Conflict of Interest Management Policy -
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The General Code of conduct for Authorised Financial Service Providers and Representatives ("the Code”) issued under the financial Advisory and Intermediary Services Act, 2000 (Act No. 37 of 2002) ("FAIS”), requires financial service providers to have a Conflict of Interest Management Policy in place to ensure that conflict of interest is managed appropriately in the business.
MANUAL PREPARED IN TERMS OF SECTION 51 OF THE PROMOTION OF ACCESS TO INFORMATION ACT (ACT 2 OF 2000)
The compliance officers for REAM Insurance Brokers (Pty) Ltd:
Associated Compliance (Pty) Ltd
Reg no: 2012/087007/07
Compliance Practice No: 6377