Pension Funds Act, 1956 (Act No 24 of 1956)Board NoticesNotice on Report by a valuator in relation to a Statutory Actuarial Valuation, 2010AnnexureForm of Summary of Report by Valuator |
Annexure
Form of Summary of Report by Valuator
Name of fund: .............................................................................................................................
Name of participating employer: .................................................................................................
(delete where not applicable)
Financial year: .............................................................................................................................
Valuator: .....................................................................................................................................
Membership details: ...................................................................................................................
Particulars of financial condition of the fund/participating employer
(delete where not applicable, and consistently throughout)
The fair value of the net assets of the fund / participating employer, after deduction of current liabilities and any liabilities arising from the pledging, hypothecation or other encumbering of the assets of the fund / participating employer:
....................................................................................................................................................
The actuarial value of assets of the fund / participating employer, for purposes of comparison with the accrued liabilities of the fund / participating employer:
....................................................................................................................................................
A brief description of the basis employed in calculating the actuarial value of the assets:
....................................................................................................................................................
The accrued liabilities of the fund / participating employer:
....................................................................................................................................................
The contribution rate(s) of the fund / participating employer:
....................................................................................................................................................
Any other particulars deemed necessary by the valuator for the purpose of this summary (e.g. details about contingency reserves):
....................................................................................................................................................
A statement as to whether or not the fund / participating employer is in a sound financial condition for the purposes of the Pension Funds Act, 1956.
....................................................................................................................................................
Prepared by me:
............................................. | .............................................................. |
(Signature of valuator) |