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Workshop on 24 September at the FSA offices in London

The APCC is pleased to announce a workshop on 24 September at the London offices of the FSA from 9:30 until noon, registration is from 9 am.  The workshop is for compliance consultants and will focus on the promotion of unregulated collective investment schemes by retail financial advisers.  This follows a recent thematic review by the FSA of this area which found significant failings by regulated firms.  This event is free of charge.

All delegates should have received their email invitation from the FSA for this event, please email the APCC if you have not received your invitation.  Some places may still be available for delegates from APCC member firms.  Again please contact the APCC if you would like to attend the event.

 

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01/09/10

What's new


New items recently added to the website include:

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09/07/10

Authorisation Workshop

 The workshop held on 8 July primarily focussed on authorisations and what makes a good application pack.  In addition Simon Collins gave an update on APCC activities and on enforcement issues following his presentation to the FSA at their own internal enforcement conference. 

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10/03/10

2010 London Forum


The APCC  2010 London forum took place on Tuesday 9th March.

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Events - London March 2010

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Types of Firms Served

Number of Consultants

 

Services Offered

Region:

Always Hire Limited

Address:

The Office

The Herbery

James Street

Selsey

West Sussex

PO20 0JG

 

Telephone: 01243 606552

 

Fax:

 

E-mail: enquiries@alwayshirelimited.com

 

Website: www.alwayshirelimited.com

 

We are a family run concern aiming to provide a personal and individual solution to regulatory requirements in General Insurance FSA Compliance and Health and Safety. We have over 25 years experience in various insurance markets and seven years compliance experience.

Our company is committed to providing General Insurance compliance solutions to insurance brokers, that encompass current procedures and fortify them so that full regulatory compliance is maintained. This will be done in a way that does not unduly impinge on your company’s quest to make profits, leaving you with the peace of mind that compliance is not hindering but helping your business activities.

 

Number of Consultants: Sole Consultant

 

Geographic Area Covered: Southern England

 

Types of Client Firm Served:

Authorised Professional Investment Banks
Banks/Deposit Takers Lloyds
Building Societies Mortgage Brokers
Collective Investments Funds Mortgage Lenders/Administrators
Corporate Finance Firms Multi lateral trading facility
Credit Unions Payments Institutions
Electronic Money Issuers Pension Scheme Operator/Provider
Energy Market Participants Private Client Investment Management
Friendly Societies Retail Investment Management
IFA Sale and rent back
Institutional Investment Management Secondary Intermediaries
Insurance Brokers - General Securities and Futures Firms
Insurance Brokers - Pure Protection Products Stockbrokers
Insurers Third Party Providers

 

Services Offered:

Authorisation File Review
Compliance Advice Financial Returns Assistance
Compliance Support Health Checks
Compliance Training Mis-selling Reviews
Complaints Reviews Money Laundering Reviews
Documentation Pension Reviews
Enforcement Action Regulatory Updates
Expert Witness Skilled Persons Reports