SCHEDULE 2Amendments of subordinate legislation
The Financial Services and Markets Act 2000 (Regulated Activities) Order 2001
35.
(a)
in articles 9C(1) and (3); 9D; 9E(1); 9F; 9G(1), (4) and (8); 9H(1); 9K; 54(3); 92; 93(1); 94(1), (3), (4) and (5); 95(1) to (9) and 96, for “the Authority” (wherever appearing) substitute “the FCA”;
(b)
in article 9C(3) (persons certified as small issuers etc), for “the authority” substitute “the FCA”;
(c)
“(a)
section 55U(1)(b) and (4) to (8);
(b)
section 55V;
(c)
section 55X(2) and (4)(f); and
(d)
section 55Z3(1).”;
(d)
in article 9E (revocation of certificate on Authority’s own initiative)—
(i)
in the heading, for “Authority’s” substitute “FCA’s”;
(ii)
in paragraph (3)—
(aa)
for “54 and 55(2)” substitute “55Z and 55Z3(2)”;
(bb)
for “the Authority’s” substitute “the FCA’s”;
(e)
in article 9G (obtaining information from certified persons etc)—
(i)
in subsection (2), for “Section 148” substitute “Section 138A”;
(ii)
in subsection (3), for “Section 150” substitute “Section 138D”;
(iii)
in subsection (6) for “Authority’s” substitute “Regulator’s”;
(iv)
in subsection (7) omit paragraph (a);
(f)
in article 9H(2) (rules prohibiting the issue of electronic money at a discount), for “Section 148” substitute “Section 138A”;
(g)
in article 35(3)(c) and (d) (international securities self-regulating organisations), for “the Authority” substitute “the FCA and the PRA”;
(h)
in article 93(1)(a) (duty to maintain a record of persons carrying on insurance mediation activities), for “section 51(3)” substitute “section 55U(4)”;
(i)
in article 95(10) (exclusion from record where no fit and proper to carry on insurance mediation activities), for “Authority” substitute “FCA or PRA”;
(j)
in article 96 (exclusion from record where regulator has exercised its powers under Part 20 of the Act), in the heading for “Authority” substitute “FCA”.