Form C Notice of ceasing to perform controlled functions (including senior management functions)

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Application number (for FCA/PRA use only) The FCA and PRA have produced notes which will assist both the applicant and the approved person in answering the questions in this form. Please read these notes, which are available on the FCA and PRA website at https://www.handbook.fca.org.uk/handbook/sup/10a/annex6.html www.bankofengland.co.uk/pra Both the applicant and the approved person will be treated by the FCA and PRA as having taken these notes into consideration when completing this form. Form C Notice of ceasing to perform controlled functions (including senior management functions) FCA Handbook Reference: SUP 10A Annex 6R (Notifications) PRA Rulebook Reference: Senior Managers Regime - Applications and/or Notifications 7 March 2016 Name of approved person Name of firm Financial Conduct Authority 25 The North Colonnade Canary Wharf London E14 5HS United Kingdom Telephone +44 (0) 300 500 0597 E-mail iva@fca.org.uk Website http://www.fca.org.uk Registered as a Limited Company in England and Wales No 1920623. Registered Office as above Prudential Regulation Authority 20 Moorgate London EC2R 6DA United Kingdom Telephone +44 (0) 203 461 7000 E-mail PRA-ApprovedPersons@bankofengland.co.uk Website www.bankofengland.co.uk/pra Version February 2016 Page 1

Personal identification details Section 1 1.01 Individual Reference Number (IRN) 1.02 Title 1.03 Surname (e.g. Mr, Mrs, Ms, etc) 1.04 ALL forenames 1.05 Date of birth 1.06 National Insurance number 1.07 Approved person s private address Firm identification details Section 2 2.01 Name of firm * 2.02 Firm Reference Number (FRN) * 2.03 a Who should the FCA/PRA contact at the firm in relation to this notice? b Business address c Position d Telephone e Mobile f Fax g E-mail Version February 2016 Page 1

List of controlled functions Section 3 3.01 List all controlled functions (other than senior management functions) which the approved person is ceasing to perform. The effective date is the date the person will cease to perform the functions. If the person is ceasing to perform a senior management function(s), please complete section 3.02 instead. If the reason for ceasing to perform the controlled function is indicated in column B, the FCA and/ or PRA should be notified in accordance with SUP 10A.14.10R, SUP 10A.14.11G, SUP 10B.12.12.R and SUP 10B.12.13G (that is, within one business day, by telephone, fax or email) that this Form will be submitted. Reason FRN Name of firm function Controlled Effective date A B Full explanation in section 4 a End of b End of c End of d End of Version February 2016 Page 2

e End of I have supplied further information YES NO related to this page in Section 4 3.02 List all senior management functions which the approved person is ceasing to perform. The effective date is the date the person will cease to perform the functions. If the reason for ceasing to perform the senior management function is indicated in column B, the FCA and/ or PRA should be notified in accordance with SUP 10C.14.7R, SUP 10C.14.8G of the FCA Handbook and/or Senior Managers Regime - Applications and Notifications of the PRA Rulebook, as applicable (that is, within one business day, by telephone, fax or email) that this Form will be submitted. Reason FRN Name of firm Senior Management function Effective date A B Full explanation in section 4 a / / End of b End of Version February 2016 Page 3

c End of d End of e End of I have supplied further information YES NO related to this page in Section 4 3.03 For Relevant Authorised Persons, does the firm also seek to notify the FCA and/or PRA under one or both of section 63(2A) (Duty to notify regulator of grounds for withdrawal of approval) or section 64C (Requirement for Relevant Authorised Persons to notify regulator of disciplinary action) of the Financial Services and Markets Act 2000? YES NO If the firm has answered No, please go to section 4 If the firm has answered Yes, please complete the below: 3.04 If the firm is making a notification under question 3.03 based on any breach(es) of the individual or senior manager conduct rules set out in the FCA s C-CON or PRA s Conduct Rules, please complete the relevant boxes below. Version February 2016 Page 4

Tick the rule(s) relevant to this notification Individual Conduct Rules Rule 1: You must act with integrity. Rule 2: You must act with due skill, care and diligence. Rule 3: You must be open and cooperative with the FCA, the PRA and other regulators. Rule 4: You must pay due regard to the interests of customers and treat them fairly. Rule 5: You must observe proper standards of market conduct. Senior Manager Conduct Rules SC1: You must take reasonable steps to ensure that the business of the firm for which you are responsible is controlled effectively. SC2: You must take reasonable steps to ensure that the business of the firm for which you are responsible complies with relevant requirements and standards of the regulatory system. SC3: You must take reasonable steps to ensure that any delegation of your responsibilities is to an appropriate person and that you oversee the discharge of the delegated responsibility effectively. SC4: You must disclose appropriately any information of which the FCA or PRA would reasonably expect notice. Version February 2016 Page 5

3.05 For each breach please provide the following information. Please attach additional sheets as necessary. Details of the breach: 3.06 If the firm is making a notification under section 64C (Requirement for relevant authorised persons to notify regulator of disciplinary action) of the Financial Services and Markets Act 2000), please provide details below of disciplinary action taken and the reasons for this action. Please do not repeat information already included in the answers to Questions 3.04 and 3.05 above. If necessary please cross refer to the answers provided. 3.07 If the firm is making a notification under s section 63(2A) (Duty to notify regulator of grounds for withdrawal of approval) of the Financial Services and Markets Act 2000, please provide details below. Please do not repeat information already included in the answers to Questions 3.04 and 3.05 above. If necessary please cross refer to the answers provided. Version February 2016 Page 6

Supplementary information Section 4 4.01 Is there any other information the approved person or the firm considers to be relevant to this notice? Please provide full details 4.02 Please indicate clearly which question the supplementary information relates to. Question Information 4.03 How many additional sheets are being submitted? Version February 2016 Page 7

Supporting Documents Indicate the required supporting documents to accompany this form Documents Mode (by email, fax or post) information (please specify) The above question(s) should be completed whether submission of this form is online or in one of the other ways set out in SUP 15.7 of the FCA Handbook and/or Senior Managers Regime Applications and Notifications of the PRA Rulebook Version February 2016 Page 8

Declaration and signature Section 5 Knowingly or recklessly giving the FCA and/or PRA information which is false or misleading in a material particular may be a criminal offence (section 398 of the Financial Services and Markets Act 2000). It should not be assumed that information is known to the FCA and/or PRA merely because it is in the public domain or has previously been disclosed to the FCA and/or PRA or another regulatory body. If there is any doubt about the relevance of information, it should be included. In addition to other regulatory responsibilities, firms, SMF Managers and other approved persons have a responsibility to disclose to the FCA and/or PRA matters of which it or they would reasonably expect to be notified. Failure to notify the FCA of such information may lead to the FCA and/or PRA taking disciplinary or other action against the firm and/or the individuals. For the purposes of complying with the Data Protection Act 1998, the personal information in this form will be used by the FCA and/or PRA to discharge its statutory functions under the Financial Services and Markets Act 2000 and other relevant legislation, and will not be disclosed for any other purposes without the permission of the firm. The firm confirms that the information in this Form is accurate and complete to the best of its knowledge and belief. The firm will notify the FCA/PRA, as applicable, immediately if there is a material change to the information provided. If the firm submits this Form on behalf of one or more other firms, the firm confirms that is duly authorised by such firm(s) to make such submission. The FCA and/or PRA may seek to verify the information given in this Form. The firm authorises the FCA and PRA, as applicable, to make such enquiries and seek such further information as it thinks appropriate in the course of verifying the information given in this Form. I confirm that a permanent copy of this application, signed by the firm, will be retained for an appropriate period, for inspection at the FCA s and/or PRA s request. Confirm that you have read and understood the declaration: I confirm that the information in this Form is accurate and complete to the best of my knowledge and belief and that I have read the explanatory note relating to the Form. Name of the firm Name of person signing on behalf of the firm Position Signature Date Version February 2016 Page 9