Regulatory Communications
This page contains regulatory communications which have been sent to Members and are grouped by general communications, followed by practice-area specific communications (in date order with the most recent appearing at the top of the list).
Regulatory Strategy
Our watershed regulatory document is our Regulatory Strategy. Intended as "A Position Paper and Framework for Implementation", the paper seeks both to define the Profession's regulatory role and to propose some principles which will inform its regulatory policy. A shorter policy paper has also been produced for quick reference.
General Communications
| Date | Title | Description |
| 2 July 2012 | Conflicts of Interest Package |
Email to all members about the new conflicts of interest package |
| 21 November 2011 | Professional Skills Training |
Email to all members about the Professionalism Courses being introduced from Feb 2012 FAQs on the new regime can be found here |
| 10 October 2011 | Conflicts of Interest Consultation Paper and Consultation Meetings | Email to all members about the Conflicts of Interest Consultation Paper and related meetings |
| 14 April 2011 | Standards Decision Tree | Email to all members about the Standards Decision Tree |
| 18 November 2011 | Practicing Certificates Scheme | Email to all Fellows and Associates introducing the new Practicing Scheme |
Enterprise Risk Management
There are currently no regulatory communications for this practice area.
Finance and Investment
There are currently no regulatory communications for this practice area.
General Insurance
| Date | Title | Description |
| 3 June 2011 | Communication to members on ED 26 APS G3 | Email to all members about Exposure Draft 26 on APS G3 |
Health and Care
There are currently no regulatory communications for this practice area.
Life Insurance
| Date | Title | Description |
| 10 June 2011 | Communication to members on ED 27 APS L1 and ED 28 APS L2 | Email to all members about Exposure Draft 27 on APS L1 and Exposure Draft 28 on APS L2 |
Pensions
| Date | Title | Description |
| 1 April 2011 | ACA tools for Pensions actuaries in complying with the TASs | Note from the Professional Regulation Executive Committee drawing Pensions actuaries' attention to guidance from the Association of Consulting Actuaries on the BAS's TASs. |
| 3 March 2011 | Guidance to Scheme Actuaries in relation to PPF guidance on bulk transfers | Guidance to Scheme Actuaries in relation to the Transfers Appendix to the 2011/12 Levy determination issued in December 2010 by the Pension Protection Fund. It replaces the guidance issued in June 2010 in relation to the 2010/11 Levy determination. |
| 17 February 2011 | Withdrawal of adopted Pensions Guidance Notes | Letter from Jim Sutcliffe, Chairman of the BAS regarding the withdrawal of the BAS-adopted Pensions Guidance Notes. |
| 20 October 2010 | GN48 and TAS compliance letter | Letter from Sir Philip Mawer regarding GN48, GN9 and the TASs. |
Page updated: 19 June 2012