Guidance
Compliance Toolkit for Approvals, Notifications and Other Regulatory Submissions to MAS for Insurance Brokers
This Compliance Toolkit is to guide and facilitate insurance brokers’ compliance with the various MAS approval and reporting requirements and timelines.
Related to this Item
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RegulationsLast Revised Date: 30 September 2022
Insurance (Intermediaries) Regulations
Sets out the financial and business conduct requirements for registered and exempt insurance brokers.
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NoticesLast Revised Date: 07 July 2022
Notice 501 Quarterly Statement on Ageing of Premiums Owing to Insurers [Cancelled]
This notice was cancelled with effect from 7 July 2022.
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NoticesLast Revised Date: 08 November 2021
Notice 502 Minimum Standards and Continuing Professional Development for Insurance Brokers and their Broking Staff
Requirements and best practice standards on continuing professional development for insurance brokers and their broking staff.
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Subsidiary LegislationLast Revised Date: 04 January 2021
Insurance (Approved Marine, Aviation and Transit Insurers) Regulations
Sets out requirements for insurers approved to write marine, aviation and transit (MAT) insurance.
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NoticesLast Revised Date: 17 May 2013
Notice 504 Reporting of Misconduct of Broking Staff by Insurance Brokers
Requirements and template for reporting the misconduct of broking staff.
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ActsPublished Date: 31 December 2002
Insurance Act 1966
Governs the regulation of insurance business in Singapore, including insurers, insurance intermediaries and related institutions.