Financial Sector Regulation Act, 2017 (Act No. 9 of 2017)Chapter 8 : LicensingPart 2 : Licences required in terms of section 111(1)(b) or (2) or section 162117. Reporting obligations of licensee |
(1) | A licensee must promptly report any of the following to the responsible authority that issued the licence: |
(a) | The fact that the licensee has contravened or is contravening, in a material way— |
(i) | a financial sector law; |
(ii) | a regulator’s directive or a directive in terms of section 202; |
(iii) | an enforceable undertaking; |
(iv) | an order of a court made in terms of a financial sector law; or |
(v) | a decision of the Tribunal; |
(b) | the fact that the licensee has become aware that information given in connection with the application for the licence was false or misleading. |
(2) | Subsection (1) also applies in relation to events and circumstances that occur while a licence is suspended. |
(3) | Information that is reported in terms of this section is not admissible in evidence in any criminal proceedings, except in criminal proceedings for perjury. |