.22G |
x |
x |
x |
|||
146.6.23E |
x |
x |
x |
|||
146.6.24G |
x |
x |
x |
|||
146.6.25R |
x |
x |
x |
|||
146.6.26G |
x |
x |
x |
|||
156.6.27R |
x |
x |
x |
|||
8Notes: |
(1) |
“x” means “applies”, but not every paragraph in every rule will necessarily apply. |
||||
8(2) |
* COLL 6.6.3A Rand COLL 6.6.3B R only apply to authorised contractual scheme managers of ACSs.10 10 |
|||||
10(3) |
* COLL 6.6.5A R and COLL 6.6.5B G only apply to ACDs of ICVCs which are umbrellas and authorised contractual scheme managers of co-ownership schemes which are umbrellas.10 |
|||||
10(4) |
* COLL 6.6.15A R has a special application as set out in COLL 6.6.15AR (1).10 |
|||||
14(5) |
COLL 6.6.20R to COLL 6.6.27R15 have a special application as set out in COLL 6.6.19R. |
16For 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
Adequate policy and procedures
Compliance function
Internal audit
Financial crime