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The Financial Services and Markets Act 2000 (Regulation of Auditors and Actuaries) (PRA Specified Powers) Order 2015

This Order specifies all the disciplinary powers of the Prudential Regulation Authority (“the PRA”) in section 345A(4) of the Financial Services and Markets Act 2000 (c.8) (“the Act”) as exercisable by it. The powers apply to non-compliance by auditors or actuaries with the PRA rules or duties to communicate information to the PRA under the Act.

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Lifecycle
Department
Made
26 Jan 2015
In force
20 Feb 2015