Regulatory News, Regulatory News - EMEA

Liquidity reporting: FSA047, FSA048, and PRA110 – PS1/19

January 8th, 2019    The PRA have published Policy Statement PS1/19, which provides feedback to responses to Consultation Paper (CP)22/18 ‘Liquidity reporting: FSA047 and FSA048’ and the proposal in CP16/18 ‘Regulatory reporting: occasional consultation paper’ to correct the level of consolidation of the PRA110 reporting requirements. It also contains the PRA’s final policy as follows: […]

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PRA Publishes CP28/18 & PS28/18 – UK leverage ratio: Applying the framework to systemic ring-fenced bodies and reflecting the systemic risk buffer

November 14th 2018  The PRA has published Policy Statement (PS) ‘UK leverage ratio: Applying the framework to systemic ring-fenced bodies and reflecting the systemic risk buffer’. It contains the PRA’s final policy to update: The Leverage Ratio, Public Disclosure, Reporting Leverage Ratio, and Ring-fenced Bodies Parts of the PRA Rulebook (Appendix 1); Supervisory Statement (SS) […]

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PRA publish PS2/18 ‘Pillar 2 Liquidity’

February 23rd, 2018 The PRA have published the below PS2/18 ‘Pillar 2 Liquidity’ –  which contains the following: Final Statement of Policy (SoP ‘Pillar 2 Liquidity’ (Appendix 1) Updated SS 24/15 ‘The PRA’s approach to supervising liquidity and funding risks (Appendix 2) A final PRA110 template and reporting instructions (Appendix 3) A final amendment to […]

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PRA issues PS25/17 and SS7/17 relevant to Solvency II firms

October 18, 2017 The Prudential Regulation Authority (PRA) published today Policy Statement (PS) 25/17 and Supervisory Statement (SS) 7/17 on ‘Solvency II: Data collection of market risk sensitivities’. The PS provides feedback to responses to Consultation Paper (CP) 7/17 ‘Solvency II: Data collection of market risk sensitivities’. The SS sets out the PRA’s expectations in […]

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PRA publishes information in relation to UK Leverage Ratio treatment of claims on central banks

October 3, 2017 The Prudential Regulatory Authority (PRA) published today new documentation and guidance in relation to the UK Leverage Ratio treatment of claims on central banks. Policy Statement PS21/17 provides feedback to Consultation Paper CP11/17 ‘Consultations by the Financial Policy Committee (FPC) and PRA on changes to the UK leverage ratio framework relating to […]

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PRA publishes information in relation to the Pillar 2A capital framework

October 3, 2017 The Prudential Regulatory Authority (PRA) published today new documentation and guidance in relation to the Pillar 2A capital framework that are relevant to banks, building societies and PRA-designated investment firms. Policy Statement PS22/17 provides feedback to Consultation Paper CP3/17 ‘Refining the PRA’s Pillar 2A capital framework’. Changes to the existing framework are […]

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PRA publishes PS19/17 in response to CP2/17 ‘Occasional Consultation Paper’

July 20, 2017   The Prudential Regulatory Authority (PRA) has published a Policy Statement (PS) 19/17 providing feedback to responses to the Occasional Consultation Paper (CP) 2/17. It also includes the final rules and updated Supervisory Statement (SS) 34/15 ‘Guidelines for completing regulatory reports’ and SS9/13 ‘Securitisation’. This PS is relevant to all PRA-authorised firms. […]

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PRA publishes Policy Statement 20/17 in response to CP6/17 ‘Regulatory reporting: occasional consultation paper’

July 20, 2017 The Prudential Regulatory Authority (PRA) has published a Policy Statement (PS) 20/17 providing feedback on the responses to Consultation Paper (CP) 6/17 ‘Regulatory reporting: occasional consultation paper’’. It contains final rules, updated Supervisory Statement (SS) 34/15 ‘Guidelines for completing regulatory reports’, and updated templates and instructions (PRA101 to PRA103, and PRA108). This […]

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PRA Publishes PS18/17 – IFRS 9: Changes to reporting requirements

July 6, 2017 The Prudential Regulation Authority (PRA) has published a policy statement (PS) providing feedback to responses to Consultation Paper (CP) 46/16 ‘IFRS 9: Changes to Reporting Requirements’. The PS sets out final rules intended to update regulatory reporting requirements in light of the introduction of International Financial Reporting Standard 9 (IFRS 9) from […]

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FCA publishes Policy Statement (PS17/14) on MiFID II implementation

July 03, 2017 The Financial Conduct Authority (FCA) published today a Policy Statement on the Markets in Financial Instruments Directive II (MiFID II). The publication sets out final rules on conduct issues, including research, inducements, client categorisation, best execution, the appropriateness test, taping, client assets and perimeter guidance. Firms must continue with their preparations for […]