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 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 |
|||||
186.6.3CR* |
x |
x |
||||
186.6.3DG* |
x |
x |
||||
186.6.3ER* |
x |
x |
||||
186.6.3FR* |
x |
x |
||||
6.6.4R |
x |
x |
||||
186.6.4BR* |
x |
x |
||||
186.6.4CR* |
x |
x |
||||
186.6.4DG* |
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. |
|||||
18(6) |
*COLL 6.6.3CR, COLL 6.6.3DG, COLL 6.6.3ER and COLL 6.6.3FR apply only to the authorised fund manager of a FIIA. |
|||||
18(7) |
*COLL 6.6.4BR, COLL 6.6.4CR, and COLL 6.6.4DG apply only to the depositary of a FIIA. |
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 | |
26x |
26x |
26x |
26x |
|||
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" |
10For 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
Competent employees rule, knowledge and competence and segregation11 of functions
SYSC 5.1.2G to SYSC 5.1.5AG, SYSC 5.1.5AAR, SYSC 5.1.5ABR, SYSC 5.1.5ACG to SYSC 5.1.5AEG,11SYSC 5.1.7R, SYSC 5.1.8G to SYSC 5.1.11G
Certification regime
Table: To whom does COCON apply? 9
9Persons to whom COCON applies |
Comments9 |
(1) An SMF manager.9 |
|
(2) An employee (“P”) of an SMCR firm12 who:9 (a) performs the function of an SMF manager;9 (b) is not an approved person to perform the function in question; and9 (c) is required to be an approved person at the time P performs that function.9 |
|
(3) An employee of an SMCR firm12 who would be performing an FCA-designated senior management function12 but for SUP 10C.3.13R (The 12-week rule). 9 |
|
(4) A certification employee of an SMCR firm12.9 |
This applies even if the certification employee has not been notified that COCON applies to them or notified of the rules that apply to them.9 |
(5) An employee of an SMCR firm who would be performing an FCA certification function but for SYSC 27.5.1R (Emergency appointments) or SYSC 27.5.3R (Temporary12 UK role). 9 12 |
|
(6) Any employee of an SMCR firm12 not coming within another row of this table, except one listed in column (2) of this row (6) of this table12. 9 |
(A)12 This row (6)12 does not apply to an employee of an SMCR firm12 who only performs functions falling within the scope of the following roles:9 (a) receptionists; (b) switchboard operators; (c) post room staff; (d) reprographics/print room staff; (e) property/facilities management; (f) events management; (g) security guards; (h) invoice processing; (i) audio visual technicians; (j) vending machine staff; (k) medical staff; (l) archive records management; (m) drivers; (n) corporate social responsibility staff; (o) taking part in following activities of the firm:14 14 (i) the firm’s activities as a data controller; or 14(ii) the firm’s activities of data processing; as defined in the data protection legislation, but subject to Note (1) of this table14;data protection legislation;10 (p) cleaners; (q) catering staff; (r) personal assistant or secretary; (s) information technology support (ie, helpdesk); and (t) human resources administrators /processors. 121417 |
(7) [deleted]12 9 |
9 |
(8) A board director of: a UK SMCR firm.12 9999 |
9 |
9 | |
14Note (1): A function is only within paragraph (o) of column (2) (Comments) of row (6) of this table if the function does not require the employee concerned to exercise a significant amount of discretion or judgment. |