Showing 4566 Documents for "economic issues"
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- PDPC
- Commission's Decisions
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- PERSONAL DATA PROTECTION COMMISSION [2019] SGPDPC 30 Case No DP-1806-B2237 In the matter of an investigation under section 50(1) of the Personal Data Protection Act 2012 And Executive Link Services Pte. Ltd. …Organisation(s) DECISION -------- Executive Link Services Pte. Ltd. [2019] SGPDPC 30 Mr Yeong Zee Kin, Deputy Commissioner – Case No DP-1806-B2237 23 August 2019 Background 1. On 11 June 2018, Executive Link Services Pte. Ltd. (the “Organisation
- PDPC
- Public Consultations
Last revised date:
- Mediacorp Pte Ltd 1 Stars Avenue, Singapore 138507 t +65 6333 3888 f +65 6251 5628 mediacorp.sg Company Registration Number: 199201312E VIA E-MAIL ONLY E-mail: corporate@pdpc.gov.sg No. of Page(s): 8 [Including this page] 18 December 2017 Personal Data Protection Commission Dear Sirs, PDPC’S PUBLIC CONSULTATION ON THE PROPOSED REVISED ADVISORY GUIDELINES ON NRIC NUMBERS We refer to the above matter and are pleased to submit our views, enclosed herein
- PDPC
- Commission's Decisions
Last revised date:
- Directions were issued to SLF Green Maid Agency for failing to make reasonable security arrangements to prevent the unauthorised disclosure of individuals’ personal data. Click here to find out more. PERSONAL DATA PROTECTION COMMISSION Case No DP-1806-B2265 [2018] SGPDPC 27 In the matter of an investigation under section 50(1) of the Personal Data Protection Act 2012 And SLF Green Maid Agency Organisation DECISION -------- SLF Green Maid Agency
- MAS
- Forms and Templates
Last revised date:
- Form for licensed financial advisers to notify MAS when they cease any or all of their financial advisory services. The form is to be submitted within 14 days from the date of cessation. Form 5 should be lodged online via FormSG . After submission, FIs may view a record of their submission by logging into MAS-Tx . FINANCIAL ADVISERS ACT (Cap. 110) FINANCIAL ADVISERS REGULATIONS FORM 5 NOTICE OF CESSATION OF PROVISION OF FINANCIAL ADVISORY SERVICE BY A LICENSED FINANCIAL ADVISER [AND REPRESENTATIVE
- MAS
- Forms and Templates
Last revised date:
- Form for an approved or designated benchmark administrator or submitter to apply for the appointment of a Chief Executive Officer or a director. SECURITIES AND FUTURES ACT (CAP. 289) SECURITIES AND FUTURES (FINANCIAL BENCHMARKS) REGULATIONS 2018 REGULATION 15(1) AND 23(1) FORM 3 APPLICATION FOR APPROVAL OF CHIEF EXECUTIVE OFFICER OR DIRECTOR OF AUTHORISED BENCHMARK ADMINISTRATOR, AUTHORISED BENCHMARK SUBMITTER OR DESIGNATED BENCHMARK SUBMITTER Explanatory Notes 1
- MAS
- Notices
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- Requirements for specified capital markets services licensees (“CMSLs”) and specified exempt CMSLs on anti-money laundering and countering the financing of terrorism (“AML/CFT”) in relation to their cross-border arrangements with Foreign Offices (“FOs”) under the Securities and Futures (Exemption for Cross-Border Arrangements) (Foreign Offices) Regulations 2021. This notice applies to - Capital markets services licensees (excluding venture capital fund managers); - Exempt futures brokers and exempt
- MAS
- Notices
Last revised date:
- Definition of "capital funds" and "head office capital funds" for merchant banks. This notice applies to all merchant banks. It sets out definitions for the terms "capital funds" and "head office capital funds". Amendment Notes 01 Jul 2021 MAS Notice 1001 dated 28 June 2021 takes effect. 01 Jul 2021 MAS Notice 1001 dated 15 December 2011 (last revised 22 January 2018) (149.2 KB) is cancelled . 22 Jan 2018 MAS Notice 1001 (Amendment) 2018 (202.5 KB) takes effect. 01 Apr 2012 MAS Notice 1001 dated
- MAS
- Consultations
Last revised date:
- Consultation on the revised biannual report and proposed implementation timeline under the proposed Complaints Handling and Resolution Regulations. Response VIEW DOCUMENT Response to consultation on complaints handling and resolution regulations (403.7 KB) Annex E (ZIP, 586.4 KB) Summary of AI opt in process under the FA CHR and SF COI Regs (133.5 KB) Biannual report form Consultation Paper VIEW DOCUMENT Consultation Paper on Revised Biannual Report and Implementation Timeline for Complaints Handling
- MAS
- Guidelines
Last revised date:
- Requirements for operators of markets. These guidelines explain how MAS regulates operators of organised markets pursuant to Part II of the Securities and Futures Act (Cap. 289) . In particular, guidance is provided on the following areas: Scope of MAS’ regulatory ambit. Obligations of approved exchanges and recognised market operators. THE MONETARY AUTHORITY OF SINGAPORE SECURITIES AND FUTURES ACT (CAP. 289) GUIDELINES ON THE REGULATION OF MARKETS -------- Guidelines on the Regulation of
- MAS
- Media Releases
Last revised date:
- Singapore, 22 April 2004...The Monetary Authority of Singapore (MAS) invites comments on the consultation paper released today on the draft Amendment Bills to the Securities and Futures Act (SFA) and the Financial Advisers Act (FAA). The amendments are targeted for first reading in Parliament during the second half of 2004. 2 The draft Amendment Bills seek primarily to implement the policy changes proposed by MAS taking into account feedback received from its consultation paper issued in September