DEC 1
Application,
Purpose and Introduction
DEC 1.1
Application and Purpose
- 01/12/2004
Application
DEC 1.1.1
See Notes
- 01/07/2005
Purpose
DEC 1.1.2
See Notes
- 21/11/2002
DEC 1.1.3
See Notes
- 21/11/2002
DEC 1.1.4
See Notes
- 21/11/2002
DEC 1.2
Introduction
- 01/12/2004
DEC and the other manuals
DEC 1.2.1
See Notes
- 01/12/2004
Statutory notices
DEC 1.2.2
See Notes
- 01/12/2004
DEC 1.2.3
See Notes
Summary of statutory and related notices
Reference to the Act | Notice | Description | Further information |
Section 387 | Warning notice | A warning notice gives the recipient details about action that the FSA proposes to take and about the right to make representations. | DEC 2.2 |
Section 388 | Decision notice | A decision notice gives the recipient details about action that the FSA has decided to take. | DEC 2.3.1 G to DEC 2.3.5 G |
Section 388 | Further decision notice | A further decision notice gives the recipient details about different action from that set out in a decision notice and which the FSA has decided to take concerning the same matter covered by the decision notice . The FSA may give a further decision notice only if the person to whom the original decision notice was given consents. | DEC 2.3.6 G to DEC 2.3.7 G |
Section 389 | Notice of discontinuance | A notice of discontinuance identifies proceedings set out in a warning notice or decision notice and which are not being taken or are being discontinued. | DEC 2.3.8 G to DEC 2.3.10 G |
Section 390 | Final notice | A final notice sets out the terms of the action that the FSA has decided on and the date it takes effect. | DEC 2.3.11 G to DEC 2.3.12 G |
Section 395(13) | Supervisory notices | A supervisory notice gives the recipient details about action that the FSA has taken or proposes to take. | Statutory notice procedure: Supervisory notice procedure |
- 01/12/2004
Decision making on giving statutory notices
DEC 1.2.4
See Notes
- 01/12/2004
DEC 1.2.5
See Notes
- 01/12/2004
DEC 1.2.6
See Notes
- 20/10/2005
DEC 1.2.7
See Notes
- 20/10/2005
Other decisions
DEC 1.2.8
See Notes
- 20/10/2005
DEC 1.2.9
See Notes
- 01/12/2004
DEC 1.2.10
See Notes
- 01/12/2004
DEC 2
Statutory notice procedure: Warning notice and decision notice procedure
DEC 2.1
Warning notice and decision notice procedure: Introduction
- 01/12/2004
DEC 2.1.1
See Notes
- 21/11/2002
DEC 2.1.2
See Notes
- 01/12/2004
DEC 2.1.3
See Notes
- 01/12/2004
DEC 2.2
Warning notice procedure
- 01/12/2004
DEC 2.2.1
See Notes
- 01/12/2004
DEC 2.2.2
See Notes
- 01/12/2004
DEC 2.2.3
See Notes
- 01/12/2004
DEC 2.2.4
See Notes
- 01/12/2004
DEC 2.2.5
See Notes
- 01/12/2004
DEC 2.2.6
See Notes
- 01/12/2004
DEC 2.2.7
See Notes
- 01/12/2004
DEC 2.2.8
See Notes
- 01/12/2004
DEC 2.2.9
See Notes
- 01/12/2004
DEC 2.3
Decision notice procedure
- 01/12/2004
DEC 2.3.1
See Notes
- 01/12/2004
DEC 2.3.2
See Notes
- 01/12/2004
DEC 2.3.3
See Notes
- 01/12/2004
DEC 2.3.4
See Notes
- 01/12/2004
DEC 2.3.5
See Notes
- 01/12/2004
Further decision notice
DEC 2.3.6
See Notes
- 01/12/2004
DEC 2.3.7
See Notes
- 01/12/2004
Notice of discontinuance
DEC 2.3.8
See Notes
- 01/12/2004
DEC 2.3.9
See Notes
- 01/12/2004
DEC 2.3.10
See Notes
- 01/12/2004
Final notice
DEC 2.3.11
See Notes
- 01/12/2004
DEC 2.3.12
See Notes
- 01/12/2004
DEC 2.4
Third party rights and access to FSA material
- 01/12/2004
DEC 2.4.1
See Notes
- 01/12/2004
Access to FSA material
DEC 2.4.2
See Notes
- 01/12/2004
DEC 2.4.3
See Notes
- 01/12/2004
DEC 2.4.4
See Notes
- 01/12/2004
DEC 2.4.5
See Notes
- 01/12/2004
DEC 2.4.6
See Notes
- 01/12/2004
Third party rights
DEC 2.4.7
See Notes
- 01/12/2004
DEC 2.4.8
See Notes
- 01/12/2004
DEC 2.4.9
See Notes
- 01/12/2004
DEC 2.4.10
See Notes
- 01/12/2004
DEC 2.4.11
See Notes
- 01/12/2004
DEC 2.4.12
See Notes
- 01/12/2004
DEC 2 Annex 1
Statutory notice procedure: Warning notice and decision notice procedure
- 01/12/2004
See Notes
List of warning notices and decision notices under the Act (other than Part VI)and certain other enactments
Note: Third party rights and access to FSA material apply to the powers listed in this table where indicated by an asterisk * (see DEC 2.4) | |||
Section of the Act | Description | Handbook reference | Decision maker |
52(6)(a) | when the FSA is proposing to grant an application for a Part IV permission with a limitation or a requirement which was not applied for, or with a narrower description of regulated activity than that applied for | AUTH 3 | Executive procedures |
52(6)(b) | when the FSA is proposing to grant an application to vary a firm's Part IV permission but, otherwise than as part of the application, to restrict the Part IV permission (either by imposing a limitation or requirement which was not applied for or by specifying a narrower description of regulated activity than that applied for) | SUP 6 | Executive procedures |
52(7) | when the FSA is proposing to refuse an application for a Part IV permission | AUTH 3 | Executive procedures |
52(9)(a) | when the FSA is deciding to grant an application for a Part IV permission with a limitation or a requirement which was not applied for, or with a narrower description of regulated activity than that applied for | AUTH 3 | RDC / executive procedures (Note 1) |
52(9)(b) | when the FSA is deciding to grant an application to vary a firm's Part IV permission but, otherwise than as part of the application, to restrict the Part IV permission (either by imposing a limitation or requirement which was not applied for or by specifying a narrower description of regulated activity than that applied for) | SUP 6 | RDC / executive procedures (Note 1) |
52(9)(c) | when the FSA is deciding to refuse an application for a Part IV permission | AUTH 3 | RDC / executive procedures (Note 1A) |
52(7) | when the FSA is proposing to refuse an application to vary a firm's Part IV permission | SUP 6 | Executive procedures |
52(9)(c) | when the FSA is deciding to refuse an application to vary a firm's Part IV permission | SUP 6 | RDC / executive procedures (Note 1) |
52(7) | when the FSA is proposing to refuse an application to cancel a firm's Part IV permission | SUP 6 | Executive procedures |
52(9)(c) | when the FSA is deciding to refuse an application to cancel a firm's Part IV permission | SUP 6 | RDC / executive procedures (Note 1A) |
54(1)/(2) | when the FSA is proposing/deciding to cancel a firm's Part IV permission otherwise than at its request* | ENF 5 | RDC |
57(1)/(3) | when the FSA is proposing/deciding to make a prohibition order against an individual* | ENF 8 | RDC |
58(3)/(4) | when the FSA is proposing/deciding to refuse an application for the variation or revocation of a prohibition order | ENF 8 | RDC |
62(2) | when the FSA is proposing to refuse an application for approval of a person performing a controlled function under section 59 of the Act (in conjunction with an application for Part IV permission) | AUTH 6 | Executive procedures |
62(3) | when the FSA is deciding to refuse an application for approval of a person performing a controlled function under section 59 of the Act (in conjunction with an application for Part IV permission) | AUTH 6 | RDC / executive procedures (Note 1A) |
62(2) | when the FSA is proposing to refuse an application for approval of a person performing a controlled function (otherwise than in conjunction with an application for Part IV permission) | SUP 10 | Executive procedures |
62(3) | when the FSA is deciding to refuse an application for approval of a person performing a controlled function (otherwise than in conjunction with an application for Part IV permission) | SUP 10 | RDC / executive procedures (Note 1A) |
63(3)/(4) | when the FSA is proposing/deciding to withdraw approval from an approved person * | ENF 8 | RDC |
67(1)/(4) | when the FSA is proposing/deciding to take action against an approved person by exercising the disciplinary powers conferred by section 66* | ENF 11/12/13 | RDC |
76(4)/(5) | when the FSA is proposing/deciding to refuse an application for listing of securities | LR 2 and 3 | RDC |
78(10)/(11)(a) | when the FSA has suspended the listing of securities and is proposing/deciding to refuse an application by an issuer for cancellation of the suspension | LR 5 | RDC/ Executive procedures |
87M(2)/(3) | when the FSA is proposing/deciding to publish a statement censuring an issuer of transferable securities, a person offering transferable securities to the public or a person requesting the admission of transferable securities to trading on a regulated market. | ENF 21 | RDC |
88(4) | when the FSA is proposing/deciding to (1) refuse a person's application for approval as a sponsor; or (2) on its own initiative, cancel a person's approval as a sponsor | LR 8 | RDC |
88(4) | when the FSA is proposing/deciding to cancel a person's approval as a sponsor at the sponsor's request | ENF 21 | Executive procedures |
89(2)/(3) | when the FSA is proposing/deciding to publish a statement censuring a sponsor | ENF 21 | RDC |
92(1)/(4) | when the FSA is proposing/deciding to take action against any person described under section 91 for breach of LR | ENF 21 | RDC |
126(1)/127(1) | when the FSA is proposing/deciding to impose a sanction for market abuse * | ENF 14 | RDC |
183(3)/186(1) | when the FSA is proposing/deciding to object to a change in control following receipt of a notice of control | SUP 11 | RDC / Executive procedures (Note 13) |
185(3)/(4) | when the FSA is proposing/deciding to approve a change in control following receipt of a notice of control but subject to conditions | SUP 11 | RDC/Executive procedures (Note 13) |
187(1)/(3) and 188(1) | when the FSA is proposing/deciding to object to a person who has failed to submit a notice of control or a notice on acquiring, or increasing, control, or to object to an existing controller | SUP 11 | RDC/Executive procedures (Note 13) |
200(4)/(5) | when the FSA is proposing/deciding to refuse an application for variation or rescission of a requirement imposed on an incoming firm | ENF 4 | RDC / executive procedures (Note 1) |
207(1)/208(1) | when the FSA is proposing/deciding to publish a statement in respect of an authorised person (under section 205) or impose a financial penalty on an authorised person (under section 206)* | ENF 11/12 | RDC |
245(1)/(2) | when the FSA is proposing/deciding to refuse an application for an authorisation order declaring a unit trust scheme to be an AUT | COLL 2 and CIS 16 | RDC / executive procedures (Note 2) |
252(1)/(4) | when the FSA is proposing/deciding to refuse approval of a proposal to replace the trustee or manager of an AUT | COLL 2 and CIS 16 | Executive procedures |
255(1)/(2) | when the FSA is proposing/deciding to make an order under section 254 revoking the authorisation order of an AUT * | ENF 16 | RDC |
260(1)/(2) | when the FSA, on an application to revoke or vary a direction under section 257, proposes/decides to refuse to revoke or vary the direction or proposes/decides to vary the direction otherwise than in accordance with the application | ENF 16 | RDC |
264(2)/265(4) (Note 3) | when the FSA is notifying/deciding not to withdraw a notice, to the operator and relevant EEA State authorities, that the way in which a collective investment scheme constituted in another EEA State intends to invite persons in the United Kingdom to participate in the scheme does not comply with UK law | COLL 9 and CIS 16 | Executive procedures |
269(1)/(2) | when the FSA, on an application under subsection (4) or (5) of section 267 by an operator of a section 264 recognised scheme to revoke or vary a direction that the promotion of the scheme be suspended, proposes/decides to refuse the application or to vary the direction otherwise than in accordance with the application | ENF 16 | RDC |
271(1)/(3) | when the FSA is proposing/deciding to refuse approval of a collective investment scheme as a recognised scheme under section 270 | COLL 9 and CIS 16 | Executive procedures |
276(1)/(2) | when the FSA is proposing/deciding to refuse an application for an order declaring a collective investment scheme to be a recognised scheme under section 272 | COLL 9 and CIS 16 | Executive procedures |
280(1)/(2) | when the FSA is proposing/deciding to direct that a section 270 recognised scheme is to cease to be recognised or to revoke a section 272 order in respect of a recognised scheme * | ENF 16 | RDC |
321(8)/(9) | when the FSA is proposing/deciding to refuse an application for variation or revocation of a direction or a requirement imposed on a former underwriting member of Lloyd's* | None | RDC |
331(1)/(3) | when the FSA is proposing/deciding to make an order disapplying the exemption from the general prohibition under section 327* | ENF 18 | RDC |
331(7)/(8) | when the FSA is proposing/deciding to refuse an application for the variation or revocation of an order made under section 329* | ENF 18 | RDC |
345(2)/(3) | when the FSA is proposing/deciding to disqualify an auditor or actuary from being the auditor of, or acting as an actuary for, any authorised person or class of authorised person or from being the auditor of any AUT or ICVC * | ENF 17 | RDC |
385(1)/386 (1) | when the FSA is proposing/deciding to exercise the power under section 384(5) to require a person to pay restitution* | ENF 9 | RDC |
Paragraph 15(6)(c) of Schedule 3 (Note 3) | when the FSA is notifying/ deciding not to withdraw a notice issued to an EEA UCITS management company wishing to deal in units in a collective investment scheme in the United Kingdom and relevant EEA State authorities, that the way in which the EEA UCITS management company intends to market a relevant scheme in the United Kingdom does not comply with UK law. | AUTH 5 | Executive procedures |
Paragraph 19(8)/(12) of Schedule 3 | when the FSA is proposing/deciding to refuse to give a consent notice to a UK firm wishing to establish a branch under an EEA right | SUP 13SUP 13 | RDC |
Section of the Building Societies Act 1986 (Note 5) | Description | Handbook reference | Decision maker |
36A(5)/(5A) (Note 6) | when the FSA is proposing/deciding to issue a prohibition order under section 36A prohibiting the continuance or carrying on of an activity and requiring the disposal of assets acquired or otherwise in a building society's possession by virtue of the activity, where the society has failed to carry into effect a restructuring plan which it has been directed to carry out by the FSA under section 36(8) | None | RDC |
46A(1)(a)/(3) (a) (Note 7) | when the FSA is proposing/deciding to give a direction under section 36(3), (5), (6), (7) or (10) requiring a building society to submit for its approval a restructuring plan or to submit to the society's members the requisite transfer resolutions for a transfer of the society's business to a company or (if such a direction is given) imposing limitations on the issue of shares, acceptance of deposits or making of loans or requiring the society to take certain steps or refrain from certain action or requiring the removal of a director or other officer (Note 8)* | None | RDC |
46A(1)(b)/(3) (b) (Note 7) | when the FSA is proposing/deciding to give a direction under section 42B(1) (other than a direction varying a previous direction with the agreement of the building society concerned) that a building society transfers all its engagements to one or more other building societies under section 94 or that it transfers its business to an existing company under section 97* | None | RDC / executive procedures (Note 9) |
93(6) (Note 10) | when the FSA , on an amalgamation between building societies each of which has a Part IV permission to accept deposits , notifies the successor society of the terms of its Part IV permission | None | RDC / executive procedures (Note 11) |
Section of the Credit Unions Act 1979 | Description | Handbook reference | Decision maker |
20 | where the FSA is proposing to cancel or suspend the registration of a credit union or to petition for the winding up of a credit union | CRED 15 Annex 1 G | RDC |
Section of the Friendly Societies Act 1992 (Note 5) | Description | Handbook reference | Decision maker |
58A(1)(a)/(3) (a) (Note 12) | when the FSA is proposing/deciding to give a direction under section 54 or section 55 requiring a friendly society to take or refrain from taking steps where certain activities have become disproportionate to those of the friendly society group or, as the case may be, the society, or varying such a direction other than at the request of the society* | None | RDC |
58A(1)(b)/(3) (b) (Note 12) | when the FSA is proposing/deciding to give a direction under section 90 providing for a transfer of the engagements of a friendly society * | None | RDC |
85(4A) (Note 10) | when the FSA, on an amalgamation between friendly societies each of which has a Part IV permission, notifies the successor society of the terms of its Part IV permission | None | RDC / executive procedures (Note 11) |
OEIC Regulations reference | Description | Handbook reference | Decision maker |
Regulation 16(1)/(2) | when the FSA is proposing/deciding to refuse an application for an authorisation order in respect of a proposed ICVC | COLL 2 and CIS 16 | RDC / executive procedures (Note 2) |
Regulation 22(1)/(2)/(4)/ (5) | when the FSA is proposing/deciding to refuse approval of (or, having given a warning notice , deciding to approve (Note 4)) a proposal to replace the depositary or director of an ICVC , or any other proposal/decision falling within regulation 21 | COLL 2 and CIS 16 | Executive procedures |
Regulation 24(1)/(2) | when the FSA is proposing/deciding to revoke an authorisation order relating to an ICVC under regulation 23(1)* | ENF 16 | RDC |
Regulation 28(1)/(2) | when the FSA is proposing/deciding to refuse an application to revoke or vary a direction in accordance with a request under regulation 25(7) or to vary the direction in accordance with the application | ENF 16 | RDC |
Paragraph 20 of schedule 5 | when the FSA is proposing/deciding to use the disqualification powers under section 249(1)* | ENF 17 | RDC |
Insurance Intermediaries Order reference | Description | Handbook reference | Decision maker |
Article 95(2)/(3) | when the FSA is proposing/deciding not to include, or to remove, an appointed representative from the Register* | SUP 12.4.10G | RDC |
Article 95(7)/(8) | when the FSA is proposing/deciding to refuse an application to revoke a determination not to include, or to remove, an appointed representative from the Register* | SUP 12.4.10G | RDC |
Note 1: The decision will be made by the RDC if it involves a fundamental (see DEC 4.1.5 G) change to the nature of a permission and the applicant makes representations to the FSA. | |||
Note 1A: The decision will be made by the RDC if the applicant makes representations to the FSA. If there are no representations, the decision will be made under executive procedures. | |||
Note 2: The decision will be made by the RDC if it relates to an application for an authorisation order by an authorised fund manager who is not the operator of an existing AUT or ICVC. | |||
Note 3: Although the notice under section 265(4) is a decision notice, the notice under section 264(2) is not a warning notice. The FSA will operate a procedure compliant with section 264 for the section 264(2) notice, which will be similar to the procedure for a warning notice. | |||
Note 4: The FSA must give a decision notice under regulation 22(5) of the OEIC Regulations when, having given a warning notice, it decides to approve a proposal. But this decision notice has the effect of a written notice giving the FSA's approval under regulation 21(3)(a) of the OEIC Regulations. Although the FSA will comply with the statutory requirements regarding the giving of decision notices, DEC should otherwise be read as if the decision notice was a written notice granting an application. | |||
Note 5: As amended by the Financial Services and Markets Act 2000 (Mutual Societies) Order 2001 (SI 2001/2617). | |||
Note 6: There is no right to refer a decision to issue a prohibition order under section 36A to the Tribunal. Accordingly, a decision notice under section 36A(5A) is not required to give an indication of whether any such right exists. A decision notice under section 36A(5A) may only relate to the issue of a prohibition order under section 36A. Where such a decision notice is given, no final notice is required under section 390 of the Act and the FSA may issue the order at the same time as or after giving the decision notice. For the purposes of section 391 of the Act (Publication), the decision notice is treated as if it were a final notice. | |||
Note 7: These powers become exercisable by the FSA if a building society fails to comply with any of the following requirements imposed by the Building Societies Act 1986: section 5(1)(a) or (b) (purpose or principal purpose and principal office); section 6(1) (the lending limit); and section 7(1) (the funding limit). | |||
Note 8: The warning notice and decision notice must set out the terms of the direction which the FSA proposes/has decided to give. A decision notice given under section 46A(3) must give an indication of the society's right, given by section 46A(5), to have the matter referred to the Tribunal. A decision notice under section 46A(3) may only relate to action under the same section of the Building Societies Act 1986 as the action proposed in the warning notice. A final notice under section 390 of the Act must set out the terms of the direction and state the date from which it takes effect. Section 392 of the Act is to be read as if it included references to a warning notice given under section 46A(1) and a decision notice given under section 46A(3). | |||
Note 9: The decision will be made under executive procedures if the society has agreed to the giving of the direction and its terms. | |||
Note 10: The FSA notifies the successor of the permission by giving it a decision notice. The decision notice is not preceded by the giving of a warning notice. No final notice is required under section 390 of the Act and for the purposes of section 391 of the Act (Publication), the decision notice is treated as if it were a final notice. The giving of permission is treated for the purposes of section 55 of the Act (Right to refer matters to the Tribunal) as if it were the determination of an application made by the successor under Part IV of the Act . Part IX of the Act (Hearings and appeals) accordingly applies, but with the omission of section 133(9), which would otherwise prevent the FSA from giving the permission on the terms notified in the decision notice until after any reference and appeal. | |||
Note 11: The decision will be made under executive procedures where the terms of the permission have been agreed with the successor. | |||
Note 12: The warning notice and decision notice must set out the terms of the direction which the FSA proposes/has decided to give and any specification of when the society is to comply with it. A decision notice given under section 58A(3) must give an indication of the society's right, given by section 58A(5), to have the matter referred to the Tribunal. A decision notice under section 58A(3) may only relate to action under the same section of the Friendly Societies Act 1992 as the action proposed in the warning notice. A final notice under section 390 of the Act must set out the terms of the direction and state the date from which it takes effect. Section 392 of the Act is to be read as if it included references to a warning notice given under section 58A(1) and a decision notice given under section 58A(3). | |||
Note 13: The decision will be made under executive procedures unless the RDC is already considering or is shortly to consider a closely related matter and it seems appropriate to those making the decision under executive procedures for the RDC to have responsibility for the decision, having regard to such factors as those listed in DEC 1.2.9 G |
- 20/10/2005
DEC 2 Annex 2
Statutory notice procedure: Warning notice and decision notice procedure
- 01/12/2004
See Notes
- 01/12/2004
DEC 2 Annex 3
Statutory notice procedure: Warning notice and decision notice procedure
- 01/12/2004
See Notes
- 01/12/2004
DEC 2 Annex 4
Statutory notice procedure: Warning notice and decision notice procedure
- 01/12/2004
See Notes
- 01/12/2004
DEC 2 Annex 5
Specimen Warning Notice
- 01/12/2004
See Notes
- 01/12/2004
DEC 2 Annex 6
Specimen Decision Notice
- 01/12/2004
See Notes
- 01/12/2004
DEC 3
Statutory notice procedure: Supervisory
notice procedure
DEC 3.1
Supervisory notice procedure
- 01/12/2004
DEC 3.1.1
See Notes
- 01/12/2004
DEC 3.1.2
See Notes
- 01/12/2004
First supervisory notice
DEC 3.1.3
See Notes
- 01/12/2004
DEC 3.1.4
See Notes
- 01/12/2004
DEC 3.1.5
See Notes
- 21/11/2002
DEC 3.1.5A
See Notes
- 21/11/2002
DEC 3.1.6
See Notes
- 01/12/2004
DEC 3.1.7
See Notes
- 21/11/2002
Second supervisory notice
DEC 3.1.8
See Notes
- 01/12/2004
DEC 3.1.9
See Notes
- 01/12/2004
DEC 3.1.10
See Notes
- 01/12/2004
DEC 3.1.11
See Notes
- 01/12/2004
DEC 3 Annex 1
Statutory notice procedure: Supervisory notice procedure
- 01/12/2004
See Notes
Section of the Act | Description | Handbook reference | Decision maker |
53(4)/(7)/(8)(b) | when the FSA is exercising its own-initiative power to vary a firm'sPart IV permission |
Variation of Part IV permission on the FSA's own initiative
SUP 7 | RDC / executive procedures (Note) |
78(2)/(5) | when the FSA is proposing/discontinues the listing of a security | LR 5 | RDC/ Executive procedures |
78(2)/(5) | when the FSA is proposing/suspends the listing of a security | LR 5 | Executive procedures |
87O(2)/(5) | when the FSA is proposing/deciding to exercise or deciding to maintain, vary or revoke any of the powers in sections 87K or 87L in respect of an infringement of any applicable provision. | PR 5 | Executive procedures |
96C | when the FSA is proposing/suspends trading in a financial instrument | DTR | Executive procedures |
197(3)/ (6)/(7)(b) | when the FSA is exercising its power of intervention in respect of an incoming firm |
Intervention against incoming firms
SUP 7 | RDC / executive procedures (Note) |
259(3)/(8)/(9) (b) | when the FSA is exercising its power to give or, on its own initiative, to vary a direction to the manager and trustee of an AUT | Collective investment schemes | RDC |
268(3)/(7)(a) or (9)(a) (as a result of (8)(b)/(13)) | when the FSA is proposing/deciding to give or, on its own initiative, to vary a direction to the operator of a recognised scheme | Collective investment schemes | RDC |
282 (3)/(6)/(7)(b) | when the FSA is exercising its power to give a direction to an operator, trustee or depositary of a recognised scheme | Collective investment schemes | RDC |
321(2)/(5) | when the FSA is exercising its power to impose a requirement on a former underwriting member of Lloyd's | None | RDC |
OEIC Regulations reference | Description | Handbook reference | Decision maker |
Regulation 27 | when the FSA is exercising its power to give or, on its own initiative, to vary a direction to an ICVC and its depositary | Collective investment schemes | RDC |
Note: The decision will be made by the RDC if it involves a fundamental change (see DEC 4.1.5 G) to the nature of a permission. |
- 01/07/2005
DEC 3 Annex 2
Statutory notice procedure: Supervisory notice procedure
- 01/12/2004
See Notes
- 21/11/2002
DEC 3 Annex 3
Specimen first supervisory notice
- 01/12/2004
See Notes
- 21/11/2002
DEC 4
The decision maker
DEC 4.1
Allocation of decision making
- 01/12/2004
DEC 4.1.1
See Notes
- 01/12/2004
DEC 4.1.2
See Notes
- 01/12/2004
DEC 4.1.3
See Notes
- 01/12/2004
Decisions to be taken by the RDC
DEC 4.1.4
See Notes
- 20/10/2005
DEC 4.1.4A
See Notes
- 20/10/2005
DEC 4.1.4B
See Notes
- 20/10/2005
DEC 4.1.5
See Notes
- 20/10/2005
Decisions to be taken by executive procedures
DEC 4.1.6
See Notes
- 01/12/2004
Examples of allocation of decision making
DEC 4.1.7
See Notes
- 20/10/2005
DEC 4.1.8
See Notes
- 20/10/2005
DEC 4.2
The Regulatory Decisions Committee
- 01/12/2004
DEC 4.2.1
See Notes
- 01/12/2004
DEC 4.2.2
See Notes
- 01/12/2004
DEC 4.2.3
See Notes
- 21/11/2002
DEC 4.2.4
See Notes
- 20/10/2005
Appointment and removal of members of the RDC
DEC 4.2.5
See Notes
- 01/12/2004
DEC 4.2.6
See Notes
- 01/12/2004
DEC 4.2.7
See Notes
- 01/12/2004
Constitution and procedure of the RDC
DEC 4.2.8
See Notes
- 01/12/2004
DEC 4.2.9
See Notes
- 01/12/2004
DEC 4.2.10
See Notes
- 20/10/2005
DEC 4.2.11
See Notes
- 20/10/2005
DEC 4.2.12
See Notes
- 01/12/2004
DEC 4.2.13
See Notes
- 01/12/2004
Consideration of previous breaches
DEC 4.2.15
See Notes
- 01/12/2004
DEC 4.2.16
See Notes
- 01/12/2004
Administrative procedure for representations
DEC 4.2.18
See Notes
- 20/10/2005
DEC 4.2.19
See Notes
- 20/10/2005
DEC 4.3
Executive procedure for statutory notice decisions and statutory notice associated decisions
- 01/12/2004
Who makes the decision?
DEC 4.3.1
See Notes
- 01/12/2004
Separation of functions
DEC 4.3.2
See Notes
- 01/12/2004
DEC 4.3.3
See Notes
- 01/12/2004
Decision making by an individual FSA staff member
DEC 4.3.4
See Notes
- 01/12/2004
DEC 4.3.5
See Notes
- 01/12/2004
DEC 4.3.6
See Notes
- 01/12/2004
DEC 4.3.7
See Notes
- 01/12/2004
DEC 4.3.7A
See Notes
- 01/07/2005
Decision making by a senior staff committee
DEC 4.3.8
See Notes
- 21/11/2002
DEC 4.3.9
See Notes
- 18/10/2001
DEC 4.3.10
See Notes
- 01/12/2004
DEC 4.3.11
See Notes
- 01/12/2004
DEC 4.3.12
See Notes
- 01/12/2004
General
DEC 4.3.13
See Notes
- 20/10/2005
DEC 4.3.14
See Notes
- 01/12/2004
DEC 4.3.15
See Notes
- 01/12/2004
DEC 4.3.16
See Notes
- 21/11/2002
DEC 4.3.16A
See Notes
- 21/11/2002
Section 395(3) decisions
DEC 4.3.17
See Notes
- 01/12/2004
DEC 4.3.18
See Notes
- 01/12/2004
DEC 4.3.19
See Notes
- 01/12/2004
DEC 4.4
Representations
- 01/12/2004
DEC 4.4.1
See Notes
- 01/12/2004
DEC 4.4.2
See Notes
- 01/12/2004
DEC 4.4.3
See Notes
- 01/12/2004
Request for an extension of time
DEC 4.4.4
See Notes
- 01/12/2004
DEC 4.4.5
See Notes
- 01/12/2004
Written representations
DEC 4.4.6
See Notes
- 01/12/2004
Oral representations
DEC 4.4.7
See Notes
- 01/12/2004
DEC 4.4.8
See Notes
- 18/10/2001
DEC 4.4.9
See Notes
- 01/12/2004
DEC 4.4.10
See Notes
- 01/12/2004
DEC 4.4.11
See Notes
- 01/12/2004
Third parties
DEC 4.4.12
See Notes
- 01/12/2004
Default procedures
DEC 4.4.13
See Notes
- 21/11/2002
DEC 4.4.13A
See Notes
- 21/11/2002
DEC 4.4.14
See Notes
- 21/11/2002
DEC 4.5
Delegation of RDC decisions and modified RDC procedures
- 01/12/2004
DEC 4.5.1
See Notes
- 01/12/2004
Financial penalties for late submission of reports
DEC 4.5.2
See Notes
- 11/04/2002
DEC 4.5.3
See Notes
- 01/12/2004
DEC 4.5.4
See Notes
- 01/12/2004
DEC 4.5.5
See Notes
- 21/11/2002
DEC 4.5.6
See Notes
- 01/12/2004
Supervisory notices: urgent cases
DEC 4.5.7
See Notes
- 18/10/2001
DEC 4.5.8
See Notes
- 01/12/2004
Supervisory notices: non-urgent cases
DEC 4.5.9
See Notes
- 01/12/2004
DEC 4.5.10
See Notes
- 01/12/2004
DEC 4.5.11
See Notes
- 01/12/2004
DEC 4.5.12
See Notes
- 01/12/2004
DEC 4.5.13
See Notes
- 01/12/2004
Modified procedures in collective investment scheme cases
DEC 4.5.14
See Notes
- 01/12/2004
DEC 4.5.15
See Notes
In certain cases where it is proposing to exercise its powers under section 257 (Directions), 279 (Revocation of recognition) or 281 (Directions) of the Act or under regulation 23 or 25 of the OEIC regulations, the FSA may be in a position to inform the scheme management of its concerns, and of the action it is considering, before it exercises those powers. Alternatively, the scheme management may request the FSA to exercise one of the powers. For example, the manager and the trustee of an AUT may ask the FSA to give a direction under section 257(2)(a) for the suspension of the issue and redemption of units because of a temporary problem in valuing the property subject to the scheme. If there is a common understanding between the FSA and all the members of the scheme management about the need for the exercise of the power in question at that stage (that is, before the FSA begins to exercise the statutory procedures), the FSA may:
- (1) in the case of the exercise of its powers under sections 257 or 281 or under regulation 25, decide to use the modified decision making procedure for non-urgent supervisory notices in DEC 4.5.9 G to DEC 4.5.13 G; or
- (2) in the case of the exercise of its powers under section 279 or regulation 23, decide to use a modified decision making procedure under which the matter will be delegated to FSA staff of an appropriate level of seniority. The procedure will be as set out in DEC 4.5.9 G to DEC 4.5.13 G but adapted to be appropriate for a case involving a warning notice and decision notice.
- 01/12/2004
Modified procedures in straightforward cases
DEC 4.5.16
See Notes
- 20/10/2005
DEC 4.5.17
See Notes
- 20/10/2005
DEC 4.6
Decisions to apply to the civil courts and to prosecute criminal offences
- 01/12/2004
DEC 4.6.1
See Notes
- 01/12/2004
DEC 4.6.2
See Notes
- 01/12/2004
DEC 4.6.2A
See Notes
- 21/11/2002
DEC 4.6.2B
See Notes
- 21/11/2002
DEC 4.6.3
See Notes
- 01/12/2004
DEC 5
References to the Tribunal, publication and service of notices
DEC 5.1
The Tribunal
- 01/12/2004
DEC 5.1.1
See Notes
- 01/12/2004
DEC 5.1.2
See Notes
- 01/12/2004
DEC 5.1.3
See Notes
- 01/12/2004
DEC 5.1.4
See Notes
- 01/12/2004
DEC 5.1.5
See Notes
- 01/12/2004
DEC 5.1.6
See Notes
- 01/12/2004
DEC 5.1.7
See Notes
- 01/12/2004
DEC 5.2
Publication
- 01/12/2004
Publication of final notices and effective supervisory notices
DEC 5.2.1
See Notes
- 01/12/2004
Publication of notices of discontinuance
DEC 5.2.2
See Notes
- 01/12/2004
No publication if unfair or prejudicial
DEC 5.2.3
See Notes
- 01/12/2004
Warning and decision notices: no publication
DEC 5.2.4
See Notes
- 01/12/2004
Manner of publication
DEC 5.2.5
See Notes
- 01/12/2004
DEC 5.3
Service of notices by the FSA
- 01/12/2004
Service of Notices Regulations
DEC 5.3.1
See Notes
- 01/12/2004
Methods of service by the FSA and deemed receipt
DEC 5.3.2
See Notes
- 01/12/2004
DEC 5.3.3
See Notes
Methods of service of notices by the FSA
Method | Deemed day of receipt |
(1) delivery of the notice to the recipient | not applicable: it is received when delivered |
(2) leaving the notice at the recipient's proper address (as defined in the Regulations) | the business day after it is left at that address |
(3) posting the notice to that address | if the notice is posted to an address in the United Kingdom, the second business day after posting if the notice is posted to an address in any EEA State (other than the United Kingdom), the fifth business day after posting |
(4) transmitting the notice by fax if the recipient has indicated in writing that he is willing to receive the notice by such means and a follow-up copy is sent by another method by the end of the following business day | the business day after the day on which the document is transmitted |
(5) transmitting the notice by any other electronic means of communication, if the recipient has indicated in writing that he is willing to receive the notice by such means | the business day after the day on which the document is transmitted |
- 01/12/2004
DEC 5.3.4
See Notes
- 01/12/2004
Meaning of "business day"
DEC 5.3.5
See Notes
- 01/12/2004
DEC App 1
Settlement procedure and mediation scheme
for FSA enforcement cases
DEC App 1.1
Introduction
- 01/12/2004
DEC App 1.1.1
See Notes
- 20/10/2005
DEC App 1.2
Settlement
- 01/12/2004
DEC App 1.2.1
See Notes
- 20/10/2005
DEC App 1.2.2
See Notes
- 20/10/2005
DEC App 1.2.2A
See Notes
- 20/10/2005
DEC App 1.2.2B
See Notes
- 20/10/2005
DEC App 1.2.3
See Notes
- 20/10/2005
DEC App 1.2.4
See Notes
- 20/10/2005
DEC App 1.2.5
See Notes
- 01/12/2004
DEC App 1.3
Mediation
- 01/12/2004
DEC App 1.3.1
See Notes
- 01/12/2004
DEC App 1.3.2
See Notes
- 20/10/2005
DEC App 1.3.3
See Notes
- 20/10/2005
DEC App 1.4
Scope and availability of the mediation scheme
- 01/12/2004
DEC App 1.4.1
See Notes
- 01/12/2004
DEC App 1.4.2
See Notes
- 01/12/2004
DEC App 1.4.3
See Notes
- 01/12/2004
DEC App 1.4.4
See Notes
- 01/12/2004
DEC App 1.5
Mediation provider
- 01/12/2004
DEC App 1.5.1
See Notes
- 01/12/2004
DEC App 1.6
Starting the mediation
- 01/12/2004
DEC App 1.6.1
See Notes
- 20/10/2005
DEC App 1.6.2
See Notes
- 01/12/2004
DEC App 1.6.3
See Notes
- 01/12/2004
DEC App 1.6.4
See Notes
- 01/12/2004
DEC App 1.7
Setting up the mediation
- 01/12/2004
DEC App 1.7.1
See Notes
- 01/12/2004
Appointment of mediator
DEC App 1.7.2
See Notes
- 01/12/2004
Date for mediation
DEC App 1.7.3
See Notes
- 01/12/2004
Duration of mediation
DEC App 1.7.4
See Notes
- 01/12/2004
Mediation timetable
DEC App 1.7.5
See Notes
- 01/12/2004
Venue
DEC App 1.7.6
See Notes
- 01/12/2004
Mediation agreement
DEC App 1.7.7
See Notes
- 01/12/2004
Confidentiality
DEC App 1.7.8
See Notes
- 20/10/2005
Authority to settle
DEC App 1.7.9
See Notes
- 20/10/2005
Paperwork for the mediation
DEC App 1.7.10
See Notes
- 01/12/2004
Costs
DEC App 1.7.11
See Notes
- 01/12/2004
DEC App 1.8
Preliminary meeting
- 01/12/2004
DEC App 1.8.1
See Notes
- 01/12/2004
DEC App 1.9
Termination of the mediation
- 01/12/2004
DEC App 1.9.1
See Notes
- 01/12/2004
DEC App 1.9.2
See Notes
- 01/12/2004
DEC App 1.9.3
See Notes
- 01/12/2004
DEC App 1.10
Result of the mediation
- 01/12/2004
DEC App 1.10.1
See Notes
- 01/12/2004
DEC App 1.10.2
See Notes
- 01/12/2004
DEC App 1.10.3
See Notes
- 20/10/2005
DEC App 1.10.4
See Notes
- 01/12/2004
DEC App 1.11
Advisers
- 01/12/2004
DEC App 1.11.1
See Notes
- 01/12/2004
DEC App 1.12
Review of mediation procedure
- 01/12/2004
DEC App 1.12.1
See Notes
- 01/12/2004
DEC App 1.13
Position of third parties on settlement
- 20/10/2005
DEC App 1.13.1
See Notes
- 20/10/2005
Transitional Provisions and Schedules
DEC TP 1
- 01/12/2004
DEC Sch 1
Record keeping requirements
- 01/12/2004
DEC Sch 1.1
See Notes
There are no record-keeping requirements in DEC. |
- 01/12/2004
DEC Sch 2
Notification requirements
- 01/12/2004
DEC Sch 2.1
See Notes
There are no notification or reporting requirements in DEC. |
- 01/12/2004
DEC Sch 3
Fees and other required payments
- 01/12/2004
DEC Sch 3.1
See Notes
There are no requirements for fees or other payments in DEC. |
- 01/12/2004
DEC Sch 4
Powers exercised
- 01/12/2004
DEC Sch 4.1
See Notes
- 01/12/2004
DEC Sch 5
Rights of action for damages
- 01/12/2004
DEC Sch 6
Rules that can be waived
- 01/12/2004