Guidelines

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Date Title
09 Dec 2004 ID 2/04 Applications for Exemptions - Insurance Act (Cap. 142)Insurance Companies
01 Jul 2005 IA/II-G02 Market Conduct and Service Standards for Insurance BrokersInsurance Brokers
01 Jul 2005 IA/II-G01 Standards of ConductInsurance Brokers
08 Sep 2005 ID 1/05 Corporate Governace [Cancelled with effect from 9 Dec 2010]Insurance Companies
03 Jan 2008 ID 1/04 Valuation of Policy Liabilities of General BusinessInsurance Companies
03 Jan 2008 ID 1/03 Market Conduct Standards and Service Standards for Direct General InsurersInsurance Companies
17 Mar 2009 ID 1/09 Guidelines on Implementation of Insurance Fund ConceptInsurance Companies
02 Dec 2009 Guidelines on MAS Notice 314 on Prevention of Money Laundering and Countering the Financing of Terrorism (December 2009) [Cancelled with effect from 01 Jul 2014]Insurance Companies
09 Dec 2010 Guidelines on Corporate Governance for Banks, Financial Holding Companies and Direct Insurers which are Incorporated in Singapore [Cancelled with effect from 3 Apr 2013]Insurance Companies
06 Sep 2011 Guidelines for Financial Institutions to Safeguard the Integrity of Singapore's Financial SystemInsurance Companies
06 Sep 2011 Guidelines for Financial Institutions to Safeguard the Integrity of Singapore's Financial SystemInsurance Brokers
01 Apr 2013 ID 01/13 Guidelines on Use of Internal Models for Liability and Capital Requirements for Life Insurance Products Containing Investment Guarantees with Non-Linear PayoutsInsurance Companies
03 Apr 2013 Guidelines on Corporate Governance for Financial Holding Companies, Banks, Direct Insurers, Reinsurers and Captive Insurers which are Incorporated in SingaporeInsurance Companies
17 May 2013 IA/II-G04 Criteria for the Registration of an Insurance BrokerInsurance Brokers
03 Dec 2014 FSG-G01 Guidelines on Fit and Proper CriteriaInsurance Companies

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Last Modified on 26/11/2016