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← Financial Advisers Act 2001

Financial Advisers Act 2001 s 72

s 72 Records to be kept by Authority

72.—(1) The Authority must keep in such form as it thinks fit records of licensed financial advisers setting out the following information of each of them:(a) its name; (b) the address of the principal place of business at which it carries on the business in respect of which the licence is held; (c) the type or types of financial advisory service and investment product to which its licence relates; (d) where the business is carried on under a name or style other than the name of the holder of the licence, the name or style under which the business is carried on; (e) officers removed by it from office or employment on the direction of the Authority under section 64; and (f) such other information as may be prescribed.[1/2009] (2) The Authority must also keep in such form as it thinks fit records on persons against whom prohibition orders had been made under section 68 as in force immediately before the date of commencement of section 200(1)(b) and (2) to (7) of the Financial Services and Markets Act 2022 or as continued by section 217(2) of that Act.[1/2009] [Act 18 of 2022 wef 31/07/2024] (3) The Authority may publish the records mentioned in subsections (1) and (2), or any part of them in such manner as it considers appropriate.[1/2009] (4) Any person may, upon payment of such fee as may be prescribed, in the manner specified by the Authority, inspect and take an extract from the records established under subsection (1) or (2), and any such extract, certified by the Authority to be a true copy, is admissible as prima facie evidence of the matter stated therein in any legal proceedings.[63 [1/2009] [Act 12 of 2024 wef 24/01/2025]

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Source: Singapore Statutes Online (Attorney-General's Chambers), © Government of Singapore.

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