- 4.3.1. Principle 1 ‐ Integrity
- 4.3.2. Principle 2 ‐ Due skill, care and diligence
- 4.3.3. Principle 3 ‐ Market conduct
- 4.3.4. Principle 4 ‐ Relations with the AFSA
- 4.3.5. Principle 5 ‐ Management, systems and control
- 4.3.6. Principle 6 ‐ Compliance
- 6.2.1. Core information
- 2.5.3. Outsourcing of Controlled Functions (TRR 2.4 and GEN 2.2)
- 2.2.2. Mandatory appointments
- 2.3.3. Outsourcing of Controlled Functions (PINS 2.2 and GEN 2.2)
- 21. Definition of Approved Individual
- 42. Applications for Controlled Function approval
- 43. Criteria for approval
- 96. Power to gather information
- 106. No liability for provision of information or documents to the AFSA
- 116. Powers to Obtain Information and Documents for Investigation
- 2.1.2. Appointments to be filled by Approved Individuals or Designated Individuals
- 2.2.6. Application for Approved Individual status
- 2.2.8. Modification or withdrawal of an Approved Individual’s registration
- 2.2.9. Dismissal or resignation of an Approved Individual
- 2.4.1. Designation of roles as Controlled Functions
- 2.4.2. Mandatory appointments
- Controlled Function
- Approved Actuary
- Internal Auditor
- Risk Officer
- 1.3. Approved Individuals
- 1.4. Non-refundable nature of application fees
- 2.2. Non-refundable nature of application fees
- 4.1.1. General requirement
- 4.2.1. General requirement
- 1.2 Application fees for modification and withdrawal of a Licence or Approved Individual's registration
- 1.2 Application fees for modification and withdrawal of a Licence or Approved Individual's registration