Directive 24 Definitions [Cancelled]
Amendment Notes
- 01 Jul 2021
- MAS Directive 24 dated 18 December 1987 (last revised on 19 March 2007) is cancelled.
Related to this Item
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DirectivesLast Revised Date: 01 July 2021
Directive 31 Trust Accounts [Cancelled]
Requirements for dealers on the treatment of client assets in Government Securities transactions.
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DirectivesLast Revised Date: 01 July 2021
Directive 24 Definitions [Cancelled]
Sets out the definition to various terms in Directives 23 to 32.
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DirectivesPublished Date: 18 December 1987
Directive 25 Conduct of Business
Sets out the obligations of merchant banks who are Primary and/or Registered dealers.
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DirectivesPublished Date: 18 December 1987
Directive 29 Time Stamping
Requirements for merchant banks to time stamp their client’s order forms.
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DirectivesPublished Date: 18 December 1987
Directive 32 Exempt Merchant Bank Government Securities Dealer
Sets out requirements for exempt merchant banks dealing in Singapore Government Securities.
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DirectivesPublished Date: 18 December 1987
Directive 26 Rules and Market Practices of The Singapore Government Securities Market
Sets out the requirement for dealers to comply with the Rules and Market Practices of the SGS Market.
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DirectivesPublished Date: 18 December 1987
Directive 27 Dealings by Employees of a Dealer
Sets out the requirements on the provision of unsecured credit by dealers to employees.
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DirectivesPublished Date: 18 December 1987
Directive 23 Compliance and Approval
Summary of directives that merchant banks which are government securities dealers need to comply with.
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DirectivesPublished Date: 18 December 1987
Directive 28 Accounts
Record keeping requirements for merchant banks who are Singapore Government Securities (SGS) dealers.
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DirectivesPublished Date: 18 December 1987
Directive 30 Information to be Furnished by a Dealer
Sets out the requirement for dealers to furnish information to MAS.